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APO Apollo Global Management

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  • 173.850
  • -1.790-1.02%
Close Nov 27 16:00 ET
  • 173.850
  • 0.0000.00%
Post 16:35 ET
98.37BMarket Cap18.36P/E (TTM)

Apollo Global Management Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
609.34%1.85B
-62.46%1.33B
-93.46%70M
66.85%6.32B
40.89%2.06B
-115.53%-364M
-10.62%3.55B
126.82%1.07B
256.11%3.79B
236.53%1.47B
Net income from continuing operations
176.41%1.77B
56.93%1.18B
14.76%1.77B
285.60%6.51B
255.61%3.58B
175.38%640M
128.78%750M
245.23%1.54B
-182.19%-3.51B
64.54%1.01B
Operating gains losses
-206.34%-1.58B
-229.83%-531M
0.83%-2.51B
-172.54%-3.21B
-317.69%-2.57B
44.02%1.48B
-85.51%409M
-312.15%-2.53B
164.53%4.43B
67.42%-616M
Depreciation and amortization
16.60%281M
44.44%260M
44.24%238M
51.80%803M
41.83%217M
61.74%241M
48.76%180M
55.66%165M
1,859.26%529M
2,085.71%153M
Other non cash items
99.40%-7M
110.81%163M
-425.16%-1.03B
46.03%-2.24B
-93.87%114M
-376.23%-1.16B
-204.03%-1.51B
106.04%318M
-594.64%-4.15B
250.16%1.86B
Change In working capital
173.29%1.25B
-96.90%111M
-1.32%1.42B
-42.22%3.44B
111.33%121M
-179.69%-1.71B
-10.63%3.58B
66.59%1.44B
94.92%5.95B
-353.08%-1.07B
-Change in other current liabilities
108.68%79M
-114.43%-543M
-1,148.44%-671M
11.07%4.33B
2,112.50%1.42B
-208.72%-910M
-0.34%3.76B
108.25%64M
--3.9B
--64M
-Change in other working capital
247.05%1.17B
457.38%654M
52.00%2.09B
-143.93%-898M
-14.40%-1.3B
-161.07%-797M
-179.57%-183M
-16.09%1.38B
-32.98%2.04B
-368.25%-1.13B
Cash from discontinued investing activities
Operating cash flow
609.34%1.85B
-62.46%1.33B
-93.46%70M
66.85%6.32B
40.89%2.06B
-115.53%-364M
-10.62%3.55B
126.82%1.07B
256.11%3.79B
236.53%1.47B
Investing cash flow
Cash flow from continuing investing activities
-41.67%-14.47B
-23.86%-14.7B
-190.51%-16.39B
-80.89%-42.41B
-30.29%-14.69B
10.06%-10.21B
-202.68%-11.87B
-281.76%-5.64B
-1,410.57%-23.44B
-833.20%-11.27B
Net business purchase and sale
192.24%18.98B
85.22%13.75B
81.81%8.97B
-40.08%24.4B
-56.72%5.56B
36.15%6.49B
-23.46%7.42B
-63.25%4.93B
910.00%40.72B
197.11%12.84B
Net investment purchase and sale
-103.71%-34.11B
-42.93%-27.36B
-132.50%-25.65B
-4.93%-67.04B
-55.80%-20.12B
-0.73%-16.74B
-31.64%-19.15B
44.32%-11.03B
-1,058.48%-63.89B
---12.92B
Net other investing changes
1,607.69%666M
-651.39%-1.08B
-35.73%295M
183.39%231M
98.90%-123M
-92.18%39M
-115.55%-144M
-95.17%459M
-301.45%-277M
-79,871.43%-11.2B
Cash from discontinued investing activities
Investing cash flow
-41.67%-14.47B
-23.86%-14.7B
-190.51%-16.39B
-80.89%-42.41B
-30.29%-14.69B
10.06%-10.21B
-202.68%-11.87B
-281.76%-5.64B
-1,410.57%-23.44B
-833.20%-11.27B
Financing cash flow
Cash flow from continuing financing activities
