
VIRT Financial: Strong Performance, Analyst Confidence & Price Target
Virtu Financial (NYSE: VIRT) Shows Strong Performance and Analyst Confidence
- Piper Sandler reiterated an "Overweight" rating for Virtu Financial and increased its price target to $70.00.
- Virtu Financial received a Zacks Rank #1 (Strong Buy) and was highlighted as a top value stock by Zacks Investment Research.
- Preliminary Q2 2026 financial results for Virtu Financial project a net trading income of $857.00 million and basic earnings per share (EPS) of $1.63.
Virtu Financial (NYSE: VIRT) is a leading financial services firm that specializes in market making and execution services. It uses advanced technology to buy and sell large volumes of stocks and other assets. This activity provides stock market liquidity, which helps make trading easier and more efficient for all investors in the market.
On July 15, 2026, analyst firm Piper Sandler showed confidence in Virtu Financial by reiterating its "Overweight" stock rating. An "Overweight" rating suggests an analyst believes the stock will outperform the market. The firm also raised its price target on Virtu Financial to $70.00 from $61.00, while the stock was trading at $59.57.
This positive view is shared by others. On the same day, as highlighted by Zacks Investment Research, Virtu Financial was added to the Zacks Rank #1 (Strong Buy) list. The company was also featured on the research firm's list of top value stocks, indicating it may be trading at a price below its actual worth, suggesting it could be an undervalued investment.
This optimism is supported by strong preliminary financial results for the second quarter of 2026. Virtu Financial expects to report a net trading income of $857.00 million. Net trading income is the core revenue a firm like Virtu Financial generates from its buying and selling activities before expenses are deducted.
The company also projects a net income of $285.00 million for the quarter. This translates to an estimated basic earnings per share (EPS) of $1.63. EPS is a key metric that shows how much profit is allocated to each outstanding share of a company's stock, reflecting its profitability and financial performance.


