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Apollo Global Management Inc   (NYSE: APO)
    Sector  Financial    Industry Investment Services
   Industry Investment Services
   Sector  Financial
 
Price: $133.6700 $-0.82 -0.610%
Day's High: $134.63999938964844 Week Perf: -2.13 %
Day's Low: $ 131.43 30 Day Perf: 4.44 %
Volume (M): 1,941,100 52 Wk High: $ 153.29
Volume (M$): $ 0 52 Wk Avg: $128.32
Open: $133.91 52 Wk Low: $99.56



 Market Capitalization (Millions $) 81,568
 Shares Outstanding (Millions) 610
 Employees 6,140
 Revenues (TTM) (Millions $) 35,899
 Net Income (TTM) (Millions $) 4,299
 Cash Flow (TTM) (Millions $) 8,777
 Capital Exp. (TTM) (Millions $) 0

Business Description


Founded in 1990, Apollo is a leading global alternative investment manager. We are a contrarian, value-oriented investment manager in private equity, credit and real estate, with significant distressed investment expertise. We have a flexible mandate in many of the funds we manage which enables our funds to invest opportunistically across a company’s capital structure. We raise, invest and manage funds on behalf of some of the world’s most prominent pension, endowment and sovereign wealth funds, as well as other institutional and individual investors.

Our objective is to achieve superior long-term risk-adjusted returns for our fund investors. The majority of the investment funds we manage are designed to invest capital over periods of seven or more years from inception, thereby allowing us to generate attractive long-term returns throughout economic cycles. Our investment approach is value-oriented, focusing on nine core industries in which we have considerable knowledge and experience, and emphasizing downside protection and the preservation of capital. Our core industry sectors include chemicals, natural resources, consumer and retail, distribution and transportation, financial and business services, manufacturing and industrial, media and cable and leisure, packaging and materials and the satellite and wireless industries. Our contrarian investment management approach is reflected in a number of ways, including:

our willingness to pursue investments in industries that our competitors typically avoid;

the often complex structures employed in some of the investments of our funds, including our willingness to pursue difficult corporate carve-out transactions;

our experience investing during periods of uncertainty or distress in the economy or financial markets when many of our competitors simply reduce their investment activity;

our orientation towards sole sponsored transactions when other firms have opted to partner with others; and

our willingness to undertake transactions that have substantial business, regulatory or legal complexity.
We have applied this investment philosophy to identify what we believe are attractive investment opportunities, deploy capital across the balance sheet of industry leading, or “franchise,” businesses and create value throughout economic cycles.


We rely on our deep industry, credit and financial structuring experience, coupled with our strengths as a value-oriented, distressed investment manager, to deploy significant amounts of new capital within challenging economic environments. Our approach towards investing in distressed situations often requires our funds to purchase particular debt securities as prices are declining, since this allows us both to reduce our funds’ average cost and accumulate sizable positions which may enhance our ability to influence any restructuring plans and maximize the value of our funds’ distressed investments. As a result, our investment approach may produce negative short-term unrealized returns in certain of the funds we manage. However, we concentrate on generating attractive, long-term, risk-adjusted realized returns for our fund investors, and we therefore do not overly depend on short-term results and quarterly fluctuations in the unrealized fair value of the holdings in our funds.


In addition to deploying capital in new investments, we seek to enhance value in the investment portfolios of the funds we manage. We have relied on our transaction, restructuring and credit experience to work proactively with our private equity funds’ portfolio company management teams to identify and execute strategic acquisitions, joint ventures, and other transactions, generate cost and working capital savings, reduce capital expenditures, and optimize capital structures through several means such as debt exchange offers and the purchase of portfolio company debt at discounts to par value.

We have three business segments: private equity, credit and real estate.



   Company Address: 9 West 57th Street New York 10019 NY
   Company Phone Number: 515-3200   Stock Exchange / Ticker: NYSE APO


   

Stock Performances by Major Competitors

5 Days Decrease / Increase
     
ARES   -1.67%    
BEN        0.23% 
BX   -4.38%    
CG   -4.32%    
MS        1.37% 
TROW   -1.31%    
• View Complete Report
   



Partnership

Apollo and 8VC Forge Alliance to Fuel American Industrial Innovation Amid Infrastructure Boom

Published Wed, Oct 29 2025 1:25 PM UTC

In a notable development for the American industrial landscape, Apollo Global Management (NYSE: APO), a leading financial services firm, has joined forces with 8VC, a prominent venture capital firm, to launch a strategic partnership aimed at driving industrial innovation in the United States. Announced on October 29, 2025, this collaboration is positioned to deliver tailored...

