v3.26.3
Shareholder Report
12 Months Ended
Jul. 31, 2026
USD ($)
Holding
Shareholder Report [Line Items]  
Document Type N-CSR
Amendment Flag false
Registrant Name Virtus ETF Trust II
Entity Central Index Key 0001648403
Entity Investment Company Type N-1A
Document Period End Date Jul. 31, 2026
Shareholder Report Annual or Semi-Annual Annual Shareholder Report
C000148681  
Shareholder Report [Line Items]  
Fund Name Virtus AlphaSimplex Global Macro ETF 
Class Name Virtus AlphaSimplex Global Macro ETF 
Trading Symbol ASGM
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus AlphaSimplex Global Macro ETF ("Fund") for the period of August 4, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus AlphaSimplex Global Macro ETF
$91Footnote Reference(a)
0.80%
FootnoteDescription
Footnote(a)
Based on the period August 4, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 91 [1]
Expense Ratio, Percent 0.80%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by AlphaSimplex Group, LLC

For the period August 4, 2025 (commencement of operations) to July 31, 2026, the Fund at NAV returned 30.00%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 19.87%, and the ICE BofA US 3-Month Treasury Bill Index, which serves as the style-specific index, returned 3.76%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus AlphaSimplex Global Macro ETF - NAV $13,000
Wilshire 5000 Total Market Index $11,987
ICE BofA US 3-Month Treasury Bill Index $10,376
8/4/25
$10,000
$10,000
$10,000
8/31/25
$10,262
$10,248
$10,033
9/30/25
$10,760
$10,602
$10,066
10/31/25
$11,016
$10,830
$10,101
11/30/25
$10,999
$10,858
$10,129
12/31/25
$11,129
$10,850
$10,164
1/31/26
$11,713
$11,027
$10,194
2/28/26
$12,256
$10,973
$10,221
3/31/26
$11,789
$10,430
$10,251
4/30/26
$12,831
$11,504
$10,281
5/31/26
$13,403
$12,093
$10,312
6/30/26
$13,089
$12,049
$10,342
7/31/26
$13,000
$11,987
$10,376
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 8/4/25
Virtus AlphaSimplex Global Macro ETF - NAV
30.00
Wilshire 5000 Total Market Index
19.87
ICE BofA US 3-Month Treasury Bill Index
3.76
Performance Inception Date Aug. 04, 2025
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 8,549,669
Holdings Count | Holding 15
Advisory Fees Paid, Amount $ 55,098
InvestmentCompanyPortfolioTurnover 3.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$8,549,669
Total number of portfolio holdings
15
Total advisory fees paid
$55,098
Portfolio turnover rate
3%
Holdings [Text Block]

% RISK ALLOCATION (includes futures contracts) 

Table Summary
Commodities
37
Currencies
16
Equities
42
Fixed Income
5
Material Fund Change [Text Block]
C000248117  
Shareholder Report [Line Items]  
Fund Name Virtus AlphaSimplex Managed Futures ETF
Class Name Virtus AlphaSimplex Managed Futures ETF 
Trading Symbol ASMF
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus AlphaSimplex Managed Futures ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus AlphaSimplex Managed Futures ETF
$87
0.80%
Expenses Paid, Amount $ 87
Expense Ratio, Percent 0.80%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by AlphaSimplex Group, LLC

For the fiscal year ended July 31, 2026, the Fund at NAV returned 16.34%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 19.69%, and the ICE BofA US 3-Month Treasury Bill Index, which serves as the style-specific index, returned 3.82%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus AlphaSimplex Managed Futures ETF - NAV $10,532
Wilshire 5000 Total Market Index $14,420
ICE BofA US 3-Month Treasury Bill Index $10,979
5/15/24
$10,000
$10,000
$10,000
5/31/24
$10,076
$9,916
$10,026
6/30/24
$10,195
$10,228
$10,067
7/31/24
$10,075
$10,416
$10,112
8/31/24
$9,809
$10,642
$10,160
9/30/24
$9,977
$10,858
$10,204
10/31/24
$9,508
$10,779
$10,243
11/30/24
$9,478
$11,492
$10,282
12/31/24
$9,660
$11,144
$10,324
1/31/25
$9,822
$11,494
$10,362
2/28/25
$9,514
$11,270
$10,395
3/31/25
$9,415
$10,605
$10,429
4/30/25
$9,066
$10,535
$10,465
5/31/25
$9,109
$11,209
$10,503
6/30/25
$9,176
$11,783
$10,538
7/31/25
$9,053
$12,048
$10,574
8/31/25
$9,228
$12,328
$10,616
9/30/25
$9,456
$12,754
$10,651
10/31/25
$9,511
$13,028
$10,688
11/30/25
$9,624
$13,062
$10,718
12/31/25
$9,774
$13,053
$10,755
1/31/26
$10,165
$13,265
$10,786
2/28/26
$10,785
$13,200
$10,815
3/31/26
$10,258
$12,547
$10,846
4/30/26
$10,518
$13,840
$10,878
5/31/26
$10,544
$14,547
$10,911
6/30/26
$10,475
$14,494
$10,942
7/31/26
$10,532
$14,420
$10,979
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
Since Inception 5/15/24
Virtus AlphaSimplex Managed Futures ETF - NAV
16.34
2.37
Wilshire 5000 Total Market Index
19.69
18.01
ICE BofA US 3-Month Treasury Bill Index
3.82
4.31
Performance Inception Date May 15, 2024
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 29,715,694
Holdings Count | Holding 16
Advisory Fees Paid, Amount $ 232,863
InvestmentCompanyPortfolioTurnover 0.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$29,715,694
Total number of portfolio holdings
16
Total advisory fees paid
$232,863
Portfolio turnover rate
0%
Holdings [Text Block]

% RISK ALLOCATION (includes futures contracts) 

Table Summary
Commodities
20
Currencies
31
Equities
27
Fixed Income
22
Material Fund Change [Text Block]
C000228821  
Shareholder Report [Line Items]  
Fund Name Virtus Duff & Phelps Clean Energy ETF
Class Name Virtus Duff & Phelps Clean Energy ETF 
Trading Symbol VCLN
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Duff & Phelps Clean Energy ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Duff & Phelps Clean Energy ETF
$70
0.59%
Expenses Paid, Amount $ 70
Expense Ratio, Percent 0.59%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Duff & Phelps Investment Management Co.

