apollo stock: Apollo Global Management (APO) — Stock
Apollo Global Management (APO) — Stock
Brief note: This page describes apollo stock as the publicly traded equity of Apollo Global Management, Inc. It focuses on the US listed shares (ticker APO) and related investor considerations. It does not cover unrelated companies or crypto projects named “Apollo.”
Introduction
apollo stock refers to the publicly traded shares of Apollo Global Management, Inc., a New York–based alternative asset manager and retirement-services provider. This guide summarizes what apollo stock represents, the firm’s business model (asset management, retirement services, and principal investing), common market metrics investors monitor, and practical references for up-to-date numbers. Readers will get a structured view of Apollo’s public equity, how it trades, and the key risks and catalysts typically discussed by market participants.
Summary
Apollo Global Management (APO) is a publicly traded alternative-asset manager whose stock (apollo stock) gives investors exposure to a diversified fee-earning asset manager with principal-investing activities. The company’s business mixes management fees tied to assets under management (AUM), performance and incentive fees from private markets, interest income from credit products, and earnings from balance-sheet or principal investments. Investors in apollo stock commonly seek exposure to private-equity and private-credit economics, recurring fee revenue, and potential capital appreciation from principal-investment exits.
Company background
History and founding
Apollo Global Management was founded in 1990 by Leon Black, Joshua Harris, and Marc Rowan (among others) as an alternative-investment firm focused on private equity, distressed debt, and opportunistic strategies. Over decades the firm expanded into credit, real assets, and retirement services and eventually listed its shares publicly.
Headquarters and leadership
Apollo is headquartered in New York City. Leadership has included founding partners and a professional executive team; as a public company, governance and executive roles are reported in SEC filings and investor releases. For exactly current leadership names, titles, and board composition, consult Apollo’s investor relations and the latest 10-K or proxy statement (dates noted in the References section).
Business segments
Apollo operates across multiple operating segments, typically described as:
- Asset Management: Fee-related earnings from managing private-equity funds, credit funds, and other investment vehicles. Fees are generally recurring and tied to AUM and contractual management fees.
- Retirement Services: Solutions for institutional and individual retirement plans, including investment guidance and plan management services.
- Principal Investing: Apollo’s own balance-sheet investments and holdings, which can generate realized gains (or losses) when assets are sold.
Each segment contributes differently to reported revenue and earnings; asset-management fees tend to offer stable, fee-like income while principal investing introduces earnings volatility tied to market exits and valuations.
Stock identification and listing
Ticker and exchange
apollo stock trades under the ticker APO on the New York Stock Exchange (NYSE).
Identifiers
Public identifiers for apollo stock include the company’s ISIN and CUSIP. Share-class distinctions (if any) and historical ticker changes are documented in SEC filings and Apollo’s investor-relations materials. Always confirm the ISIN/CUSIP from official filings before transacting.
Listing history
Apollo completed its initial public offering and listing as a publicly traded management company in the early 2010s. Since listing, the company has undertaken routine corporate actions that may affect outstanding shares (for example, dividend payments, share repurchases, or occasional reclassifications). For precise listing-date details and any stock-split or corporate-actions history, see the company’s historical SEC filings and investor-relations timeline.
Market data and trading characteristics
Market capitalization and float
Market capitalization for apollo stock is calculated as share price multiplied by shares outstanding and changes with market prices. Public float and diluted share counts can shift due to share repurchases, issuance, or vested equity awards. When reporting market cap and float, always append a retrieval date and source (for example: market cap as of [DATE], source: Yahoo Finance).
Price metrics and valuation
Common valuation and price metrics for apollo stock include:
- Share price (real-time or close price)
- Trailing and forward P/E ratios
- Diluted earnings per share (EPS)
- Price-to-book (P/B)
- Dividend yield and payout ratios
- Beta (volatility relative to market)
These metrics are time sensitive; include the date and the provider when publishing (e.g., P/E as of [DATE], source: Morningstar).
Trading volume, liquidity, and options
apollo stock typically has institutional-level liquidity on the NYSE, with average daily trading volume reported by market data providers. An active options chain exists for APO in US listed options markets, enabling hedging and directional strategies; volume and open interest change frequently, so cite the retrieval date when presenting those figures.
Historical price performance
Long-term performance
A comprehensive apollo stock profile includes multi-year and all-time price history charts and explanations for major moves—such as earnings surprises, sizable acquisitions or divestitures, macro credit events, or changes in alternatives markets. Analysts usually annotate long-term charts with corporate milestones and industry cycles to contextualize return drivers.
Recent price action and 52-week range
A concise snapshot of recent performance reports the 52-week high and low, short-term volatility, and the price reaction around the latest earnings and major corporate announcements. For accuracy, list the 52-week range with a retrieval date and data provider.
