The PE ratio for Virtu Financial stock stands at 10.23 as of Jul 2, 2026. This is calculated based on the TTM EPS of $6.04 and the stock price of $61.77 per share. An increase of 30% has been observed in the PE ratio compared to its average of 7.9 of the last four quarters.
Over the last ten years, the average PE ratio of Virtu Financial has been 32.96. The current 10.23 P/E ratio is 69% lower than the historical average. Looking back at the last ten years, VIRT's PE ratio peaked in the Dec 2017 quarter at 610, with a price of $18.3 and an EPS of $0.03. The Dec 2020 quarter marked the lowest point at 4.85, with a price of $25.17 and an EPS of $5.19.
Maximum annual increase: 3,073.78% in 2017
Maximum annual decrease: -98.5% in 2018
| Year | PE ratio | PE change | Price | EPS |
|---|---|---|---|---|
| 2025 | 6.48 | -45.86% | $33.32 | $5.14 |
| 2024 | 11.97 | -16.12% | $35.68 | $2.98 |
| 2023 | 14.27 | 71.31% | $20.26 | $1.42 |
| 2022 | 8.33 | 14.11% | $20.41 | $2.45 |
| 2021 | 7.3 | 50.52% | $28.83 | $3.95 |
| 2020 | 4.85 | N/A | $25.17 | $5.19 |
| 2019 | N/A | N/A | $15.99 | -$0.53 |
| 2018 | 9.13 | -98.5% | $25.76 | $2.82 |
| 2017 | 610 | 3,073.78% | $18.3 | $0.03 |
| 2016 | 19.22 | -49.06% | $15.95 | $0.83 |
| 2015 | 37.73 | N/A | $22.64 | $0.6 |
| 2014 | N/A | N/A | N/A | N/A |
| 2013 | N/A | N/A | N/A | N/A |
| 2012 | N/A | N/A | N/A | N/A |
| Year | PE ratio | PE change | Price | EPS |
|---|---|---|---|---|
| Mar 2026 | 7.28 | 12.35% | $43.98 | $6.04 |
| Dec 2025 | 6.48 | -15.51% | $33.32 | $5.14 |
| Sep 2025 | 7.67 | -24.28% | $35.5 | $4.63 |
| Jun 2025 | 10.13 | -7.49% | $44.79 | $4.42 |
| Mar 2025 | 10.95 | -8.52% | $38.12 | $3.48 |
| Dec 2024 | 11.97 | -20.99% | $35.68 | $2.98 |
| Sep 2024 | 15.15 | 34.31% | $30.46 | $2.01 |
| Jun 2024 | 11.28 | -20.84% | $22.45 | $1.99 |
| Mar 2024 | 14.25 | -0.14% | $20.52 | $1.44 |
| Dec 2023 | 14.27 | 34.62% | $20.26 | $1.42 |
| Sep 2023 | 10.6 | -14.38% | $17.27 | $1.63 |
| Jun 2023 | 12.38 | 31.01% | $17.09 | $1.38 |
| Mar 2023 | 9.45 | 13.45% | $18.9 | $2 |
| Dec 2022 | 8.33 | 22.68% | $20.41 | $2.45 |
| Sep 2022 | 6.79 | -5.17% | $20.77 | $3.06 |
The Historical Valuation Regime chart shows where the stock's current valuation sits relative to its own historical valuation range over the selected lookback period.
This is a history-relative tool, not a market-relative percentile. It does not compare the stock to other companies. Instead, it compares each historical valuation reading to the stock's own past readings.
The threshold lines are calculated them from the stock's real historical values using percentile interpolation. That is why some colored bands are narrow while others are wide: the band widths reflect how the stock actually traded through time.
| Historical percentile | Regime | Chart meaning |
|---|---|---|
| 0-10 | Historically Low | Deep cheap zone |
| >10-25 | Below Average | Cheap relative to history |
| >25-75 | Average | Within the normal historical range |
| >75-90 | Above Average | Expensive relative to history |
| >90-100 | Historically High | Extreme or stretched valuation |
| Chart element | What it tells you |
|---|---|
| Main line | The actual historical valuation values over time for the selected metric. |
| Dashed horizontal lines | The stock's computed P10, P25, Median, P75, and P90 thresholds for the selected period. |
| Colored bands | The historical valuation zones between those thresholds. |
| Metric boxes | Current ratio, historical median, current percentile, and current regime. |
| Timeline strip | A condensed regime history showing how the stock moved between cheap, fair, and expensive states across each observation. |
Current Percentile is the percentile rank of the latest valid historical observation within the selected lookback range.
Current Regime is assigned directly from the latest observation's percentile bucket using the fixed 10 / 25 / 75 / 90 cutoffs shown above.
This chart is most useful for answering a narrow question: Is this stock trading high, low, or normal relative to its own history? It works best alongside growth, profitability, and forward-looking business analysis, because a stock can deserve a higher or lower regime if its business quality has changed.
VIRT's current PE ratio is higher than the 5-year average, but it is lower than its 3 and 10-year averages.
Virtu Financial's price to earnings (P/E) of 10.23 is lower than the Financial Services sector and the industry average. In comparison with the Financial Services sector average of 13.27, Virtu Financial's price to earnings (P/E) is 23% lower.
In comparison to its peers SCHW and RJF, VIRT's PE ratio is lower, but it is higher than ORC's.
| Stock name | PE ratio | Market cap |
|---|---|---|
| ORC Orchid Island Capital Inc | 7.78 | $1.39B |
| VIRT Virtu Financial Inc | 10.23 | $9.58B |
| RJF Raymond James Financial Inc | 15.08 | $31.7B |
| SCHW Schwab Charles Corp | 19.17 | $168.7B |
The price to earnings ratio for VIRT stock as of Jul 2, 2026, stands at 10.23.
The average PE ratio for VIRT stock over the past 3 years is 10.91.
The average PE ratio for VIRT stock over the past 5 years is 10.01.
The highest quarterly PE ratio in the last ten years has been 610 and it was in the Dec 2017 quarter.
The current PE ratio of VIRT is 69% lower than the 10-year historical average.
You can calculate the P/E ratio by dividing the most recent stock price by the trailing twelve months EPS. As of today (Jul 2, 2026), Virtu Financial's share price is $61.77. The company's earnings per share for the trailing twelve months (TTM) ending Mar 2026 is $6.04. Therefore, Virtu Financial's PE ratio for today is 10.23. PE RATIO(10.23) = STOCK PRICE($61.77) / TTM EPS($6.04)
All PE ratio stats are based on quarterly TTM periods, unless otherwise specified.