For the fiscal year ended July 31, 2026, the Fund at NAV returned 36.94%. For the same period, the S&P Global Broad Market Index (net), a broad-based securities market index, returned 21.97%, and the S&P Global Clean Energy Transition Index (net), which serves as the style-specific index, returned 32.81%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Duff & Phelps Clean Energy ETF - NAV $11,358
S&P Global Broad Market Index (net) $16,089
S&P Global Clean Energy Transition Index (net) $8,200
8/3/21
$10,000
$10,000
$10,000
8/31/21
$10,225
$10,170
$10,089
9/30/21
$9,547
$9,770
$9,377
10/31/21
$10,969
$10,231
$10,922
11/30/21
$10,249
$9,944
$10,140
12/31/21
$9,544
$10,332
$9,231
1/31/22
$8,320
$9,788
$8,107
2/28/22
$9,017
$9,565
$9,056
3/31/22
$9,341
$9,749
$9,406
4/30/22
$8,355
$8,971
$8,280
5/31/22
$8,735
$8,976
$8,711
6/30/22
$8,083
$8,205
$8,324
7/31/22
$9,624
$8,781
$9,786
8/31/22
$9,602
$8,477
$9,779
9/30/22
$8,393
$7,656
$8,438
10/31/22
$8,487
$8,115
$8,296
11/30/22
$9,344
$8,735
$9,210
12/31/22
$8,813
$8,407
$8,769
1/31/23
$9,217
$9,022
$9,118
2/28/23
$8,730
$8,771
$8,486
3/31/23
$8,840
$8,979
$8,715
4/30/23
$8,387
$9,091
$8,245
5/31/23
$8,171
$8,981
$8,080
6/30/23
$8,350
$9,503
$8,140
7/31/23
$8,320
$9,867
$8,111
8/31/23
$7,404
$9,580
$7,132
9/30/23
$6,792
$9,183
$6,500
10/31/23
$6,227
$8,872
$5,762
11/30/23
$6,811
$9,689
$6,305
12/31/23
$7,281
$10,199
$6,984
1/31/24
$6,616
$10,218
$6,225
2/29/24
$6,637
$10,650
$6,219
3/31/24
$6,992
$10,982
$6,251
4/30/24
$6,837
$10,613
$5,940
5/31/24
$7,913
$11,036
$6,688
6/30/24
$7,054
$11,230
$6,033
7/31/24
$7,497
$11,466
$6,359
8/31/24
$7,580
$11,727
$6,440
9/30/24
$7,938
$12,005
$6,625
10/31/24
$7,249
$11,727
$5,894
11/30/24
$7,262
$12,181
$5,574
12/31/24
$6,709
$11,856
$5,182
1/31/25
$6,834
$12,234
$5,183
2/28/25
$6,659
$12,125
$5,067
3/31/25
$6,675
$11,661
$5,174
4/30/25
$6,847
$11,773
$5,357
5/31/25
$7,393
$12,451
$5,769
6/30/25
$7,848
$13,014
$5,996
7/31/25
$8,294
$13,191
$6,174
8/31/25
$8,910
$13,562
$6,605
9/30/25
$9,605
$14,019
$7,099
10/31/25
$10,716
$14,298
$7,942
11/30/25
$10,643
$14,311
$7,781
12/31/25
$10,470
$14,459
$7,608
1/31/26
$11,624
$14,929
$8,457
2/28/26
$11,684
$15,176
$8,463
3/31/26
$11,545
$14,057
$8,370
4/30/26
$13,137
$15,480
$9,581
5/31/26
$14,720
$16,248
$10,926
6/30/26
$13,024
$16,137
$9,549
7/31/26
$11,358
$16,089
$8,200
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
Since Inception 8/3/21
Virtus Duff & Phelps Clean Energy ETF - NAV
36.94
2.58
S&P Global Broad Market Index (net)
21.97
9.99
S&P Global Clean Energy Transition Index (net)
32.81
-3.90
Performance Inception Date Aug. 03, 2021
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 5,482,051
Holdings Count | Holding 42
Advisory Fees Paid, Amount $ 34,097
InvestmentCompanyPortfolioTurnover 49.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$5,482,051
Total number of portfolio holdings
42
Total advisory fees paid
$34,097
Portfolio turnover rate
49%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Industrials
41.1%
Utilities
39.5%
Information Technology
18.6%
Energy
0.8%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000268743  
Shareholder Report [Line Items]  
Fund Name Virtus Duff & Phelps Real Estate Income ETF 
Class Name Virtus Duff & Phelps Real Estate Income ETF 
Trading Symbol DPRE
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Duff & Phelps Real Estate Income ETF ("Fund") for the period of April 14, 2026 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Duff & Phelps Real Estate Income ETF
$18Footnote Reference(a)
0.59%
FootnoteDescription
Footnote(a)
Based on the period April 14, 2026 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 18 [2]
Expense Ratio, Percent 0.59%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Duff & Phelps Investment Management Co.

For the period April 14, 2026 (commencement of operations) to July 31, 2026, the Fund at NAV returned 7.03%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 7.67%, and the FTSE Nareit Equity REITs Index, which serves as the style-specific index, returned 7.96%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Duff & Phelps Real Estate Income ETF - NAV $10,703
Wilshire 5000 Total Market Index $10,767
FTSE Nareit Equity REITs Index $10,796
4/14/26
$10,000
$10,000
$10,000
4/30/26
$10,205
$10,334
$10,242
5/31/26
$10,227
$10,862
$10,239
6/30/26
$10,524
$10,823
$10,560
7/31/26
$10,703
$10,767
$10,796
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 4/14/26
Virtus Duff & Phelps Real Estate Income ETF - NAV
7.03
Wilshire 5000 Total Market Index
7.67
FTSE Nareit Equity REITs Index
7.96
Performance Inception Date Apr. 14, 2026
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 3,976,339
Holdings Count | Holding 55
Advisory Fees Paid, Amount $ 6,591
InvestmentCompanyPortfolioTurnover 7.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$3,976,339
Total number of portfolio holdings
55
Total advisory fees paid
$6,591
Portfolio turnover rate
7%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Real Estate
71.8%
Corporate Bonds
27.7%
Preferred Stocks
0.5%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000265193  
Shareholder Report [Line Items]  
Fund Name Virtus Emerging Markets Dividend ETF 
Class Name Virtus Emerging Markets Dividend ETF 
Trading Symbol VEM
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Emerging Markets Dividend ETF ("Fund") for the period of February 3, 2026 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Emerging Markets Dividend ETF
$25Footnote Reference(a)
0.49%
FootnoteDescription
Footnote(a)
Based on the period February 3, 2026 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 25 [3]
Expense Ratio, Percent 0.49%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Virtus Systematic

For the period February 3, 2026 (commencement of operations) to July 31, 2026, the Fund at NAV returned 9.92%. For the same period, the MSCI Emerging Markets Index (net), a broad-based securities market index, returned 9.70%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Emerging Markets Dividend ETF - NAV $10,992
MSCI Emerging Markets Index (net) $10,970
2/3/26
$10,000
$10,000
2/28/26
$10,407
$10,494
3/31/26
$9,216
$9,124
4/30/26
$10,299
$10,466
5/31/26
$11,092
$11,480
6/30/26
$10,913
$11,318
7/31/26
$10,992
$10,970
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 2/3/26
Virtus Emerging Markets Dividend ETF - NAV
9.92
MSCI Emerging Markets Index (net)
9.70
Performance Inception Date Feb. 03, 2026
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 6,802,261
Holdings Count | Holding 55
Advisory Fees Paid, Amount $ 19,635
InvestmentCompanyPortfolioTurnover 76.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$6,802,261
Total number of portfolio holdings
55
Total advisory fees paid
$19,635
Portfolio turnover rate
76%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Information Technology
42.5%
Financials
25.5%
Industrials
9.3%
Materials
8.1%
Energy
6.9%
Consumer Discretionary
2.7%
Consumer Staples
2.2%
Communication Services
1.7%
Utilities
1.1%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000265195  
Shareholder Report [Line Items]  
Fund Name Virtus International Dividend ETF
Class Name Virtus International Dividend ETF 
Trading Symbol VDI
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus International Dividend ETF ("Fund") for the period of December 2, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus International Dividend ETF
$29Footnote Reference(a)
0.39%
FootnoteDescription
Footnote(a)
Based on the period December 2, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 29 [4]
Expense Ratio, Percent 0.39%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Virtus Systematic

