
NYSEFinancial ServicesAsset Management
最新資料
US$115.55
−US$0.40 · -0.34%
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.
前收盤價
US$115.55
−US$0.40 · -0.34%
盤前
US$114.94
−US$0.61 · -0.53%
10月8日 上午4:01 ET
盤中時間採用ET。市場資料可能有所延遲。
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.
日內區間
目前US$115.55
52週區間
目前US$115.55
盤中時間採用ET。市場資料可能有所延遲。
GoAI 評分
持有
估值
53
合理估值
情緒
51
多空交錯
風險
40
中等風險
動能
35
動能減弱
完整 GoAI 研究
繼續查看更深入的依據、催化因素和風險。
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.
日內區間
目前US$115.55
52週區間
目前US$115.55
獲利能力占已公布營收的百分比。
營收
營業利益
淨利
| 項目(USD) | 2025會計年度 | 2024會計年度 | 2023會計年度 | 2022會計年度 | 2021會計年度 |
|---|---|---|---|---|---|
| 營收 | 320.49億 USD | 261.14億 USD | 326.44億 USD | 109.68億 USD | 59.51億 USD |
| 銷貨成本 | 14.43億 USD | 11.4億 USD | 10.27億 USD | 9.27億 USD | 7.78億 USD |
| 毛利 | 306.06億 USD | 249.74億 USD | 316.17億 USD | 100.41億 USD | 51.73億 USD |
| 銷售、一般及管理費用 | 30.96億 USD | 26.38億 USD | 25.67億 USD | 16.98億 USD | 31.97億 USD |
| 營業費用 | 223.48億 USD | 166.75億 USD | 254.71億 USD | 144.16億 USD | 31.97億 USD |
| 利息收入 | 1.31億 USD | 1.72億 USD | 1.76億 USD | 3.54億 USD | 7.46億 USD |
| 利息支出 | 3.7億 USD | 2.26億 USD | 2.58億 USD | 1.24億 USD | 9.07億 USD |
| 折舊和攤銷 | 14.31億 USD | 10.75億 USD | 8.03億 USD | 5.29億 USD | 2700萬 USD |
| 營業利益 | 82.58億 USD | 82.99億 USD | 61.46億 USD | −43.75億 USD | 19.76億 USD |
| 淨利 | 34.92億 USD | 44.26億 USD | 48.81億 USD | −19.61億 USD | 18.39億 USD |
公司資料更新於 2026年10月8日。
近期已公布業績
近期已公布業績
第三方分析師預期可能變動,並非 GoAI 建議。
平均目標
US$136
上漲空間 17.70%年度分割調整後的每股現金分配。
US$1.9925
2025年(完整年度)-5.1% 自從 2021
2026年(部分年度):US$1.635
US$2.10
2,021
US$1.60
2,022
US$1.69
2,023
US$1.8175
2,024
US$1.9925
2,025
US$1.635
2,026*
* 在現有股息歷史記錄中,該日曆年僅包含部分期間。
| 行動 | 除息日 | 詳情 | 記錄日期 | 付款日期 |
|---|---|---|---|---|
股息 | 2026年8月19日 | US$0.5625Quarterly | 2026年8月19日 | 2026年8月31日 |
股息 | 2026年5月19日 | US$0.5625Quarterly | 2026年5月19日 | 2026年5月29日 |
股息 | 2026年2月19日 | US$0.51Quarterly | 2026年2月19日 | 2026年2月27日 |
股息 | 2025年11月17日 | US$0.51Quarterly | 2025年11月17日 | 2025年11月28日 |
股息 | 2025年8月18日 | US$0.51Quarterly | 2025年8月18日 | 2025年8月29日 |
股息 | 2025年5月16日 | US$0.51Quarterly | 2025年5月16日 | 2025年5月30日 |
除息 2026年8月19日
US$0.5625
Quarterly
2026年8月19日登記 · 支付日 2026年8月31日
除息 2026年5月19日
US$0.5625
Quarterly
2026年5月19日登記 · 支付日 2026年5月29日
除息 2026年2月19日
US$0.51
Quarterly
2026年2月19日登記 · 支付日 2026年2月27日
除息 2025年11月17日
US$0.51
Quarterly
2025年11月17日登記 · 支付日 2025年11月28日
除息 2025年8月18日
US$0.51
Quarterly
2025年8月18日登記 · 支付日 2025年8月29日
除息 2025年5月16日
US$0.51
Quarterly
2025年5月16日登記 · 支付日 2025年5月30日
報告持有此股票曝險的交易所交易基金。
State Street SPDR S&P 500 ETF1557.T1053.3億0.08%129.41兆 JPY0.09%¥122,700-0.57%
Vanguard Morningstar Total Stock Market ETFVTI17.52億0.07%2.3兆 USD0.03%US$381.03-0.40%
Vanguard S&P 500 ETFVOO16.74億0.10%1.8兆 USD0.03%US$714.34-0.26%
iShares Core S&P 500 ETFIVV7.3億0.08%8996.25億 USD0.03%US$780.58-0.25%
State Street SPDR S&P 500 ETFSPY6.65億0.08%8190.39億 USD0.09%US$777.22-0.24%
Vanguard Morningstar Mid-Cap ETFVO5.96億0.26%2264億 USD0.03%US$80.14-1.04%
State Street Financial Select Sector SPDR ETFXLF3.61億0.72%509.58億 USD0.08%US$53.75-0.48%
Vanguard Morningstar Growth ETFVUG3.49億0.09%3846億 USD0.03%US$92.42-0.24%
State Street SPDR S&P 500 ETF1557.T
Vanguard Morningstar Total Stock Market ETFVTI
Vanguard S&P 500 ETFVOO
iShares Core S&P 500 ETFIVV
State Street SPDR S&P 500 ETFSPY
Vanguard Morningstar Mid-Cap ETFVO
State Street Financial Select Sector SPDR ETFXLF
Vanguard Morningstar Growth ETFVUGAI 生成內容及延遲市場資料僅供資訊與教育用途,不構成投資建議。