Markets · Stocks & ETFs · ADR

Vinci Partners (NASDAQ: VINP)

$9.53+0.42%today

Brazilian ADR trading on the NASDAQ, priced in US dollars.

Display currency
Market Cap, EPS and the financial totals below — switch between US dollars and BRL.
Market Cap
$625.66M
P/E (TTM)
14.0x
P/B
1.6x
EPS (TTM)
$0.68
Dividend Yield
6.95%
52-Week Range
$9.22 – $13.61
Volume
30K
Previous Close
$9.49

TTM = trailing twelve months — the most recent 12 months (a rolling window), used for P/E, EPS and dividends. On the tables and charts below, the in-progress current year appears as a “Last 12M” column labelled with the quarter range it covers.

Performance

Today
+0.42%
1 Week
-4.80%
1 Month
-1.85%
YTD
-26.92%
1 Year
-6.93%
5 Years
-26.69%
Vinci Partners logo

About Vinci Partners

US Ticker
VINP
B3 Ticker
Exchange
NASDAQ
Currency
USD
Sector
Financial Services
Industry
Asset Management
Headquarters
Rio De Janeiro, RJ, Brazil
Employees
CEO
Mr. Alessandro Monteiro Morgado Horta CFA
Founded
2009

Vinci Compass Investments Ltd. operates as an asset management firm in Brazil.

It operates through six segments: Global Investment Products and Solutions (IP&S), Credit, Private Equity, Equities, Real Assets, and Corporate Advisory.

The Global IP&S segment provides access to a network of general partners and asset managers.

This segment also offers proprietary investment solutions; multi-asset allocation strategies, as well as portfolio and management services; and liquid and alternative, separate mandates, commingled funds, brokerage, pension plans, solutions, and Vinci retirement services.

The Credit segment operates public and private credit, opportunistic capital solutions, and agribusiness credit businesses.

The Private Equity segment focuses on control and co-control investments, and minority investments in small-to-medium enterprises.

The Equities segment delivers investment solutions; and sub-strategies to address different investor profiles and market conditions, including long only, dividends, small caps, long biased, and other specialized approaches.

The Real Assets segment comprises investments focused on tangible, income-generating assets through real estate, infrastructure, and forestry.

The Corporate Advisory segment provides financial and strategic advisory services, focusing on IPO advisory and mergers and acquisition transactions to entrepreneurs, corporate senior management teams, and boards of directors.

Vinci Compass Investments Ltd. was formerly known as Vinci Partners Investments Ltd. and changed its name to Vinci Compass Investments Ltd. in July 2025.

Vinci Compass Investments Ltd. was founded in 2009 and is headquartered in Rio De Janeiro, Brazil.

www.vincicompass.com

Analyst Ratings

Consensus of 6 Wall Street analysts · sourced from Yahoo Finance

1.5Strong Buy

On a 1–5 scale: 1 = Strong Buy, 3 = Hold, 5 = Sell. Lower is more bullish.

12-Month Price Target

Low
$11.80
Average
$14.18
High
$15.86

The average target is +48.82% above the current price of $9.53.

Financial Results

Revenue, EBITDA and net profit (in USD) with net margin (net profit ÷ revenue).

Financial Health

Margins, leverage and cash-flow quality derived from Vinci Partners's income statement, balance sheet and cash flow (absolute figures in USD).

ProfitabilityLeverageGrowth

Overall: Financially Strong

Net Margin
27.0%
ROE
22.1%
Rev Growth (YoY)
+71.16%
Net Debt / EBITDA
1.38×
Current Ratio
5.08×
Interest Coverage
Free Cash Flow
190.7M
Payout Ratio
47.8%