For the period December 2, 2025 (commencement of operations) to July 31, 2026, the Fund at NAV returned 22.43%. For the same period, the MSCI World Ex USA Index (net), a broad-based securities market index, returned 15.20%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus International Dividend ETF - NAV $12,243
MSCI World Ex USA Index (net) $11,520
12/2/25
$10,000
$10,000
12/31/25
$10,389
$10,337
1/31/26
$11,007
$10,825
2/28/26
$11,681
$11,345
3/31/26
$10,740
$10,240
4/30/26
$11,527
$10,997
5/31/26
$11,831
$11,306
6/30/26
$11,920
$11,287
7/31/26
$12,243
$11,520
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 12/2/25
Virtus International Dividend ETF - NAV
22.43
MSCI World Ex USA Index (net)
15.20
Performance Inception Date Dec. 02, 2025
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 16,313,609
Holdings Count | Holding 113
Advisory Fees Paid, Amount $ 39,399
InvestmentCompanyPortfolioTurnover 43.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$16,313,609
Total number of portfolio holdings
113
Total advisory fees paid
$39,399
Portfolio turnover rate
43%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Financials
40.7%
Industrials
12.8%
Information Technology
10.1%
Energy
8.7%
Utilities
6.2%
Materials
5.8%
Consumer Staples
5.0%
Health Care
4.9%
Communication Services
2.2%
Real Estate
1.9%
Consumer Discretionary
1.7%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000254229  
Shareholder Report [Line Items]  
Fund Name Virtus KAR Mid-Cap ETF
Class Name Virtus KAR Mid-Cap ETF 
Trading Symbol KMID
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus KAR Mid-Cap ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus KAR Mid-Cap ETF
$81
0.80%
Expenses Paid, Amount $ 81
Expense Ratio, Percent 0.80%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Kayne Anderson Rudnick Investment Management, LLC

For the fiscal year ended July 31, 2026, the Fund at NAV returned 1.80%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 19.69%, and the Russell Midcap® Index, which serves as the style-specific index, returned 18.68%.

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus KAR Mid-Cap ETF - NAV $10,010
Wilshire 5000 Total Market Index $13,134
Russell Midcap® Index $12,599
10/15/24
$10,000
$10,000
$10,000
10/31/24
$9,813
$9,818
$9,827
11/30/24
$10,469
$10,467
$10,694
12/31/24
$9,713
$10,150
$9,942
1/31/25
$10,068
$10,469
$10,365
2/28/25
$9,860
$10,265
$10,070
3/31/25
$9,478
$9,659
$9,604
4/30/25
$9,445
$9,596
$9,504
5/31/25
$9,852
$10,210
$10,048
6/30/25
$10,029
$10,732
$10,423
7/31/25
$9,832
$10,974
$10,616
8/31/25
$9,891
$11,229
$10,881
9/30/25
$9,865
$11,617
$10,978
10/31/25
$9,753
$11,866
$10,887
11/30/25
$9,680
$11,897
$11,026
12/31/25
$9,746
$11,889
$10,996
1/31/26
$10,103
$12,082
$11,332
2/28/26
$10,339
$12,023
$11,764
3/31/26
$9,540
$11,428
$11,138
4/30/26
$10,204
$12,605
$11,955
5/31/26
$9,926
$13,250
$12,296
6/30/26
$10,055
$13,202
$12,678
7/31/26
$10,010
$13,134
$12,599
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
Since Inception 10/15/24
Virtus KAR Mid-Cap ETF - NAV
1.80
0.05
Wilshire 5000 Total Market Index
19.69
16.44
Russell Midcap® Index
18.68
13.76
Performance Inception Date Oct. 15, 2024
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 45,596,204
Holdings Count | Holding 26
Advisory Fees Paid, Amount $ 305,228
InvestmentCompanyPortfolioTurnover 27.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$45,596,204
Total number of portfolio holdings
26
Total advisory fees paid
$305,228
Portfolio turnover rate
27%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Industrials
54.3%
Health Care
14.9%
Financials
13.6%
Information Technology
11.9%
Consumer Discretionary
5.3%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000224134  
Shareholder Report [Line Items]  
Fund Name Virtus Newfleet Securitized Income ETF 
Class Name Virtus Newfleet Securitized Income ETF 
Trading Symbol VABS
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Newfleet Securitized Income ETF (formerly, Virtus Newfleet ABS/MBS ETF) ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Newfleet Securitized Income ETF
$40
0.39%
Expenses Paid, Amount $ 40
Expense Ratio, Percent 0.39%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Newfleet Asset Management

For the fiscal year ended July 31, 2026, the Fund at NAV returned 3.70%. For the same period, the Bloomberg U.S. Aggregate Bond Index, a broad-based securities market index, returned 2.71%, and the ICE BofA 1-3 Year A-BBB US Corporate Index, which serves as the style-specific index, returned 3.95%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Newfleet Securitized Income ETF - NAV $11,846
Bloomberg U.S. Aggregate Bond Index $9,848
ICE BofA 1-3 Year A-BBB US Corporate Index $11,465
2/9/21
$10,000
$10,000
$10,000
2/28/21
$10,010
$9,882
$9,995
3/31/21
$9,987
$9,759
$9,986
4/30/21
$10,021
$9,836
$10,008
5/31/21
$10,047
$9,868
$10,030
6/30/21
$10,051
$9,937
$10,022
7/31/21
$10,085
$10,048
$10,039
8/31/21
$10,091
$10,029
$10,044
9/30/21
$10,082
$9,942
$10,041
10/31/21
$10,052
$9,940
$10,009
11/30/21
$10,047
$9,969
$9,993
12/31/21
$10,042
$9,943
$9,986
1/31/22
$9,994
$9,729
$9,911
2/28/22
$9,931
$9,621
$9,830
3/31/22
$9,792
$9,353
$9,661
4/30/22
$9,739
$8,998
$9,589
5/31/22
$9,703
$9,056
$9,645
6/30/22
$9,654
$8,914
$9,561
7/31/22
$9,669
$9,132
$9,633
8/31/22
$9,628
$8,874
$9,580
9/30/22
$9,504
$8,491
$9,440
10/31/22
$9,424
$8,381
$9,417
11/30/22
$9,472
$8,689
$9,545
12/31/22
$9,521
$8,650
$9,575
1/31/23
$9,705
$8,916
$9,677
2/28/23
$9,677
$8,685
$9,617
3/31/23
$9,753
$8,906
$9,696
4/30/23
$9,824
$8,960
$9,757
5/31/23
$9,822
$8,862
$9,740
6/30/23
$9,852
$8,831
$9,729
7/31/23
$9,922
$8,825
$9,797
8/31/23
$9,953
$8,768
$9,827
9/30/23
$9,994
$8,545
$9,821
10/31/23
$10,003
$8,411
$9,841
11/30/23
$10,110
$8,792
$9,987
12/31/23
$10,252
$9,128
$10,121
1/31/24
$10,342
$9,103
$10,175
2/29/24
$10,370
$8,974
$10,156
3/31/24
$10,451
$9,057
$10,210
4/30/24
$10,443
$8,828
$10,191
5/31/24
$10,524
$8,978
$10,274
6/30/24
$10,602
$9,063
$10,325
7/31/24
$10,733
$9,275
$10,457
8/31/24
$10,825
$9,408
$10,555
9/30/24
$10,926
$9,534
$10,652
10/31/24
$10,903
$9,298
$10,606
11/30/24
$10,975
$9,396
$10,653
12/31/24
$11,013
$9,242
$10,677
1/31/25
$11,093
$9,291
$10,732
2/28/25
$11,205
$9,496
$10,809
3/31/25
$11,213
$9,499
$10,853
4/30/25
$11,268
$9,537
$10,912
5/31/25
$11,307
$9,468
$10,932
6/30/25
$11,402
$9,614
$11,014
7/31/25
$11,424
$9,588
$11,030
8/31/25
$11,554
$9,703
$11,128
9/30/25
$11,489
$9,809
$11,176
10/31/25
$11,515
$9,870
$11,214
11/30/25
$11,581
$9,932
$11,267
12/31/25
$11,619
$9,917
$11,311
1/31/26
$11,675
$9,928
$11,357
2/28/26
$11,763
$10,090
$11,406
3/31/26
$11,705
$9,912
$11,347
4/30/26
$11,752
$9,923
$11,392
5/31/26
$11,796
$9,954
$11,430
6/30/26
$11,827
$9,978
$11,448
7/31/26
$11,846
$9,848
$11,465
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
5 Years
Since Inception 2/9/21
Virtus Newfleet Securitized Income ETF - NAV
3.70
3.27
3.14
Bloomberg U.S. Aggregate Bond Index
2.71
-0.40
-0.28
ICE BofA 1-3 Year A-BBB US Corporate Index
3.95
2.69
2.53
Performance Inception Date Feb. 09, 2021
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 112,095,003
Holdings Count | Holding 161
Advisory Fees Paid, Amount $ 323,658
InvestmentCompanyPortfolioTurnover 39.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$112,095,003
Total number of portfolio holdings
161
Total advisory fees paid
$323,658
Portfolio turnover rate
39%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Mortgage Backed Securities
69.0%
Asset Backed Securities
30.8%
Corporate Bond
0.2%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000246126  
Shareholder Report [Line Items]  
Fund Name Virtus Newfleet Short Duration Core Plus Bond ETF
Class Name Virtus Newfleet Short Duration Core Plus Bond ETF 
Trading Symbol SDCP
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Newfleet Short Duration Core Plus Bond ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Newfleet Short Duration Core Plus Bond ETF
$36
0.35%
Expenses Paid, Amount $ 36
Expense Ratio, Percent 0.35%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Newfleet Asset Management