19.86%12.25B
132.03%11.63B
59.18%18.34B
48.51%42.64B
106.31%15.88B
32.17%10.22B
145.78%5.01B
2.52%11.52B
26,239.45%28.71B
1,291.86%7.7B
Net issuance payments of debt
-189.19%-800M
-84.32%127M
451.60%2.3B
-33.88%1.13B
106.41%80M
1,701.79%897M
1,372.73%810M
-122.12%-655M
370.03%1.71B
-2,080.95%-1.25B
Net common stock issuance
-171.68%-453M
2.60%-75M
43.23%-260M
11.65%-561M
-282.56%-658M
2,530.77%632M
63.51%-77M
-102.65%-458M
-190.46%-635M
-75.51%-172M
Net preferred stock issuance
----
----
----
--1.4B
--1M
----
----
----
--0
----
Cash dividends paid
-17.58%-301M
-18.75%-304M
-17.43%-283M
-7.48%-1.03B
-17.08%-281M
3.03%-256M
-11.79%-256M
-5.24%-241M
-73.65%-962M
-75.18%-240M
Net other financing activities
82.82%13.81B
161.98%11.89B
28.77%16.58B
45.84%41.7B
78.88%16.74B
-6.54%7.55B
87.09%4.54B
47.44%12.88B
4,705.88%28.6B
1,190.62%9.36B
Cash from discontinued financing activities
Financing cash flow
19.86%12.25B
132.03%11.63B
59.18%18.34B
48.51%42.64B
106.31%15.88B
32.17%10.22B
145.78%5.01B
2.52%11.52B
26,239.45%28.71B
1,291.86%7.7B
Net cash flow
Beginning cash position
21.64%17.98B
9.02%19.72B
58.98%17.69B
432.95%11.13B
9.00%14.43B
1.89%14.78B
45.45%18.09B
432.95%11.13B
-15.36%2.09B
246.86%13.24B
Current changes in cash
-1.98%-361M
47.53%-1.73B
-70.85%2.03B
-27.63%6.55B
254.24%3.26B
72.26%-354M
-257.89%-3.3B
-32.81%6.95B
2,489.18%9.06B
-22.16%-2.11B
Effect of exchange rate changes
266.67%5M
--0
-166.67%-2M
166.67%10M
166.67%8M
-250.00%-3M
112.50%2M
175.00%3M
---15M
--3M
End cash Position
22.18%17.63B
21.64%17.98B
9.02%19.72B
58.98%17.69B
58.98%17.69B
9.00%14.43B
1.89%14.78B
45.45%18.09B
432.95%11.13B
432.95%11.13B
Free cash flow
609.34%1.85B
-62.46%1.33B
-93.46%70M
66.85%6.32B
40.89%2.06B
-115.53%-364M
-10.62%3.55B
126.82%1.07B
256.11%3.79B
236.53%1.47B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 609.34%1.85B-62.46%1.33B-93.46%70M66.85%6.32B40.89%2.06B-115.53%-364M-10.62%3.55B126.82%1.07B256.11%3.79B236.53%1.47B
Net income from continuing operations 176.41%1.77B56.93%1.18B14.76%1.77B285.60%6.51B255.61%3.58B175.38%640M128.78%750M245.23%1.54B-182.19%-3.51B64.54%1.01B
Operating gains losses -206.34%-1.58B-229.83%-531M0.83%-2.51B-172.54%-3.21B-317.69%-2.57B44.02%1.48B-85.51%409M-312.15%-2.53B164.53%4.43B67.42%-616M
Depreciation and amortization 16.60%281M44.44%260M44.24%238M51.80%803M41.83%217M61.74%241M48.76%180M55.66%165M1,859.26%529M2,085.71%153M
Other non cash items 99.40%-7M110.81%163M-425.16%-1.03B46.03%-2.24B-93.87%114M-376.23%-1.16B-204.03%-1.51B106.04%318M-594.64%-4.15B250.16%1.86B
Change In working capital 173.29%1.25B-96.90%111M-1.32%1.42B-42.22%3.44B111.33%121M-179.69%-1.71B-10.63%3.58B66.59%1.44B94.92%5.95B-353.08%-1.07B
