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$60.62B
18.85
6,140
2.03%
Price Chart
Risk-Adjusted Performance
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Apollo Global Management LLC Class A (APO) Price Performance
Apollo Global Management LLC Class A (APO) trades on United States in USD. The company is classified in the Financial Services sector under the Asset Management industry. The stock currently trades at $111.25, down 0.67% from the previous close.
Over the past year, APO has traded between a low of $104.44 and a high of $154.87. The stock has lost 22.2% over this period. It is currently 28.2% below its 52-week high.
Apollo Global Management LLC Class A has a market capitalization of $60.62B, with a price-to-earnings ratio of 18.85 and a dividend yield of 2.03%.
About Apollo Global Management LLC Class A
Apollo Global Management, Inc. is a private equity firm specializing in investments in credit, private equity, infrastructure, secondaries and real estate markets. The firm prefers to invest in private and public markets. The firm's private equity investments include traditional buyouts, recapitalization, distressed buyouts and debt investments in real estate, corporate partner buyouts, distressed asset, corporate carve-outs, middle market, growth, venture capital, turnaround, bridge, corporate restructuring, special situation, acquisition, and industry consolidation transactions. For credit strategies, the firm focuses to invest in multi-sector credit, semi-liquid credit, direct lending, first lien, unitranche, whole loans and private credit. The firm provides its services to endowment and sovereign wealth funds, as well as other institutional and individual investors. It manages client focused portfolios. The firm launches and manages hedge funds for its clients. It also manages real estate funds and private equity funds for its clients. The firm invests in the fixed income and alternative investment markets across the globe. Its fixed income investments include income-oriented senior loans, bonds, collateralized loan obligations, structured credit, opportunistic credit, non-performing loans, distressed debt, mezzanine debt, and value oriented fixed income securities. The firm seeks to invest in chemicals, commodities, consumer and retail, oil and gas, metals, mining, agriculture, commodities, distribution and transportation, financial and business services, manufacturing and industrial, media distribution, cable, entertainment and leisure, telecom, technology, natural resources, energy, packaging and materials, and satellite and wireless industries. It also focuses on clean energy, sustainable industry, climate solutions, energy transition, industrial decarbonization, sustainable mobility, sustainable resource use, and sustainable real estate. It seeks to invest in companies based in across Africa, Asia, North
Company Info
- Sector
- Financial Services
- Industry
- Asset Management
- Exchange
- United States
- Currency
- USD
- Country
- United States
Financial Metrics
- Revenue (TTM)
- $32.64B
- EBITDA
- $10.49B
- Profit Margin
- 10.98%
- EPS (TTM)
- 8.89
- Book Value
- 37.90
Technical Indicators
- 52 Week High
- $156.09
- 52 Week Low
- $99.58
- 50 Day MA
- $127.75
- 200 Day MA
- $134.50
- Beta
- 1.64
Valuation
- Trailing P/E
- 18.85
- Forward P/E
- 11.36
- Price/Sales
- 1.91
- Price/Book
- 2.75
- Enterprise Value
- $-172,905,848,020