For the fiscal year ended July 31, 2026, the Fund at NAV returned 3.57%. For the same period, the Bloomberg U.S. Aggregate Bond Index, a broad-based securities market index, returned 2.71%, and the ICE BofA 1-5 Year US Corporate & Government Index, which serves as the style-specific index, returned 3.05%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Newfleet Short Duration Core Plus Bond ETF - NAV $11,584
Bloomberg U.S. Aggregate Bond Index $11,405
ICE BofA 1-5 Year US Corporate & Government Index $11,345
11/15/23
$10,000
$10,000
$10,000
11/30/23
$10,067
$10,181
$10,081
12/31/23
$10,237
$10,571
$10,240
1/31/24
$10,307
$10,542
$10,280
2/29/24
$10,293
$10,393
$10,215
3/31/24
$10,360
$10,489
$10,261
4/30/24
$10,320
$10,224
$10,188
5/31/24
$10,407
$10,397
$10,283
6/30/24
$10,470
$10,496
$10,351
7/31/24
$10,594
$10,741
$10,506
8/31/24
$10,695
$10,895
$10,614
9/30/24
$10,788
$11,041
$10,712
10/31/24
$10,736
$10,767
$10,604
11/30/24
$10,802
$10,881
$10,650
12/31/24
$10,823
$10,703
$10,641
1/31/25
$10,890
$10,760
$10,697
2/28/25
$10,973
$10,996
$10,801
3/31/25
$10,990
$11,001
$10,854
4/30/25
$11,029
$11,044
$10,951
5/31/25
$11,070
$10,965
$10,929
6/30/25
$11,162
$11,133
$11,016
7/31/25
$11,185
$11,104
$11,010
8/31/25
$11,283
$11,237
$11,126
9/30/25
$11,283
$11,359
$11,159
10/31/25
$11,321
$11,430
$11,201
11/30/25
$11,383
$11,501
$11,261
12/31/25
$11,419
$11,484
$11,286
1/31/26
$11,464
$11,497
$11,312
2/28/26
$11,530
$11,685
$11,398
3/31/26
$11,470
$11,479
$11,306
4/30/26
$11,521
$11,492
$11,333
5/31/26
$11,554
$11,528
$11,345
6/30/26
$11,581
$11,555
$11,353
7/31/26
$11,584
$11,405
$11,345
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
Since Inception 11/15/23
Virtus Newfleet Short Duration Core Plus Bond ETF - NAV
3.57
5.58
Bloomberg U.S. Aggregate Bond Index
2.71
4.97
ICE BofA 1-5 Year US Corporate & Government Index
3.05
4.77
Performance Inception Date Nov. 15, 2023
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 13,374,163
Holdings Count | Holding 342
Advisory Fees Paid, Amount $ 44,690
InvestmentCompanyPortfolioTurnover 47.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$13,374,163
Total number of portfolio holdings
342
Total advisory fees paid
$44,690
Portfolio turnover rate
47%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Asset Backed Securities
32.4%
Mortgage Backed Securities
29.7%
Corporate Bonds
22.2%
U.S. Government Securities
10.1%
Foreign Bonds
5.6%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000162265  
Shareholder Report [Line Items]  
Fund Name Virtus Newfleet Short Duration High Yield Bond ETF 
Class Name Virtus Newfleet Short Duration High Yield Bond ETF 
Trading Symbol VSHY
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Newfleet Short Duration High Yield Bond ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Newfleet Short Duration High Yield Bond ETF
$40
0.39%
Expenses Paid, Amount $ 40
Expense Ratio, Percent 0.39%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Newfleet Asset Management

For the fiscal year ended July 31, 2026, the Fund at NAV returned 5.35%. For the same period, the Bloomberg U.S. Aggregate Bond Index, a broad-based securities market index, returned 2.71%, and the ICE BofA 1-3 Year BB US Cash Pay High Yield Index, a style-specific index, returned 5.06%.