Financial performance
Revenues and profitability
Report the latest annual and quarterly revenues, net income, operating margins, and, when relevant, segment revenue splits (Asset Management vs. Retirement Services vs. Principal Investing). The firm’s 10-K and 10-Q filings are the authoritative sources for these figures; always state the date of the report (for example: “Full-year revenue for 20XX, as reported in the 10-K filed on [DATE]…”).
Balance sheet and cash flow
Key balance-sheet items relevant to apollo stock coverage include cash and cash equivalents, total debt, equity, and invested assets. Cash-flow trends (operating cash flow and free cash flow) matter particularly when evaluating dividend sustainability and buyback capacity. As with other metrics, attach the filing date and source for each number.
Dividends and capital returns
Dividend policy and history
Apollo has historically distributed cash to shareholders via regular dividends and, at times, supplemental or special distributions that relate to realized principal-investment gains or firm-level capital actions. When documenting apollo stock dividend metrics, list the most recent declared dividend amount, payment frequency, yield (as of a date), and a short payout-history timeline.
Share buybacks and other returns
Share-repurchase programs and other capital-return mechanisms can materially affect apollo stock’s per-share metrics. Summarize any active repurchase authorization—size and remaining capacity—and cite the latest board authorization or 10-Q/10-K language.
Ownership and shareholder structure
Insider ownership
Founders and senior management often hold meaningful stakes in Apollo; insider ownership levels are disclosed in annual proxy statements and Form 4 filings. High insider ownership can align incentives but also concentrates voting power; present ownership percentages with retrieval dates.
Institutional ownership and ETFs
Large institutional holders—mutual funds, pension funds, and asset managers—commonly appear among the top holders of apollo stock. Also list whether APO is a meaningful holding in major ETFs (for example, financial-sector or alternative-asset focused ETFs). Provide percentages and source dates for accuracy.
Short interest
Short-interest figures give a sense of bearish positioning in apollo stock and are reported biweekly by exchanges. Include the absolute short-interest number, the short-interest ratio (days to cover), and the reference date when reporting these metrics.
Analyst coverage and market perceptions
Consensus ratings and price targets
Coverage by sell-side analysts typically yields aggregated ratings (buy/hold/sell) and consensus price targets for apollo stock. When reporting consensus views, include the number of analysts in the sample, the weighted average target, and the last date of aggregation.
Key analysts and broker reports
Prominent investment banks and broker-dealers provide periodic research notes on Apollo. Typical analyst theses discuss fee compression or expansion, private-credit growth, fund-raising momentum, performance fees, principal-investment realizations, and sensitivity to credit-market conditions. Cite notable reports by firm name and date where appropriate.
Recent corporate actions and notable transactions
Major investments, acquisitions, or asset sales
Detail large bolt-on acquisitions, landmark investments, or portfolio divestitures that materially affect Apollo’s earnings or AUM. Present each item with transaction size, timing, and the company’s stated strategic rationale, using the IR release or SEC filing as the source.
Earnings releases and guidance
Summarize the latest quarterly or annual earnings release: revenue, fees, distributable earnings, and any management guidance. Note market reactions to the release (intraday price move percentages, if reporting) and always list the release date and source.
As of Jan 24, 2026, several industry news reports noted rising institutional focus on custody and alternative-asset infrastructure. Decrypt reported that major institutional capital—naming firms such as BlackRock, VanEck, Hamilton Lane, and Apollo—was cited as being cautious but active around crypto custody entrants. Those developments matter to alternative managers when they consider partnerships, product expansion, and institutional allocation trends.
Risks and considerations for investors
Business model risks
Apollo’s core risks include fee compression, fundraising cycles, and the variable nature of performance-based income. Principal investing exposes the firm to valuation and exit timing risks; underperformance or delayed realizations can depress distributable earnings and put pressure on apollo stock.
Market and macro risks
As a manager with significant private-credit and leveraged strategies, Apollo’s results can be sensitive to interest-rate movements, credit-spread widening, liquidity stress in credit markets, and recessions that reduce exits and impair valuations.
Regulatory and legal risks
Asset managers operate under regulatory oversight for fiduciary duties, reporting, and, in some areas, compliance with evolving rules (for example, fiduciary standards, custody rules, and cross-border restrictions). Litigation or regulator actions may also affect valuation and reputation.
Corporate governance and management compensation
Apollo’s governance disclosures—board composition, committee structure, and executive remuneration—are in annual proxy statements. Executive pay often includes a mix of cash, equity, and incentive compensation linked to fund performance, AUM growth, and firm profitability. Summaries should reference the most recent proxy and include dates.
Comparative and peer analysis
Apollo is commonly compared with other large alternative-asset managers and credit-focused firms such as Blackstone (BX), KKR, BlackRock (BLK) in asset-management scale, and Ares (ARES) among credit-focused peers. Peer comparisons usually assess AUM, fee structure, incentive-fee contribution, distributable earnings, and valuation multiples (e.g., EV/AUM proxies, P/E, price-to-earnings before certain items).
