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Market News

Virtu Financial, Inc. (NYSE: VIRT) Delivers Exceptional Q4 & FY 2025 Performance

Company Description Virtu Financial, Inc. (NYSE: VIRT) is a leading provider of financial services and products that leverages cutting-edge technology to deliver liquidity to the global markets and innovative, transparent trading solutions to its clients. Leveraging its global market making expertise and infrastructure, Virtu provides a robust product suite including offerings in execution, liquidity sourcing, […]

January 29, 2026 1 min read

Company Description Virtu Financial, Inc. (NYSE: VIRT) is a leading provider of financial services and products that leverages cutting-edge technology to deliver liquidity to the global markets and innovative, transparent trading solutions to its clients. Leveraging its global market making expertise and infrastructure, Virtu provides a robust product suite including offerings in execution, liquidity sourcing, […]

Company Description

Virtu Financial, Inc. (NYSE: VIRT) is a leading provider of financial services and products that leverages cutting-edge technology to deliver liquidity to the global markets and innovative, transparent trading solutions to its clients. Leveraging its global market making expertise and infrastructure, Virtu provides a robust product suite including offerings in execution, liquidity sourcing, analytics and broker-neutral, multi-dealer platforms in workflow technology. Virtu’s product offerings allow clients to trade on hundreds of venues across 50+ countries and in multiple asset classes, including global equities, ETFs, foreign exchange, futures, fixed income, cryptocurrency and myriad other commodities. In addition, Virtu’s integrated, multi-asset analytics platform provides a range of pre-, intra-, and post-trade services, data products and compliance tools that clients rely upon to invest, trade and manage risk across global markets.

Current Stock Price:

$37.51

Valuation

  • Normalized EPS (FY 2025): $5.73
  • Adjusted EBITDA (FY 2025): $1.4B
  • EBITDA Margin: 65%
  • Debt / LTM Adj. EBITDA: 1.5x

Middle – Earnings Power & Returns

  • Adjusted Net Trading Income: $2.1B
  • ROIC: 95–100% (LTM)
  • Capital invested increased by $625M in FY 2025

Bottom – Shareholder Returns

  • Dividend: $0.24 per quarter
  • 54M shares repurchased cumulatively
  • 19% reduction in shares outstanding
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