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Newfleet Short Duration High Yield Bond ETF - NAV $14,779
Bloomberg U.S. Aggregate Bond Index $11,826
ICE BofA 1-3 Year BB US Cash Pay High Yield Index $15,411
12/5/16
$10,000
$10,000
$10,000
12/31/16
$10,008
$10,020
$10,067
1/31/17
$10,030
$10,040
$10,105
2/28/17
$10,090
$10,107
$10,158
3/31/17
$10,081
$10,102
$10,166
4/30/17
$10,151
$10,180
$10,239
5/31/17
$10,198
$10,258
$10,291
6/30/17
$10,175
$10,248
$10,311
7/31/17
$10,279
$10,292
$10,358
8/31/17
$10,244
$10,385
$10,383
9/30/17
$10,312
$10,335
$10,430
10/31/17
$10,372
$10,341
$10,443
11/30/17
$10,361
$10,328
$10,431
12/31/17
$10,415
$10,375
$10,433
1/31/18
$10,512
$10,256
$10,448
2/28/18
$10,462
$10,158
$10,416
3/31/18
$10,433
$10,224
$10,409
4/30/18
$10,463
$10,148
$10,459
5/31/18
$10,459
$10,220
$10,483
6/30/18
$10,477
$10,207
$10,492
7/31/18
$10,553
$10,210
$10,561
8/31/18
$10,616
$10,276
$10,616
9/30/18
$10,680
$10,209
$10,656
10/31/18
$10,584
$10,129
$10,626
11/30/18
$10,472
$10,189
$10,643
12/31/18
$10,217
$10,376
$10,572
1/31/19
$10,521
$10,487
$10,801
2/28/19
$10,688
$10,480
$10,900
3/31/19
$10,724
$10,682
$10,971
4/30/19
$10,873
$10,684
$11,032
5/31/19
$10,859
$10,874
$11,012
6/30/19
$10,840
$11,011
$11,162
7/31/19
$10,884
$11,035
$11,211
8/31/19
$10,837
$11,321
$11,305
9/30/19
$10,941
$11,261
$11,325
10/31/19
$10,922
$11,294
$11,365
11/30/19
$10,996
$11,289
$11,425
12/31/19
$11,166
$11,281
$11,491
1/31/20
$11,206
$11,498
$11,506
2/29/20
$11,089
$11,705
$11,362
3/31/20
$10,173
$11,636
$10,597
4/30/20
$10,440
$11,843
$10,959
5/31/20
$10,731
$11,898
$11,249
6/30/20
$10,750
$11,973
$11,372
7/31/20
$11,113
$12,152
$11,705
8/31/20
$11,211
$12,054
$11,780
9/30/20
$11,108
$12,047
$11,697
10/31/20
$11,140
$11,993
$11,755
11/30/20
$11,530
$12,111
$12,003
12/31/20
$11,769
$12,128
$12,116
1/31/21
$11,837
$12,041
$12,131
2/28/21
$11,868
$11,867
$12,156
3/31/21
$11,887
$11,719
$12,220
4/30/21
$12,007
$11,811
$12,302
5/31/21
$12,054
$11,850
$12,333
6/30/21
$12,202
$11,933
$12,397
7/31/21
$12,200
$12,066
$12,408
8/31/21
$12,245
$12,044
$12,455
9/30/21
$12,273
$11,939
$12,446
10/31/21
$12,254
$11,936
$12,464
11/30/21
$12,140
$11,971
$12,398
12/31/21
$12,366
$11,941
$12,509
1/31/22
$12,110
$11,683
$12,317
2/28/22
$11,976
$11,553
$12,257
3/31/22
$11,905
$11,232
$12,172
4/30/22
$11,522
$10,806
$11,997
5/31/22
$11,445
$10,876
$12,110
6/30/22
$10,703
$10,705
$11,728
7/31/22
$11,189
$10,966
$12,100
8/31/22
$11,073
$10,657
$11,982
9/30/22
$10,679
$10,196
$11,805
10/31/22
$10,944
$10,064
$12,006
11/30/22
$11,164
$10,434
$12,145
12/31/22
$11,114
$10,387
$12,125
1/31/23
$11,535
$10,707
$12,352
2/28/23
$11,419
$10,430
$12,313
3/31/23
$11,468
$10,695
$12,397
4/30/23
$11,597
$10,760
$12,486
5/31/23
$11,448
$10,642
$12,444
6/30/23
$11,693
$10,605
$12,556
7/31/23
$11,894
$10,597
$12,683
8/31/23
$11,953
$10,529
$12,720
9/30/23
$11,837
$10,262
$12,690
10/31/23
$11,620
$10,100
$12,673
11/30/23
$12,114
$10,557
$12,987
12/31/23
$12,507
$10,961
$13,199
1/31/24
$12,500
$10,931
$13,239
2/29/24
$12,532
$10,777
$13,282
3/31/24
$12,717
$10,876
$13,383
4/30/24
$12,571
$10,602
$13,371
5/31/24
$12,706
$10,781
$13,481
6/30/24
$12,825
$10,883
$13,575
7/31/24
$13,077
$11,138
$13,734
8/31/24
$13,293
$11,298
$13,852
9/30/24
$13,408
$11,449
$13,976
10/31/24
$13,362
$11,165
$13,969
11/30/24
$13,528
$11,283
$14,080
12/31/24
$13,500
$11,098
$14,081
1/31/25
$13,647
$11,157
$14,223
2/28/25
$13,717
$11,403
$14,291
3/31/25
$13,589
$11,407
$14,280
4/30/25
$13,470
$11,452
$14,325
5/31/25
$13,756
$11,370
$14,487
6/30/25
$13,970
$11,545
$14,635
7/31/25
$14,029
$11,514
$14,668
8/31/25
$14,183
$11,652
$14,788
9/30/25
$14,280
$11,779
$14,864
10/31/25
$14,321
$11,853
$14,932
11/30/25
$14,365
$11,926
$15,024
12/31/25
$14,426
$11,909
$15,099
1/31/26
$14,512
$11,921
$15,159
2/28/26
$14,550
$12,117
$15,195
3/31/26
$14,442
$11,903
$15,127
4/30/26
$14,647
$11,917
$15,276
5/31/26
$14,727
$11,954
$15,360
6/30/26
$14,771
$11,982
$15,393
7/31/26
$14,779
$11,826
$15,411
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
5 Years
Since Inception 12/5/16
Virtus Newfleet Short Duration High Yield Bond ETF - NAV
5.35
3.91
4.13
Bloomberg U.S. Aggregate Bond Index
2.71
-0.40
1.75
ICE BofA 1-3 Year BB US Cash Pay High Yield Index
5.06
4.43
4.58
Performance Inception Date Dec. 05, 2016
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 31,420,582
Holdings Count | Holding 200
Advisory Fees Paid, Amount $ 120,362
InvestmentCompanyPortfolioTurnover 39.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$31,420,582
Total number of portfolio holdings
200
Total advisory fees paid
$120,362
Portfolio turnover rate
39%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Corporate Bonds
85.7%
Foreign Bonds
14.3%
Common StockFootnote Reference(2)
0.0%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Footnote(2)
Amount rounds to less than 0.05%.
Material Fund Change [Text Block]
C000255321  
Shareholder Report [Line Items]  
Fund Name Virtus Seix AAA Private Credit CLO ETF 
Class Name Virtus Seix AAA Private Credit CLO ETF 
Trading Symbol PCLO
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Seix AAA Private Credit CLO ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Seix AAA Private Credit CLO ETF
$30
0.29%
Expenses Paid, Amount $ 30
Expense Ratio, Percent 0.29%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Seix Investment Advisors

For the fiscal year ended July 31, 2026, the Fund at NAV returned 5.07%. For the same period, the Bloomberg U.S. Aggregate Bond Index, a broad-based securities market index, returned 2.71%, and the J.P. Morgan CLOIE AAA Index, which serves as the style-specific index, returned 5.03%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Seix AAA Private Credit CLO ETF - NAV $10,876
Bloomberg U.S. Aggregate Bond Index $10,475
J.P. Morgan CLOIE AAA Index $10,887
12/2/24
$10,000
$10,000
$10,000
12/31/24
$10,056
$9,830
$10,045
1/31/25
$10,106
$9,882
$10,108
2/28/25
$10,145
$10,099
$10,137
3/31/25
$10,151
$10,103
$10,154
4/30/25
$10,175
$10,143
$10,186
5/31/25
$10,263
$10,070
$10,261
6/30/25
$10,300
$10,225
$10,317
7/31/25
$10,351
$10,198
$10,366
8/31/25
$10,407
$10,320
$10,414
9/30/25
$10,456
$10,433
$10,464
10/31/25
$10,501
$10,498
$10,503
11/30/25
$10,556
$10,563
$10,544
12/31/25
$10,599
$10,548
$10,592
1/31/26
$10,643
$10,559
$10,646
2/28/26
$10,680
$10,732
$10,680
3/31/26
$10,699
$10,543
$10,700
4/30/26
$10,754
$10,554
$10,758
5/31/26
$10,793
$10,587
$10,805
6/30/26
$10,830
$10,613
$10,846
7/31/26
$10,876
$10,475
$10,887
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
Since Inception 12/2/24
Virtus Seix AAA Private Credit CLO ETF - NAV
5.07
5.19
Bloomberg U.S. Aggregate Bond Index
2.71
2.83
J.P. Morgan CLOIE AAA Index
5.03
5.25
Performance Inception Date Dec. 02, 2024
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 19,911,095
Holdings Count | Holding 23
Advisory Fees Paid, Amount $ 53,417
InvestmentCompanyPortfolioTurnover 43.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$19,911,095
Total number of portfolio holdings
23
Total advisory fees paid
$53,417
Portfolio turnover rate
43%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Asset Backed Securities
95.7%
Term Loan
4.3%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000209678  
Shareholder Report [Line Items]  
Fund Name Virtus Seix Senior Loan ETF 
Class Name Virtus Seix Senior Loan ETF 
Trading Symbol SEIX
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Seix Senior Loan ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Seix Senior Loan ETF
$59
0.57%
Expenses Paid, Amount $ 59
Expense Ratio, Percent 0.57%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Seix Investment Advisors

