APOLLO GLOBAL MANAGEMENT LLC CLASS A

NYSE: APO (Apollo Global Management, Inc.)

Kemas kini terakhir: 2 hari lalu, 11:34PM

130.46

1.74 (1.35%)

Penutupan Terdahulu 128.72
Buka 129.82
Jumlah Dagangan 3,906,087
Purata Dagangan (3B) 5,669,063
Modal Pasaran 75,212,677,120
Harga / Pendapatan (P/E TTM) 23.55
Harga / Pendapatan (P/E Ke hadapan) 13.44
Harga / Jualan (P/S) 2.28
Harga / Buku (P/B) 3.24
Julat 52 Minggu
99.56 (-23%) — 157.28 (20%)
Tarikh Pendapatan 6 May 2026
Hasil Dividen (DY TTM) 1.85%
Margin Keuntungan 14.73%
Margin Operasi (TTM) 29.54%
EPS Cair (TTM) 5.73
Pertumbuhan Hasil Suku Tahunan (YOY) -21.50%
Pertumbuhan Pendapatan Suku Tahunan (YOY) -69.00%
Jumlah Hutang/Ekuiti (D/E MRQ) 90.49%
Nisbah Semasa (MRQ) 1.79
Aliran Tunai Operasi (OCF TTM) 4.20 B
Pulangan Atas Aset (ROA TTM) 1.52%
Pulangan Atas Ekuiti (ROE TTM) 18.69%

Arah Aliran Pasaran

Jangka Pendek Jangka Sederhana
Industri Asset Management (US) Menurun Menurun
Asset Management (Global) Menurun Menurun
Stok Apollo Global Management, Inc. Menurun Menurun

AISkor Stockmoo

0.9
Konsensus Penganalisis 2.0
Aktiviti Orang Dalam NA
Volatiliti Harga 2.0
Purata Bergerak Teknikal -2.5
Osilator Teknikal 2.0
Purata 0.88

Saham Serupa

Stok Modal Pasaran DY P/E (TTM) P/B
APO 75 B 1.85% 23.55 3.24
KKR 94 B 0.84% 43.44 3.26
AMP 42 B 1.28% 12.58 6.78
RJF 30 B - 14.75 2.40
BN 101 B 0.48% 92.31 2.26
BAM 78 B 2.62% 30.77 9.68

Apollo is one of the world's largest alternative asset managers, with $938.4 billion in total assets under management, or AUM, including $709.1 billion in fee-earning assets, at the end of 2025. The company has two core operating segments: asset management and retirement services. Apollo operates with scale in each of its major product lines—private equity (with $128.4 billion in total AUM and $75.0 billion in fee-earning AUM), real estate/real assets ($60.8 billion/$27.6 billion), and credit ($749.2 billion/$606.5 billion). Apollo has a distribution profile that is likely not too far off from the industry averages—with 84% of its assets held by institutional investors and 16% by high-net-worth clients.

Sektor Financial Services
Industri Asset Management
Gaya Pelaburan Mid Core
% Dimiliki oleh Orang Dalam 27.76%
% Dimiliki oleh Institusi 66.13%
Julat 52 Minggu
99.56 (-23%) — 157.28 (20%)
Julat Harga Sasaran
131.00 (0%) — 181.00 (38%)
Tinggi 181.00 (Morgan Stanley, 38.74%) Beli
Median 162.00 (24.18%)
Rendah 131.00 (Barclays, 0.41%) Beli
Purata 158.20 (21.26%)
Jumlah 5 Beli
Harga Purata @ Panggilan 124.69
Syarikat Tarikh Harga Sasaran Panggilan Harga @ Panggilan
Barclays 02 Mar 2026 131.00 (0.41%) Beli 106.45
10 Feb 2026 158.00 (21.11%) Beli 132.43
UBS 20 Feb 2026 152.00 (16.51%) Beli 119.72
JP Morgan 10 Feb 2026 162.00 (24.18%) Beli 132.43
Morgan Stanley 10 Feb 2026 181.00 (38.74%) Beli 132.43
Piper Sandler 10 Feb 2026 165.00 (26.48%) Beli 132.43

Tiada data dalam julat masa ini.

Hasil Dividen (DY TTM) 1.85%
Purata Hasil Dividen 4T 1.44%
Nisbah Pembayaran 32.29%
Tarikh EX Tarikh Pengumuman Tarikh Pembayaran Perincian
18 Feb 2025 04 Feb 2025 28 Feb 2025 0.4625 Tunai
18 Nov 2024 05 Nov 2024 29 Nov 2024 0.4625 Tunai
16 Aug 2024 01 Aug 2024 30 Aug 2024 0.4625 Tunai
16 May 2024 02 May 2024 31 May 2024 0.4625 Tunai
16 Feb 2024 08 Feb 2024 29 Feb 2024 0.43 Tunai
16 Nov 2023 01 Nov 2023 30 Nov 2023 0.43 Tunai
17 Aug 2023 03 Aug 2023 31 Aug 2023 0.43 Tunai
19 May 2023 09 May 2023 31 May 2023 0.43 Tunai
17 Feb 2023 09 Feb 2023 28 Feb 2023 0.4 Tunai
16 Nov 2022 02 Nov 2022 30 Nov 2022 0.4 Tunai
17 Aug 2022 04 Aug 2022 31 Aug 2022 0.4 Tunai
17 May 2022 05 May 2022 31 May 2022 0.4 Tunai
17 Feb 2022 11 Feb 2022 28 Feb 2022 0.4 Tunai
Papar semua

Hasil Dividen Tahunan

Tahun Dividen Tahunan ($) Kekerapan/Tahun Hasil %
2025 0.463 1 0.32
2024 1.82 4 1.10
2023 1.69 4 1.81
2022 1.60 4 2.51

Tahap sokongan, rintangan dan garis aliran yang dibentangkan telah dihasilkan oleh model kecerdasan buatan (AI) dan harus ditafsirkan dengan berhati-hati.

Portfolio

AI Templat

Peringatan harga anda

Profil Risiko

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Konservatif
Sederhana Konservatif
Sederhana
Sederhana Agresif
Agresif
Margin Keselamatan (EP)
Keuntungan Separa (TP1)
Keuntungan Sasaran (TP2)
Kerugian Maksimum (SL)

Penafian: Perkara di atas adalah untuk tujuan ilustrasi sahaja dan BUKAN nasihat pelaburan. Dapatkan nasihat daripada penasihat kewangan yang berkelayakan.

Harga Masuk (EP)

Ambil Untung 1 (TP1)

Ambil Untung 2 (TP2)

Henti Rugi (SL)

Julat 52 Minggu
 
52WL
 
52WH
SL
EP
TP1
TP2

Semua harga peringatan berada dalam julat harga 52 minggu

Keuntungan Nyata -
Keuntungan Tidak Nyata -
Dividen Diterima 2026 -
Jumlah Untung -
Pulangan Purata -
Kuantiti (Beli) -
Purata Harga (Beli) -
Kuantiti (Jual) -
Purata Harga (Jual) -
Tiada saham yang memenuhi kriteria anda