Apollo Global Management, Inc. (APO) Stock

Apollo Global Management, Inc. (APO) is a Financials stock trading at $120.48 (as of 2026-07-17), with a market capitalization of $69.46B and a trailing P/E of 60.7. Figures are sourced from first-party U.S. SEC EDGAR filings and market data.

Apollo Global Management, Inc. invests across credit, private equity, and real estate markets, including strategies such as buyouts and distressed or special situations. It manages investment products and portfolios—including hedge funds and real estate and private equity funds—for institutional and other investors.

Understand Apollo Global Management, Inc.: how it makes money

Apollo Global Management invests in credit, private equity, and real estate, and earns money through investment activity across these markets and through its capital solutions services to institutional investors.

Segment Income (LTM 3Q'23) is the provided window into how Apollo's investment and related capital solutions activity translates into segment-level profitability.

Business quality (Weak): The business is described across credit, private equity, and real estate, but the provided dataset includes only one operating metric candidate (Segment Income LTM 3Q'23) and no clean, populated segment revenue breakdown, limiting how much can be validated from the supplied facts.

Valuation: At 84× earnings, APO trades 151% above the Trading average (34×). Note: one-time items can distort reported P/E.

Bull case

  • Diversified investment focus: Apollo operates across multiple markets, including credit, private equity, and real estate.
  • Capital solutions are part of the model: The provided facts include capital solutions revenue (2022), indicating Apollo generates results not only from investments but also from services.

Bear case

  • Provided segment profitability is shown as zero: Segment Income (LTM 3Q'23) is listed as 0.0 in the provided facts, which limits confidence in the segment-level earnings signal from that period.
  • Limited visibility in the provided breakdown: Fee-related revenues (FRE revenues) and Segment Income (LTM 3Q'23) are both provided as 0.0 in the dataset, and no populated, mutually exclusive reportable segments are supplied.
Valuation — source: SEC EDGAR (first-party)
Price$120.48
Market Cap$69.46B
P/E Ratio60.7
EV / EBITDA8.2
Price / Book1.76
Price / Sales2.20
DCF Value (model)$79.85
DCF Upside vs Price-33.7%
Profitability & Growth — source: SEC EDGAR
Revenue (TTM)$32.05B
Net Margin10.9%
Revenue Growth (YoY)-8.8%
EPS Growth (YoY)-580.9%
Valuation vs Sector & Industry
Stock P/E60.7
Sector P/E (Financials)15.5
Industry P/E (Trading)35.0
vs Sector291.6%
vs Industry73.3%
Smart-Money Activity — SEC Form 4 / 13F / Congressional disclosures
Top Institutional HolderVANGUARD GROUP INC ($6.91B)
Institutional Holders Tracked10
Congressional Trades (recent)10
Company
SectorFinancials
IndustryTrading
CEOMarc Jeffrey Rowan
Employees5,141
CountryUS
IPO Date2011-03-30

Related Companies (Business model: Asset Manager (Traditional + Alternatives) + Life and Health Insurer; 8 closest by market cap; US-domiciled)

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  • KKR & Co. Inc. (KKR)
  • Ameriprise Financial, Inc. (AMP)
  • Ares Management Corporation (ARES)
  • T. Rowe Price Group, Inc. (TROW)
  • Franklin Resources, Inc. (BEN)
  • TPG Inc. (TPG)
  • The Carlyle Group Inc. (CG)
APO earnings history · APO institutional & insider holders · APO KPIs & operating metrics · Congress trades · Insider trades · Short interest · Stock screener

Data as of 2026-07-17.

Figures sourced from U.S. Securities and Exchange Commission (SEC EDGAR) filings and market data. Not personalized investment advice.