For the fiscal year ended July 31, 2026, the Fund at NAV returned 5.29%. For the same period, the Bloomberg U.S. Aggregate Bond Index, a broad-based securities market index, returned 2.71%, and the S&P UBS Leveraged Loan Index, which serves as the style-specific index, returned 4.27%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Seix Senior Loan ETF - NAV $14,604
Bloomberg U.S. Aggregate Bond Index $11,085
S&P UBS Leveraged Loan Index $14,703
4/24/19
$10,000
$10,000
$10,000
4/30/19
$10,005
$10,015
$10,019
5/31/19
$9,973
$10,193
$9,997
6/30/19
$10,016
$10,321
$10,019
7/31/19
$10,108
$10,343
$10,097
8/31/19
$10,079
$10,611
$10,069
9/30/19
$10,105
$10,555
$10,111
10/31/19
$10,102
$10,587
$10,062
11/30/19
$10,179
$10,581
$10,117
12/31/19
$10,346
$10,574
$10,281
1/31/20
$10,371
$10,777
$10,335
2/29/20
$10,228
$10,971
$10,196
3/31/20
$9,497
$10,907
$8,925
4/30/20
$9,796
$11,101
$9,308
5/31/20
$10,045
$11,152
$9,661
6/30/20
$10,143
$11,222
$9,792
7/31/20
$10,321
$11,390
$9,976
8/31/20
$10,371
$11,298
$10,126
9/30/20
$10,374
$11,292
$10,195
10/31/20
$10,386
$11,242
$10,213
11/30/20
$10,582
$11,352
$10,431
12/31/20
$10,687
$11,367
$10,566
1/31/21
$10,777
$11,286
$10,700
2/28/21
$10,813
$11,123
$10,772
3/31/21
$10,820
$10,984
$10,778
4/30/21
$10,876
$11,071
$10,833
5/31/21
$10,947
$11,107
$10,889
6/30/21
$11,006
$11,185
$10,934
7/31/21
$11,037
$11,310
$10,934
8/31/21
$11,086
$11,289
$10,987
9/30/21
$11,147
$11,191
$11,058
10/31/21
$11,199
$11,188
$11,084
11/30/21
$11,188
$11,221
$11,067
12/31/21
$11,290
$11,192
$11,137
1/31/22
$11,283
$10,951
$11,177
2/28/22
$11,223
$10,829
$11,121
3/31/22
$11,223
$10,528
$11,126
4/30/22
$11,168
$10,129
$11,145
5/31/22
$10,921
$10,194
$10,865
6/30/22
$10,631
$10,034
$10,641
7/31/22
$10,834
$10,279
$10,840
8/31/22
$10,980
$9,989
$11,006
9/30/22
$10,766
$9,557
$10,768
10/31/22
$10,893
$9,433
$10,859
11/30/22
$11,006
$9,780
$10,980
12/31/22
$11,076
$9,736
$11,019
1/31/23
$11,342
$10,036
$11,302
2/28/23
$11,400
$9,776
$11,373
3/31/23
$11,404
$10,024
$11,362
4/30/23
$11,471
$10,085
$11,470
5/31/23
$11,426
$9,975
$11,460
6/30/23
$11,711
$9,940
$11,716
7/31/23
$11,858
$9,933
$11,869
8/31/23
$11,980
$9,870
$12,006
9/30/23
$12,085
$9,619
$12,111
10/31/23
$12,087
$9,467
$12,115
11/30/23
$12,250
$9,896
$12,259
12/31/23
$12,453
$10,274
$12,456
1/31/24
$12,541
$10,246
$12,554
2/29/24
$12,639
$10,101
$12,666
3/31/24
$12,700
$10,195
$12,771
4/30/24
$12,739
$9,937
$12,858
5/31/24
$12,877
$10,106
$12,974
6/30/24
$12,900
$10,201
$13,010
7/31/24
$12,999
$10,440
$13,105
8/31/24
$13,078
$10,590
$13,183
9/30/24
$13,152
$10,731
$13,280
10/31/24
$13,263
$10,465
$13,392
11/30/24
$13,406
$10,576
$13,505
12/31/24
$13,487
$10,403
$13,584
1/31/25
$13,571
$10,458
$13,682
2/28/25
$13,572
$10,688
$13,703
3/31/25
$13,511
$10,692
$13,667
4/30/25
$13,456
$10,734
$13,658
5/31/25
$13,645
$10,657
$13,875
6/30/25
$13,757
$10,821
$13,986
7/31/25
$13,871
$10,793
$14,101
8/31/25
$13,957
$10,922
$14,153
9/30/25
$14,035
$11,041
$14,221
10/31/25
$14,045
$11,110
$14,263
11/30/25
$14,091
$11,179
$14,293
12/31/25
$14,191
$11,162
$14,390
1/31/26
$14,165
$11,174
$14,352
2/28/26
$14,144
$11,357
$14,235
3/31/26
$14,204
$11,157
$14,322
4/30/26
$14,412
$11,170
$14,497
5/31/26
$14,484
$11,204
$14,567
6/30/26
$14,503
$11,231
$14,586
7/31/26
$14,604
$11,085
$14,703
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
5 Years
Since Inception 4/24/19
Virtus Seix Senior Loan ETF - NAV
5.29
5.76
5.34
Bloomberg U.S. Aggregate Bond Index
2.71
-0.40
1.43
S&P UBS Leveraged Loan Index
4.27
6.10
5.44
Performance Inception Date Apr. 24, 2019
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 251,295,104
Holdings Count | Holding 260
Advisory Fees Paid, Amount $ 1,520,484
InvestmentCompanyPortfolioTurnover 203.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$251,295,104
Total number of portfolio holdings
260
Total advisory fees paid
$1,520,484
Portfolio turnover rate
203%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Term Loans
94.6%
Corporate Bonds
3.7%
Foreign Bonds
1.0%
Asset Backed Security
0.5%
Affiliated Exchange Traded Fund
0.2%
Common StocksFootnote Reference(2)
0.0%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Footnote(2)
Amount rounds to less than 0.05%.
Material Fund Change [Text Block]
C000268744  
Shareholder Report [Line Items]  
Fund Name Virtus Silvant Growth Opportunities ETF 
Class Name Virtus Silvant Growth Opportunities ETF 
Trading Symbol VGRO
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Silvant Growth Opportunities ETF ("Fund") for the period of December 22, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Silvant Growth Opportunities ETF
$21Footnote Reference(a)
0.35%
FootnoteDescription
Footnote(a)
Based on the period December 22, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 21 [5]
Expense Ratio, Percent 0.35%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Silvant Capital Management LLC

For the period December 22, 2025 (commencement of operations) to July 31, 2026, the Fund at NAV returned -0.59%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 9.72%, and the Russell 1000® Growth Index, which serves as the style-specific index, returned -0.35%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Silvant Growth Opportunities ETF - NAV $9,941
Wilshire 5000 Total Market Index $10,972
Russell 1000® Growth Index $9,965
12/22/25
$10,000
$10,000
$10,000
12/31/25
$9,954
$9,932
$9,933
1/31/26
$9,754
$10,093
$9,783
2/28/26
$9,474
$10,044
$9,455
3/31/26
$8,906
$9,547
$8,962
4/30/26
$10,067
$10,530
$10,028
5/31/26
$10,686
$11,069
$10,750
6/30/26
$10,243
$11,029
$10,462
7/31/26
$9,941
$10,972
$9,965
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 12/22/25
Virtus Silvant Growth Opportunities ETF - NAV
-0.59
Wilshire 5000 Total Market Index
9.72
Russell 1000® Growth Index
-0.35
Performance Inception Date Dec. 22, 2025
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 3,748,103
Holdings Count | Holding 28
Advisory Fees Paid, Amount $ 6,825
InvestmentCompanyPortfolioTurnover 25.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$3,748,103
Total number of portfolio holdings
28
Total advisory fees paid
$6,825
Portfolio turnover rate
25%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Information Technology
47.2%
Communication Services
21.9%
Industrials
9.0%
Consumer Discretionary
8.7%
Health Care
7.3%
Financials
4.4%
Materials
1.5%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000268746  
Shareholder Report [Line Items]  
Fund Name Virtus Silvant Small/Mid Growth ETF 
Class Name Virtus Silvant Small/Mid Growth ETF 
Trading Symbol SSMG
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Silvant Small/Mid Growth ETF ("Fund") for the period of April 21, 2026 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Silvant Small/Mid Growth ETF
$11Footnote Reference(a)
0.39%
FootnoteDescription
Footnote(a)
Based on the period April 21, 2026 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 11 [6]
Expense Ratio, Percent 0.39%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Silvant Capital Management LLC

