Apollo Global Management Inc.
Prices are adjusted according to historical splits.
- Today's Low:
- Today's High:
- Open Price:
- 52W Low:
- 52W High:
- Prev. Close:
- Market Cap.:
- Book Value:
- Revenue TTM:
- $10.84 billion
- Operating Margin TTM:
- Gross Profit TTM:
- Profit Margin:
- Return on Assets TTM:
- Return on Equity TTM:
Apollo Global Management Inc. had its IPO on 2022-01-03 under the ticker symbol AAM-PB.
The company operates in the Financial Services sector and Asset Management industry. Apollo Global Management Inc. has a staff strength of 2,450 employees.
Shares of Apollo Global Management Inc. opened at $21.16 at the start of the last trading session i.e. 2023-03-21.
The stocks traded within a range of $20.78 - $21.58, and closed at $21.25.
This is a +3.66% increase from the previous day's closing price.
A total volume of 19,497 shares were traded at the close of the day’s session.
In the last one week, shares of Apollo Global Management Inc. have increased by +2.16%.
Apollo Global Management Inc.'s Key Ratios
Apollo Global Management Inc. has a market cap of $0, indicating a price to book ratio of 0 and a price to sales ratio of 0.
In the last 12-months Apollo Global Management Inc.’s revenue was $10.84 billion with a gross profit of $-3754000000 and an EBITDA of $0. The EBITDA ratio measures Apollo Global Management Inc.'s overall financial performance and is widely used to measure its profitability.
In the trailing 12-month period, Apollo Global Management Inc.’s operating margin was -58.83% while its return on assets stood at -3.28% with a return of equity of -49.46%.
In Q3, Apollo Global Management Inc.’s quarterly earnings growth was a positive 10.7% while revenue growth was a positive 314.1%.
Apollo Global Management Inc.’s PE and PEG Ratio
- Forward PE
- Trailing PE
Its diluted EPS in the last 12-months stands at $0.622 per share while it has a forward price to earnings multiple of 0 and a PEG multiple of . A low price to earnings ratio can mean the stock is attractively valued while a high ratio suggests the stock may be overvalued.
The PEG on the other hand provides a broader view compared to the P/E ratio and gives greater insight into Apollo Global Management Inc.’s profitability.
Apollo Global Management Inc. stock is trading at a EV to sales ratio of 0 and a EV to EBITDA ratio of 0. Its price to sales ratio in the trailing 12-months stood at 0.
Apollo Global Management Inc. stock pays annual dividends of $1.6 per share, indicating a yield of 6.65% and a payout ratio of 0%.
Balance sheet and cash flow metrics
- Total Assets
- $250.34 billion
- Total Liabilities
- $178.00 billion
- Operating Cash Flow
- Capital Expenditure
- Dividend Payout Ratio
Apollo Global Management Inc. ended 2023 with $250.34 billion in total assets and $0 in total liabilities. Its intangible assets were valued at $250.34 billion while shareholder equity stood at $-1339000000.00.
Apollo Global Management Inc. ended 2023 with $5.19 billion in deferred long-term liabilities, $178.00 billion in other current liabilities, in common stock, $-2837000000.00 in retained earnings and $4.32 billion in goodwill. Its cash balance stood at $11.52 billion and cash and short-term investments were $116.97 billion. The company’s total short-term debt was $33,000,000 while long-term debt stood at $7.81 billion.
Apollo Global Management Inc.’s total current assets stands at $119.12 billion while long-term investments were $99.63 billion and short-term investments were $105.46 billion. Its net receivables were $430.00 million compared to accounts payable of $3.03 billion and inventory worth $0.
In 2023, Apollo Global Management Inc.'s operating cash flow was $-11353000000.00 while its capital expenditure stood at $0.
Comparatively, Apollo Global Management Inc. paid $0 in dividends in 2023.
Other key metrics
- Current Trading Price
- 52-Week High
- 52-Week Low
- Analyst Target Price
Apollo Global Management Inc. stock is currently trading at $21.25 per share. It touched a 52-week high of $25.6923 and a 52-week low of $25.6923. Analysts tracking the stock have a 12-month average target price of $.
Its 50-day moving average was $23.76 and 200-day moving average was $23.38 The short ratio stood at 0.37 indicating a short percent outstanding of 0%.
Around 0% of the company’s stock are held by insiders while 3412.1% are held by institutions.
Frequently Asked Questions About Apollo Global Management Inc.
Similar Industry Stocks (Asset Management)
Apollo Global Management, Inc. is a private equity firm specializing in investments in credit, private equity and real estate 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 capital, turnaround, bridge, corporate restructuring, special situation, acquisition, and industry consolidation transactions. 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 seeks to invest in companies based in across Africa, North America with a focus on United States, and Europe. The firm also makes investments outside North America, primarily in Western Europe and Asia. It employs a combination of contrarian, value, and distressed strategies to make its investments. The firm seeks to make investments in the range of $10 million and $1500 million. The firm seeks to invest in companies with Enterprise value between $750 million to $2500 million. The firm conducts an in-house research to