Historical filings and regulatory disclosures
Authoritative sources for apollo stock data are SEC filings (Form 10-K for annual reporting, Form 10-Q for quarterly updates, and Form 8-K for material events). Apollo’s investor-relations page includes presentations, press releases, and slide decks. Use filings as the primary source when citing financials or governance details.
How apollo stock relates to recent institutional trends in custody and crypto IPOs
As of Jan 24, 2026, reports in Decrypt and the Financial Times highlighted growing institutional interest in crypto custody solutions and a wave of crypto-related IPOs (for example, BitGo’s NYSE listing and a potential Ledger IPO). Those stories cited major institutional investors—including large asset managers and allocators such as Apollo—as part of the backdrop for why custody and infrastructure companies are pursuing U.S. listings.
While Apollo Global Management is not a crypto-exchange operator, its role as an allocator and manager means it can be a participant or partner in institutional custody-related strategies. For readers researching apollo stock, this underscores two points:
- Institutional flows and changing regulatory clarity can create new product opportunities for large asset managers.
- Exposure to new product lines (e.g., custody-related funds, digital-asset strategies) would be documented in Apollo’s public filings and investor presentations if the firm pursues them.
When referencing these market developments, note the reporting date: “As of Jan 24, 2026, according to Decrypt and the Financial Times.” Always cross-check any claim about Apollo’s direct involvement in crypto custody initiatives against Apollo’s own disclosures.
Practical notes for investors and data reporters
- Time-stamp all numeric data: market cap, P/E, dividend yield, 52-week range, AUM, and outstanding shares should include the retrieval date and the data provider.
- Use primary filings (10-K/10-Q) for business-segment detail and risk disclosures.
- Update analyst coverage, price targets, and short interest frequently—these items are time-sensitive.
- Do not conflate Apollo Global Management (APO) with any unrelated companies or digital tokens named “Apollo.” If a disambiguation is needed, include a clear note.
Where and how to trade apollo stock (platform note)
apollo stock is listed on the NYSE and can be traded through brokerage platforms that offer U.S. equities. For traders and investors seeking an integrated trading and custody experience, consider exploring regulated brokerage services—including Bitget’s trading platform and Bitget Wallet for custody—while consulting the platform’s terms and supported markets. Always verify ticker symbol (APO) and market hours before placing orders.
Note: This mention of Bitget is informational: consult Bitget’s published supports and trading conditions for the most current product availability.
See also
- Alternative asset management
- Private credit
- Private equity
- Asset manager peers and comparisons
- ETFs holding large bank and asset-manager stocks
References
All data and statements in this article should be verified using the cited sources. Prioritized sources for apollo stock coverage include:
- Apollo Global Management — Investor Relations and SEC filings (10-K, 10-Q, proxy statements)
- Yahoo Finance — APO summary and market data (dates must be included when reporting figures)
- MarketWatch — Earnings and price commentary
- CNBC, CNN — Relevant corporate and market coverage
- Finviz — Screening and valuation metrics
- Macrotrends — Historical price and ratio charts
- TradingView — Interactive price charts and technical data
- Morningstar — Analyst coverage and valuation summaries
- Decrypt and Financial Times — reporting on crypto custody and IPO trends (see note below)
Note on recent industry reporting: As of Jan 24, 2026, Decrypt and the Financial Times reported on crypto custody providers preparing U.S. listings (Ledger reportedly exploring a US IPO, and BitGo listing on the NYSE). Those articles referenced major institutional allocators—including Apollo—when discussing institutional interest in custody infrastructure.
External links (names only — no external URLs included)
- Apollo Global Management — Investor Relations (official site)
- SEC EDGAR — Company filings (search Apollo Global Management)
- Yahoo Finance — APO page
- MarketWatch — APO coverage
- TradingView — APO charts
- Morningstar — APO analyst reports
Editorial notes and data integrity
- Numeric metrics in this article are illustrative and must be time-stamped when published.
- For authoritative financial figures and governance disclosures, reference Apollo’s SEC filings and investor-relations materials.
- Maintain neutrality: the article does not provide investment advice and is for informational purposes only.
Next steps and how to keep this profile current
- Retrieve the latest 10-Q/10-K for up-to-date financials and segment results.
- Refresh market metrics (market cap, P/E, dividend yield, 52-week range) from a primary market-data provider and include the retrieval date.
- Monitor Apollo’s IR releases and Form 8-K filings for corporate actions such as share repurchase authorizations, dividend declarations, and material transactions.
Further exploration: explore Apollo’s investor relations site for slide decks and the most recent earnings presentation, and consider using Bitget’s trading platform and Bitget Wallet if you seek a single place to trade U.S. equities and manage custody needs.
Article prepared for informational and educational purposes. For precise figures and trading execution, consult primary sources and regulated trading venues. This article contains no external links and avoids political content. Data and news references include a time stamp where applicable (e.g., “As of Jan 24, 2026, according to Decrypt/Financial Times”).





