For the period April 21, 2026 (commencement of operations) to July 31, 2026, the Fund at NAV returned 2.46%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 6.09%, and the Russell 2500™ Growth Index, which serves as the style-specific index, returned 1.79%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Silvant Small/Mid Growth ETF - NAV $10,246
Wilshire 5000 Total Market Index $10,609
Russell 2500™ Growth Index $10,179
4/21/26
$10,000
$10,000
$10,000
4/30/26
$10,184
$10,182
$10,056
5/31/26
$10,960
$10,703
$10,777
6/30/26
$11,382
$10,664
$11,049
7/31/26
$10,246
$10,609
$10,179
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 4/21/26
Virtus Silvant Small/Mid Growth ETF - NAV
2.46
Wilshire 5000 Total Market Index
6.09
Russell 2500™ Growth Index
1.79
Performance Inception Date Apr. 21, 2026
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 3,196,730
Holdings Count | Holding 82
Advisory Fees Paid, Amount $ 3,535
InvestmentCompanyPortfolioTurnover 11.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$3,196,730
Total number of portfolio holdings
82
Total advisory fees paid
$3,535
Portfolio turnover rate
11%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Industrials
29.0%
Information Technology
25.4%
Health Care
18.7%
Consumer Discretionary
10.3%
Financials
6.5%
Energy
4.4%
Materials
2.1%
Communication Services
1.4%
Utilities
1.3%
Real Estate
0.9%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000239036  
Shareholder Report [Line Items]  
Fund Name Virtus Stone Harbor Emerging Markets High Yield Bond ETF 
Class Name Virtus Stone Harbor Emerging Markets High Yield Bond ETF 
Trading Symbol VEMY
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Stone Harbor Emerging Markets High Yield Bond ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Stone Harbor Emerging Markets High Yield Bond ETF
$59
0.55%
Expenses Paid, Amount $ 59
Expense Ratio, Percent 0.55%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Stone Harbor Investment Partners

For the fiscal year ended July 31, 2026, the Fund at NAV returned 12.78%. For the same period, the Bloomberg Emerging Markets USD Aggregate Bond Index, a broad-based securities market index, returned 5.65%, and the J.P. Morgan Hard Currency Credit 50-50 High Yield Index, which serves as the style-specific index, returned 11.36%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Stone Harbor Emerging Markets High Yield Bond ETF - NAV $15,723
Bloomberg Emerging Markets USD Aggregate Bond Index $12,940
J.P. Morgan Hard Currency Credit 50-50 High Yield Index $15,197
12/12/22
$10,000
$10,000
$10,000
12/31/22
$9,958
$9,947
$10,012
1/31/23
$10,481
$10,265
$10,392
2/28/23
$10,135
$10,036
$10,180
3/31/23
$10,071
$10,161
$10,167
4/30/23
$10,073
$10,201
$10,169
5/31/23
$10,066
$10,124
$10,143
6/30/23
$10,410
$10,275
$10,469
7/31/23
$10,722
$10,396
$10,745
8/31/23
$10,587
$10,271
$10,634
9/30/23
$10,532
$10,038
$10,522
10/31/23
$10,443
$9,889
$10,429
11/30/23
$10,951
$10,414
$10,934
12/31/23
$11,395
$10,851
$11,364
1/31/24
$11,439
$10,790
$11,391
2/29/24
$11,693
$10,831
$11,638
3/31/24
$12,016
$11,017
$11,888
4/30/24
$11,961
$10,836
$11,779
5/31/24
$12,112
$11,022
$11,957
6/30/24
$12,147
$11,092
$12,020
7/31/24
$12,381
$11,297
$12,226
8/31/24
$12,647
$11,534
$12,468
9/30/24
$12,897
$11,737
$12,709
10/31/24
$12,851
$11,576
$12,663
11/30/24
$13,037
$11,704
$12,823
12/31/24
$12,974
$11,565
$12,774
1/31/25
$13,217
$11,688
$12,984
2/28/25
$13,378
$11,878
$13,132
3/31/25
$13,212
$11,835
$13,031
4/30/25
$13,073
$11,830
$12,925
5/31/25
$13,349
$11,909
$13,155
6/30/25
$13,687
$12,136
$13,445
7/31/25
$13,941
$12,248
$13,647
8/31/25
$14,160
$12,411
$13,875
9/30/25
$14,233
$12,549
$14,055
10/31/25
$14,597
$12,765
$14,328
11/30/25
$14,671
$12,795
$14,403
12/31/25
$14,874
$12,850
$14,575
1/31/26
$15,205
$12,897
$14,786
2/28/26
$15,342
$13,054
$14,916
3/31/26
$14,932
$12,677
$14,506
4/30/26
$15,497
$12,945
$14,987
5/31/26
$15,691
$13,037
$15,148
6/30/26
$15,811
$13,110
$15,273
7/31/26
$15,723
$12,940
$15,197
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
Since Inception 12/12/22
Virtus Stone Harbor Emerging Markets High Yield Bond ETF - NAV
12.78
13.26
Bloomberg Emerging Markets USD Aggregate Bond Index
5.65
7.35
J.P. Morgan Hard Currency Credit 50-50 High Yield Index
11.36
12.20
Performance Inception Date Dec. 12, 2022
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 49,736,921
Holdings Count | Holding 190
Advisory Fees Paid, Amount $ 114,398
InvestmentCompanyPortfolioTurnover 108.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$49,736,921
Total number of portfolio holdings
190
Total advisory fees paid
$114,398
Portfolio turnover rate
108%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Corporate Bonds and Notes
43.2%
Foreign Government Securities
43.0%
Foreign Bonds
13.8%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000222917  
Shareholder Report [Line Items]  
Fund Name Virtus Terranova U.S. Quality Momentum ETF 
Class Name Virtus Terranova U.S. Quality Momentum ETF 
Trading Symbol JOET
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus Terranova U.S. Quality Momentum ETF ("Fund") for the period of August 1, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus Terranova U.S. Quality Momentum ETF
$31
0.29%
Expenses Paid, Amount $ 31
Expense Ratio, Percent 0.29%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Virtus Investment Advisers, LLC