Product Service News

WestCX Transforms Pharmacy Operations with AI Efficiency, Adherence, and Revenue Growth Redefined,

Published Tue, Oct 21 2025 5:56 PM UTC

Pharmacy Operations Reimagined: WestCX Unveils Strategic AI for Unparalleled Adherence and Growth In a bold leap towards redefining pharmacy operations, WestCX has introduced a cutting-edge Agentic AI solution, showcasing a strategic blend of innovation designed to boost adherence, enhance efficiency, and drive revenue growth. This groundbreaking initiative underscores the t...

Management Changes

Apollo Global Management Shakes Up Strategy: Celia Yan Takes the Helm of Hybrid Investments Amid Plummeting Returns and Strategic Divestments

Published Wed, Jun 25 2025 9:00 PM UTC

Apollo Global Management’s Leadership Transition and Strategic Shifts: An Analysis of Market Trends and Future ProspectsIn a significant move that underscores both leadership evolution and strategic realignment within one of the world s leading private equity firms, Apollo Global Management Inc. (NYSE: APO) has appointed Celia Yan as its Partner and Head of Hybrid for Asia...

Management Announcement

Apollos Strategic Divestment and the Shifting Landscape of Investment Returns Amidst AI Innovations

Published Thu, Jun 26 2025 8:00 AM UTC

In a significant development in the private equity landscape, Apollo Global Management Inc. announced the sale of its interest in MAFTEC Group Co., Ltd., a leading provider of ultra-high temperature heat insulating solutions. The deal, which marks a pivotal moment for Apollo, is set to see the company transition its asset to funds managed by Advantage Partners. This transact...

Product Service News

Mosaicx Leads the Charge in AI-Driven Customer Experience Innovation at CCW Las Vegas

Published Thu, Jun 5 2025 4:16 PM UTC

In an era where artificial intelligence is redefining business communication and customer interaction, Mosaicx is emerging as a bold pioneer. The company recently showcased its groundbreaking AI-native customer experience (CX) platform at this year s Contact Center Week (CCW) in Las Vegas, gaining significant attention as a finalist for the prestigious CCW Award. This recogn...




Fundamental Analysis

Valuation Current
Price to Earnings PE Ratio (TTM) 48.26
Price to Earnings PE Ratio (Expected) -
Price to Sales (TTM) 2.27
Price to Sales (Expected) -
Price to Book 1.97
PEG (TTM) -

Financial Strength Current
Quick Ratio 1.23
Working Capital Ratio 1.23
Leverage Ratio (MRQ) 11.4
Total Debt to Equity 0.33
Interest Coverage (TTM) -
Debt Coverage (TTM) 0.67

Per Share Current
Earnings (TTM) 2.77 $
Revenues (TTM) 58.83 $
Cash Flow (TTM) 14.38 $
Cash 776.57 $
Book Value 67.98 $
Dividend (TTM) 2.09 $

Efficiency Current
Revenue per Employee (TTM) 5,846,743
Net Income per Employee (TTM) 700,163
Receivable Turnover Ratio (TTM) -
Inventory Turnover Ratio (TTM) -
Asset Turnover Ratio (TTM) 0.08

Profitability Ratios Current
Gross Margin (MRQ) 0 %
Operating Margin (MRQ) 21.63 %
Net Margin (MRQ) 18.73 %
Net Cash Flow Margin (MRQ) 0 %
Effective Tax Rate (TTM) 42.05 %

Management Effectiveness Current
Return On Assets (TTM) 0.92 %
Return On Investment (TTM) 1.23 %
Return On Equity (TTM) 10.53 %
Dividend Yield 1.68 %
Pay out Ratio (TTM) 75.45 %



Apollo Global Management Inc's Segments
Asset Management    23.36 % of total Revenue
Investment Advice    6.49 % of total Revenue
Management Service, Incentive    1.1 % of total Revenue
Retirement Services    70.55 % of total Revenue
Principal Investing    5.02 % of total Revenue
Segment Reporting, Reconciling Item, Excluding Corporate Nonsegment    7.04 % of total Revenue
Asset Management and Retirement    98.92 % of total Revenue
Payout Annuities With Life Contingencies    1.78 % of total Revenue
Whole Life Insurance    1.59 % of total Revenue
Reconciling Items    0.1 % of total Revenue





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