Apollo Global Management, Inc. (APO)
$
142.92
+3.58 (2.50%)
Key metrics
Financial statements
Free cash flow per share
6.0501
Market cap
81.7 Billion
Price to sales ratio
3.3173
Debt to equity
0.5886
Current ratio
0.7998
Income quality
0.5995
Average inventory
0
ROE
0.2102
Technology
Technology – consumer electronics
Largecap
With a market cap of 121,78 bil stock is ranked 1
Low risk
ISS score of this stock is ranked 1
Company description
Profile
Apollo Global Management, Inc. is a private equity firm focusing on investments across credit, private equity, and real estate markets. The firm’s private equity portfolio includes a diverse range of investments such as traditional buyouts, distressed buyouts, and corporate carve-outs, highlighting its adaptability in different market conditions. The EBITDA ratio is 0.32 emphasizing the company's operational efficiency, while the EBITDA is $8,409,000,000.00 a key indicator of operational profitability. The company reported selling, general, and administrative expenses of $2,638,000,000.00 showcasing its operational overhead costs. Furthermore, the income before tax reported by the company is $7,435,000,000.00 indicating its pre-tax profitability, while the cost of revenue stands at $1,140,000,000.00 reflecting the company’s production and operational expenditures. The firm adeptly manages client-focused portfolios, with investments in fixed income and alternative markets globally, emphasizing its broad reach and expertise in various sectors. Additionally, the stock is reasonably priced at $139.35 appealing to a broad range of investors, which is further underscored by a high average trading volume of 4,022,975.00 indicating strong liquidity. With a large market capitalization of $81,677,922,480.00 the company is a dominant player in the market. It is a key player in the Asset Management - Global industry, contributing significantly to the overall market landscape and demonstrating robust performance. Moreover, it belongs to the Financial Services sector, driving innovation and growth within its focus areas. Through a combination of contrarian, value, and distressed strategies, Apollo seeks to invest wisely, forerunning in both established and emerging markets while managing real estate funds and private equity assets for clients across diverse geographic regions.
Investing in Apollo Global Management, Inc. (APO) depends on multiple factors, including revenue growth, profit margins, debt-to-equity ratio, earnings per share, and return on equity. Analysts have rated it as B-, with a Bullish outlook. Always conduct your own research before investing.
Analysts predict Apollo Global Management, Inc. stock to fluctuate between $95.11 (low) and $189.49 (high) in the next 365 days, reflecting market expectations and potential volatility.
As of 2025-06-27, Apollo Global Management, Inc.'s market cap is $81,677,922,480, based on 571,494,000 outstanding shares.
Compared to JPMorgan Chase & Co., Apollo Global Management, Inc. has a Lower Market-Cap, indicating a difference in performance.
Apollo Global Management, Inc. pays dividends. The current dividend yield is 1.32%, with a payout of $0.51 per share.
To buy Apollo Global Management, Inc. (APO) stock: Open a brokerage account (e.g., Robinhood, TD Ameritrade, E-Trade). Search for APO. Place an order (Market, Limit, etc.).
The best time to invest depends on market trends and technical indicators, which show a Bullish trend based on economic conditions and company performance.
Apollo Global Management, Inc.'s last stock split was 1:1 on 2013-08-22.
Revenue: $26,114,000,000 | EPS: $9.83 | Growth: 18.15%.
Visit https://www.apollo.com/investor-relations for detailed financial reports.
You can explore historical data from here
All-time high: $189.49 (2024-12-09) | All-time low: $45.40 (2021-03-10).
Key trends include market demand, economic conditions, interest rates, and industry competition, which influence the stock's performance.
News
globenewswire.com
NEW YORK, June 27, 2025 (GLOBE NEWSWIRE) -- Apollo (NYSE: APO) plans to release financial results for the second quarter 2025 on Tuesday, August 5, 2025, before the opening of trading on the New York Stock Exchange. Management will review Apollo's financial results at 8:30 am EDT via public webcast available on Apollo's Investor Relations website at ir.apollo.com. A replay will be available one hour after the event.
globenewswire.com
HONG KONG, June 26, 2025 (GLOBE NEWSWIRE) -- Apollo (NYSE: APO) today announced that Celia Yan has joined the firm as a Partner and Head of Hybrid for Asia Pacific. Based in Hong Kong, Yan will lead the expansion of Apollo's hybrid platform across the region, building on the firm's momentum in delivering flexible, tailored capital solutions across private markets.
globenewswire.com
PITTSBURGH, June 25, 2025 (GLOBE NEWSWIRE) -- Excelitas ® , a leading provider of advanced, life-enriching technologies that make a difference, serving global market leaders in the life sciences, advanced industrial, next-generation semiconductor and avionics sectors, today announced the appointment of Lynn Swann to its Board of Directors.
globenewswire.com
Investment Grade Financing Supports Critical Indian Infrastructure Asset Investment Grade Financing Supports Critical Indian Infrastructure Asset
reuters.com
Apollo Global will provide 4.5 billion pounds ($6.08 billion) in financing to support Britain's long-delayed Hinkley Point nuclear project, the U.S. private equity group said on Friday.
businessinsider.com
Apollo halted 2027 associate class recruiting, disrupting private equity norms. Jamie Dimon has criticized the practice, and JPMorgan cracked down on it last week.
prnewswire.com
TULSA, Okla. , June 10, 2025 /PRNewswire/ -- T.D.
invezz.com
LionTrust fund manager, Storm Uru says some of the most compelling opportunities for investors in search of durable growth amidst persistent macro uncertainty may be in the private equity space.
wsj.com
Wall Street wants to sell more ‘alternative' assets to small investors. The glory days for these assets may already be ending.
seekingalpha.com
Apollo Global Management is structurally advantaged by its hybrid model, combining insurance, origination, and asset management for resilient, recurring earnings and scalable AUM growth. The market undervalues APO's strong free cash flow, robust fee-related earnings, and exposure to megatrends in private credit and yield solutions. Key catalysts include sustained origination volumes, successful Bridge Investment Group integration, macro stabilization, and potential regulatory changes expanding access to alternatives.
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