Income — Margins & Efficiency

MetricLast 12MQ2'25 – Q1'26Δ2025Δ2024Δ2023Δ2022
Revenue$315,830,958+80.5%$174,976,019+62.5%$107,658,104-7.5%$116,445,301+22.5%$95,043,901
Gross profit$252,087,313+53.1%$164,668,148+124.3%$73,409,087-27.9%$101,835,594+50.0%$67,882,527
Operating income$31,804,807-53.3%$68,088,985+122.8%$30,561,194-26.7%$41,679,931+23.2%$33,823,941
EBITDA$130,645,508+73.1%$75,475,944+78.8%$42,217,906-36.5%$66,534,782+16.1%$57,292,321
Net profit$85,342,782+119.1%$38,951,289+103.6%$19,133,039-57.9%$45,484,310+9.5%$41,520,077
Gross margin79.8%-14.3 p.p.94.1%+25.9 p.p.68.2%-19.3 p.p.87.5%+16.0 p.p.71.4%
Operating margin10.1%-28.8 p.p.38.9%+10.5 p.p.28.4%-7.4 p.p.35.8%+0.2 p.p.35.6%
EBITDA margin41.4%-1.8 p.p.43.1%+3.9 p.p.39.2%-17.9 p.p.57.1%-3.1 p.p.60.3%
Net margin27.0%+4.8 p.p.22.3%+4.5 p.p.17.8%-21.3 p.p.39.1%-4.6 p.p.43.7%
Revenue growth (YoY)71.2%+27.1 p.p.44.1%+26.3 p.p.17.8%+5.3 p.p.12.4%+10.7 p.p.1.8%
Effective tax rate19.5%+3.2 p.p.16.3%-12.1 p.p.28.4%+9.9 p.p.18.5%-0.7 p.p.19.3%
Interest coverage3.57×+7.9%3.31×-63.4%9.03×-52.3%18.92×

Newest column (“Last 12M”) = trailing 12 months, the last 4 reported quarters — shown with the quarter range it spans; earlier columns are full fiscal years.

Balance Sheet — Health & Leverage

MetricLast 12MQ2'25 – Q1'26Δ2025Δ2024Δ2023Δ2022
Net debt$180,338,931+16.4%$154,915,373+26.3%$122,646,045-11.7%$138,964,785+217.4%$43,786,285
Net Debt / Equity0.47×+8.7%0.43×+10.0%0.39×-20.2%0.49×+189.9%0.17×
Net Debt / EBITDA1.38×-32.7%2.05×-29.3%2.91×+39.1%2.09×+173.3%0.76×
Debt / Equity0.52×-9.0%0.57×+13.0%0.51×+0.9%0.50×+162.6%0.19×
Current ratio5.08×-68.8%16.30×+178.1%5.86×-29.4%8.31×-11.1%9.35×
Return on equity (ROE)22.1%+11.3 p.p.10.8%+4.7 p.p.6.1%-9.9 p.p.16.0%+0.0 p.p.16.0%
Return on assets (ROA)11.4%+6.1 p.p.5.3%+2.0 p.p.3.3%-6.3 p.p.9.6%-2.8 p.p.12.4%
Book value / share$5.91+10.9%$5.33-3.5%$5.52+7.6%$5.13+9.3%$4.69

Newest column (“Last 12M”) = trailing 12 months, the last 4 reported quarters — shown with the quarter range it spans; earlier columns are full fiscal years.

Net Debt & Leverage

Free Cash Flow

Margins

Dividend Payout Ratio

Capex ÷ Revenue

Cash Conversion (operating cash flow ÷ net income)

Ratios computed from company financial statements. Net Debt = total debt − cash & equivalents; FCF = operating cash flow − capital expenditure; absolute values in USD.

Valuation & Dividends

P/E Ratio History

Dividend History

This year (YTD) $0.34/share · yield 3.57%

Dividends and yield from Yahoo Finance (per ADR share, in US dollars). The current-year figures are calendar year-to-date (dividends actually paid this year), not the trailing 12 months.

Frequently Asked Questions

Why hold Vinci Partners VINP ADR instead of local B3 shares?

Buying directly on Brazil’s B3 exchange means opening a local brokerage account, converting currency and dealing with Brazilian tax paperwork. ADRs remove that friction: they settle in dollars, follow US market hours, and report in formats foreign investors already understand.

The trade-off is that an ADR’s price reflects two moving parts: (1) the underlying share price, quoted in reais on the B3, and (2) the USD/BRL exchange rate. Because of that second part, a rising company can still deliver a flat, or even negative, dollar return if the real weakens against the dollar. The same applies to ETFs: funds such as EWZ, EWZS and FLBR bundle dozens of these companies into a single ticker for instant diversification, but their dollar value still moves with the real.

Where is Vinci Partners listed?

Vinci Partners trades on a single exchange: NASDAQ in the United States (VINP, US dollars). That is the line quoted on this page.

What is Vinci Partners' primary listing?

Vinci Partners' primary listing is on NASDAQ in the United States, where it trades as VINP in US dollars — the line quoted on this page. It has no directly listed share on Brazil’s B3.

How can I buy Vinci Partners stock in the United States?

Vinci Partners is listed on the NASDAQ under VINP, priced in US dollars. Any US brokerage offering NASDAQ-listed securities can trade it, with no foreign-account paperwork and no currency conversion.

As of Fri, Aug 14, 17:00 BRT · Market closed

Financial data last updated: August 14, 2026