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Apollo Global Management, Inc is currently in a long term uptrend where the price is trading 24.6% above its 200 day moving average.
From a valuation standpoint, the stock is 89.9% cheaper than other stocks from the Financial Services sector with a price to sales ratio of 4.5.
Apollo Global Management, Inc's total revenue rose by 41.7% to $1B since the same quarter in the previous year.
Its net income has increased by 161.4% to $434M since the same quarter in the previous year.
Finally, its free cash flow fell by 1485.7% to $-3B since the same quarter in the previous year.
Based on the above factors, Apollo Global Management, Inc gets an overall score of 4/5.
Industry | Asset Management |
---|---|
Sector | Financial Services |
ISIN | None |
CurrencyCode | EUR |
Exchange | F |
Beta | 1.65 |
---|---|
Market Cap | 16B |
Dividend Yield | 2.8% |
Target Price | 67.8 |
PE Ratio | 8.75 |
Apollo Global Management, Inc. is a private equity firm specializing 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 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 $1.5 billion. The firm seeks to invest in companies with Enterprise value between $200 million to $2.5 billion. The firm conducts an in-house research to create its in
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