For the fiscal year ended July 31, 2026, the Fund at NAV returned 11.49%. For the same period, the S&P 500® Index, a broad-based securities market index, returned 19.56%, and the Terranova U.S. Quality Momentum Index, which serves as the style-specific index, returned 11.92%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus Terranova U.S. Quality Momentum ETF - NAV $19,087
S&P 500® Index $22,525
Terranova U.S. Quality Momentum Index $19,521
11/17/20
$10,000
$10,000
$10,000
11/30/20
$10,128
$10,040
$10,129
12/31/20
$10,500
$10,426
$10,504
1/31/21
$10,238
$10,321
$10,245
2/28/21
$10,294
$10,606
$10,303
3/31/21
$10,681
$11,070
$10,697
4/30/21
$11,217
$11,661
$11,242
5/31/21
$11,294
$11,742
$11,322
6/30/21
$11,674
$12,017
$11,710
7/31/21
$12,158
$12,302
$12,201
8/31/21
$12,590
$12,676
$12,642
9/30/21
$11,859
$12,087
$11,907
10/31/21
$12,869
$12,933
$12,932
11/30/21
$12,774
$12,844
$12,840
12/31/21
$13,307
$13,419
$13,379
1/31/22
$11,998
$12,725
$12,066
2/28/22
$11,730
$12,344
$11,798
3/31/22
$12,108
$12,802
$12,183
4/30/22
$11,017
$11,686
$11,081
5/31/22
$11,038
$11,707
$11,106
6/30/22
$10,177
$10,741
$10,236
7/31/22
$11,031
$11,731
$11,107
8/31/22
$10,709
$11,253
$10,782
9/30/22
$9,913
$10,216
$9,973
10/31/22
$10,871
$11,044
$10,953
11/30/22
$11,521
$11,661
$11,620
12/31/22
$10,925
$10,989
$11,012
1/31/23
$11,462
$11,679
$11,558
2/28/23
$11,180
$11,394
$11,274
3/31/23
$11,240
$11,813
$11,339
4/30/23
$11,254
$11,997
$11,355
5/31/23
$11,049
$12,049
$11,149
6/30/23
$11,746
$12,845
$11,866
7/31/23
$12,104
$13,258
$12,237
8/31/23
$11,889
$13,047
$12,018
9/30/23
$11,384
$12,425
$11,500
10/31/23
$10,893
$12,164
$10,996
11/30/23
$11,932
$13,275
$12,064
12/31/23
$12,686
$13,878
$12,838
1/31/24
$12,864
$14,111
$13,023
2/29/24
$13,811
$14,864
$13,992
3/31/24
$14,233
$15,343
$14,427
4/30/24
$13,495
$14,716
$13,677
5/31/24
$13,854
$15,446
$14,044
6/30/24
$14,210
$16,000
$14,412
7/31/24
$14,363
$16,195
$14,571
8/31/24
$14,901
$16,587
$15,126
9/30/24
$15,220
$16,942
$15,456
10/31/24
$15,228
$16,788
$15,469
11/30/24
$16,794
$17,774
$17,083
12/31/24
$15,730
$17,350
$15,995
1/31/25
$16,614
$17,833
$16,899
2/28/25
$16,141
$17,600
$16,414
3/31/25
$15,260
$16,609
$15,516
4/30/25
$15,403
$16,496
$15,666
5/31/25
$16,442
$17,534
$16,737
6/30/25
$17,042
$18,426
$17,357
7/31/25
$17,120
$18,840
$17,442
8/31/25
$17,414
$19,221
$17,748
9/30/25
$17,914
$19,923
$18,265
10/31/25
$17,799
$20,390
$18,152
11/30/25
$17,676
$20,439
$18,030
12/31/25
$17,634
$20,452
$17,993
1/31/26
$17,721
$20,749
$18,087
2/28/26
$17,950
$20,591
$18,326
3/31/26
$16,785
$19,566
$17,136
4/30/26
$17,989
$21,618
$18,377
5/31/26
$18,752
$22,756
$19,166
6/30/26
$19,406
$22,540
$19,844
7/31/26
$19,087
$22,525
$19,521
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
1 Year
5 Years
Since Inception 11/17/20
Virtus Terranova U.S. Quality Momentum ETF - NAV
11.49
9.44
12.00
S&P 500® Index
19.56
12.86
15.30
Terranova U.S. Quality Momentum Index
11.92
9.86
12.44
Performance Inception Date Nov. 17, 2020
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 243,451,457
Holdings Count | Holding 125
Advisory Fees Paid, Amount $ 679,145
InvestmentCompanyPortfolioTurnover 127.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$243,451,457
Total number of portfolio holdings
125
Total advisory fees paid
$679,145
Portfolio turnover rate
127%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Information Technology
25.7%
Industrials
17.3%
Financials
15.5%
Health Care
11.8%
Energy
10.7%
Consumer Discretionary
7.3%
Communication Services
3.2%
Consumer Staples
2.4%
Utilities
2.3%
Materials
2.3%
Real Estate
1.5%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
C000265197  
Shareholder Report [Line Items]  
Fund Name Virtus U.S. Dividend ETF 
Class Name Virtus U.S. Dividend ETF 
Trading Symbol VUS
Security Exchange Name NYSEArca
Annual or Semi-Annual Statement [Text Block] This annual shareholder report contains important information about the Virtus U.S. Dividend ETF ("Fund") for the period of December 2, 2025 to July 31, 2026.
Additional Information [Text Block] You can find additional information about the Fund at https://www.virtus.com/investor-resources/etf-documents. You can also request this information by contacting us at 1-888-383-0553
Additional Information Phone Number 1-888-383-0553
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">https://www.virtus.com/investor-resources/etf-documents</span>
Expenses [Text Block]

What were the Fund costs for the period? 

(Based on a hypothetical $10,000 investment)

Table Summary
Fund
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
Virtus U.S. Dividend ETF
$18Footnote Reference(a)
0.25%
FootnoteDescription
Footnote(a)
Based on the period December 2, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
Expenses Paid, Amount $ 18 [7]
Expense Ratio, Percent 0.25%
Factors Affecting Performance [Text Block]

Portfolio Manager Commentary by Virtus Systematic

For the period December 2, 2025 (commencement of operations) to July 31, 2026, the Fund at NAV returned 20.88%. For the same period, the Wilshire 5000 Total Market Index, a broad-based securities market index, returned 10.80%, and the Russell 3000® Index, which serves as the style-specific index, returned 10.71%.

 

 

Performance Past Does Not Indicate Future [Text] Performance data quoted represents past performance.
Line Graph [Table Text Block]
A line chart as described in the following paragraph
Table Summary
Virtus U.S. Dividend ETF - NAV $12,088
Wilshire 5000 Total Market Index $11,080
Russell 3000® Index $11,071
12/2/25
$10,000
$10,000
$10,000
12/31/25
$10,106
$10,029
$10,033
1/31/26
$10,727
$10,192
$10,189
2/28/26
$11,026
$10,142
$10,140
3/31/26
$10,402
$9,640
$9,636
4/30/26
$11,578
$10,633
$10,619
5/31/26
$12,060
$11,177
$11,157
6/30/26
$12,079
$11,136
$11,123
7/31/26
$12,088
$11,080
$11,071
Average Annual Return [Table Text Block]
Table Summary
ANNUAL AVERAGE TOTAL RETURNS
Since Inception 12/2/25
Virtus U.S. Dividend ETF - NAV
20.88
Wilshire 5000 Total Market Index
10.80
Russell 3000® Index
10.71
Performance Inception Date Dec. 02, 2025
No Deduction of Taxes [Text Block] The above table and graph do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of shares.
AssetsNet $ 17,875,929
Holdings Count | Holding 94
Advisory Fees Paid, Amount $ 27,625
InvestmentCompanyPortfolioTurnover 40.00%
Additional Fund Statistics [Text Block]

KEY FUND STATISTICS (as of July 31, 2026)

Table Summary
Fund net assets
$17,875,929
Total number of portfolio holdings
94
Total advisory fees paid
$27,625
Portfolio turnover rate
40%
Holdings [Text Block]

ASSET ALLOCATION Footnote Reference(1) 

Table Summary
Information Technology
34.3%
Financials
18.2%
Health Care
10.4%
Industrials
8.4%
Real Estate
7.2%
Energy
6.7%
Communication Services
5.8%
Consumer Discretionary
4.3%
Consumer Staples
2.6%
Utilities
1.4%
Materials
0.7%
FootnoteDescription
Footnote(1)
Percentage of total investments as of July 31, 2026.
Material Fund Change [Text Block]
[1] Based on the period August 4, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
[2] Based on the period April 14, 2026 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
[3] Based on the period February 3, 2026 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
[4] Based on the period December 2, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
[5] Based on the period December 22, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
[6] Based on the period April 21, 2026 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.
[7] Based on the period December 2, 2025 (commencement of operations) through July 31, 2026. Expenses would have been higher if the Fund had been in existence for the full reporting period.