Year Founded

1997

Owned Value

$ 4.4 Billion

Historical Avg Net IRR¹

19.2 %

Built for Outperformance

Virtú is a multifamily investment manager with nearly three decades of cycle-tested outperformance, uniting deep domain expertise, full scope execution, and a team-first approach to creating long-term value for our LPs.

Deep Research

Insights That Outpace Cycles

Our disciplined, cycle-aware methodology targets structural supply imbalances, informed by deep research, boots on the ground insights and decades of experience identifying where value is building, before the market catches up.

VERTICALLY INTEGRATED

Full-Scope Leadership

We lead every stage of multifamily value creation, strategically acquiring, optimizing, and activating assets to align with demand and deliver repeatable performance for our LPs.

People-Centered

Winning with Culture

At Virtú, culture is our most important asset, anchored in LP alignment and built on high-performing teams that champion one another’s success. This foundation drives both the outcomes we would expect as investors and the communities we would want to call home.

Investing with Virtú

We forge enduring partnerships with our LPs, helping families to grow and preserve generational wealth while enabling investors the ability to capture tactical, cycle-specific opportunities.

Virtú Evergreen Fund

Hybrid Open-End

 

A perpetual, open-end fund focused on long-term appreciation, tax efficiency, and reinvestment strategies that preserve and compound wealth across market cycles.

Virtú Opportunity Fund

Closed-End

 

A tactical closed-end fund pursuing cycle-specific opportunities in distressed and supply-constrained markets, executing value-add strategies, and exiting with precision.

Asset Portfolio

Virtú has owned and operated over 135 multifamily properties, totaling more than 23,000 residential units.

¹ Average Internal Rate of Return (IRR) of all liquidated investments, weighted by invested equity, net to investors. Fund-I figure is the actual return after sale of its final asset. Returns from the disposition of assets within an active fund portfolio are averaged as individual investments, net of fees and carried interest.