Apollo Global Management, Inc.
Health
Performance
5.5
Risk
Sell
Buy
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Apollo Global Management, Inc. stock rating and score history

All changes in ratings, performance and outlook tracked over time.

14.07.2026
Fragile setup. Still failing to meet the key marks today.
25.06.2026
Slowing down. Might be a breather – or a shift.
18.04.2026
Signs of control returning. Still shaky, but not chaos.
20.08.2025
Climbing out. Risks fading, but not out of the woods.
APO
Low-poly 3D Apollo Global Management (APO) stock icon with a stylized laurel wreath, symbolizing industrials.
120.47
-2.33%
5.5
Sell
Buy
Apollo Global Management, Inc.

Apollo Global Management, Inc. stock price, chart patterns and momentum

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What does Apollo Global Management, Inc. do? Business model and key facts

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Apollo Global Management, Inc. Profile

Sector: Financial Services

Industry: Asset Management

Employees (FY): 6140

Apollo Global Management, Inc. operates as a prominent investment management firm, primarily concentrating its efforts across credit, private equity, and real estate asset classes. Within its private equity division, Apollo engages in a broad spectrum of transactions, ranging from traditional management buyouts, recapitalizations, and distressed acquisitions to corporate carve-outs, growth capital infusions, turnaround financing, bridge loans, strategic acquisitions, and industry consolidation initiatives. This also includes debt investments in real estate and corporate partnerships, along with investments in distressed assets and special situations within the middle market. Its client base is diverse, encompassing sovereign wealth and endowment funds, as well as various other institutional and private investors. The firm constructs and oversees bespoke portfolios for clients and actively manages a suite of investment vehicles, including hedge funds, real estate funds, and private equity funds. Globally, Apollo also deploys capital in fixed income and alternative investment markets. Its fixed income strategies span a wide array, featuring income-oriented senior secured loans, corporate bonds, collateralized loan obligations (CLOs), structured credit products, opportunistic and non-performing loans, distressed debt, mezzanine financing, and other value-oriented fixed income instruments. Apollo seeks investment opportunities across numerous sectors, such as chemicals, energy (including oil, gas, natural resources), metals and mining, agriculture, consumer and retail, distribution and transportation, financial and business services, manufacturing and industrial, media (distribution, cable, entertainment), telecommunications, technology, packaging and materials, and satellite and wireless communications. Geographically, the firm targets investments in Africa, North America (with a strong emphasis on the United States), and Europe, while also making significant inroads into Western Europe and Asia. Its investment methodology combines contrarian insights with a rigorous focus on intrinsic value and distressed situations. Apollo typically commits equity capital ranging from $10 million to $1.5 billion per transaction, generally pursuing companies with an enterprise value between $750 million and $2.5 billion. Proprietary in-house research underpins its investment selection process. The firm is open to acquiring both minority and controlling stakes in its portfolio companies. Established in 1990 and headquartered in New York, New York, Apollo maintains additional offices across North America, Asia, and Europe to support its global operations.

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Company facts
Marc Jeffrey Rowan
CEO
6140
Employees worldwide
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Performance
-20.74%
Last 12 months
114.32%
Last 5 years
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Growth
$30.30B
Revenue year
$3.38B
Net income
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Valuation
$69.45B
Market Cap
19.80
Price/Earnings Ratio

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Apollo Global Management, Inc. fundamentals and technical analysis

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