By continuing, you agree to the Terms of Service.
This website uses cookies to enhance your browsing experience. Learn More.
Essential Cookies
Optional Cookies
Login
Logo for Fund Virtus NFJ Mid Cap Value Fund Institutional Class

Virtus NFJ Mid Cap Value Fund Institutional Class (PRNIX)

NASDAQ Currency in USD
$271.00
+$0.46
+0.17%
Last Update: 18 Jul 2026, 09:07
Assets Under Management
Expense Ratio
0.58%
Forward Dividend Yield
$201.69-$332.61
52 Week Range

PRNIX Price Chart

Explore Virtus NFJ Mid Cap Value Fund Institutional Class interactive price chart. Choose custom timeframes to analyze PRNIX price movements and trends.

PRNIX Fund Profile

Key details and information about Virtus NFJ Mid Cap Value Fund Institutional Class (PRNIX).

Sector Focus

Financial Services

Industry

Asset Management

Inception Date

30 Dec 1997

Country

US

Description

The fund aims to generate substantial long-term capital growth and a consistent income stream. To achieve these objectives, it typically commits a minimum of 80% of its total assets (including any capital acquired through borrowing for investment purposes) to equity instruments, such as common stocks, issued by companies with a medium market capitalization. A considerable portion of its holdings consists of securities that the managers anticipate will produce income, most notably through dividend payments. The investment team follows a value-oriented strategy, focusing on businesses whose shares they believe are attractively valued and possess strong fundamental characteristics.

PRNIX Fund Performance

View PRNIX with an interactive analytics dashboard featuring price and candlestick charts, key metrics, holdings breakdowns, and dividend yield history. Open the template in Insights to customize and save it.

Explore Related Funds

Discover other funds. Select a symbol to access its full profile.

Discover More
Command Palette
Search for a command to run