-Change in other current liabilities 108.68%79M-114.43%-543M-1,148.44%-671M11.07%4.33B2,112.50%1.42B-208.72%-910M-0.34%3.76B108.25%64M--3.9B--64M
-Change in other working capital 247.05%1.17B457.38%654M52.00%2.09B-143.93%-898M-14.40%-1.3B-161.07%-797M-179.57%-183M-16.09%1.38B-32.98%2.04B-368.25%-1.13B
Cash from discontinued investing activities
Operating cash flow 609.34%1.85B-62.46%1.33B-93.46%70M66.85%6.32B40.89%2.06B-115.53%-364M-10.62%3.55B126.82%1.07B256.11%3.79B236.53%1.47B
Investing cash flow
Cash flow from continuing investing activities -41.67%-14.47B-23.86%-14.7B-190.51%-16.39B-80.89%-42.41B-30.29%-14.69B10.06%-10.21B-202.68%-11.87B-281.76%-5.64B-1,410.57%-23.44B-833.20%-11.27B
Net business purchase and sale 192.24%18.98B85.22%13.75B81.81%8.97B-40.08%24.4B-56.72%5.56B36.15%6.49B-23.46%7.42B-63.25%4.93B910.00%40.72B197.11%12.84B
Net investment purchase and sale -103.71%-34.11B-42.93%-27.36B-132.50%-25.65B-4.93%-67.04B-55.80%-20.12B-0.73%-16.74B-31.64%-19.15B44.32%-11.03B-1,058.48%-63.89B---12.92B
Net other investing changes 1,607.69%666M-651.39%-1.08B-35.73%295M183.39%231M98.90%-123M-92.18%39M-115.55%-144M-95.17%459M-301.45%-277M-79,871.43%-11.2B
Cash from discontinued investing activities
Investing cash flow -41.67%-14.47B-23.86%-14.7B-190.51%-16.39B-80.89%-42.41B-30.29%-14.69B10.06%-10.21B-202.68%-11.87B-281.76%-5.64B-1,410.57%-23.44B-833.20%-11.27B
Financing cash flow
Cash flow from continuing financing activities 19.86%12.25B132.03%11.63B59.18%18.34B48.51%42.64B106.31%15.88B32.17%10.22B145.78%5.01B2.52%11.52B26,239.45%28.71B1,291.86%7.7B
Net issuance payments of debt -189.19%-800M-84.32%127M451.60%2.3B-33.88%1.13B106.41%80M1,701.79%897M1,372.73%810M-122.12%-655M370.03%1.71B-2,080.95%-1.25B
Net common stock issuance -171.68%-453M2.60%-75M43.23%-260M11.65%-561M-282.56%-658M2,530.77%632M63.51%-77M-102.65%-458M-190.46%-635M-75.51%-172M
Net preferred stock issuance --------------1.4B--1M--------------0----
Cash dividends paid -17.58%-301M-18.75%-304M-17.43%-283M-7.48%-1.03B-17.08%-281M3.03%-256M-11.79%-256M-5.24%-241M-73.65%-962M-75.18%-240M
Net other financing activities 82.82%13.81B161.98%11.89B28.77%16.58B45.84%41.7B78.88%16.74B-6.54%7.55B87.09%4.54B47.44%12.88B4,705.88%28.6B1,190.62%9.36B
Cash from discontinued financing activities
Financing cash flow 19.86%12.25B132.03%11.63B59.18%18.34B48.51%42.64B106.31%15.88B32.17%10.22B145.78%5.01B2.52%11.52B26,239.45%28.71B1,291.86%7.7B
Net cash flow
Beginning cash position 21.64%17.98B9.02%19.72B58.98%17.69B432.95%11.13B9.00%14.43B1.89%14.78B45.45%18.09B432.95%11.13B-15.36%2.09B246.86%13.24B
Current changes in cash -1.98%-361M47.53%-1.73B-70.85%2.03B-27.63%6.55B254.24%3.26B72.26%-354M-257.89%-3.3B-32.81%6.95B2,489.18%9.06B-22.16%-2.11B
Effect of exchange rate changes 266.67%5M--0-166.67%-2M166.67%10M166.67%8M-250.00%-3M112.50%2M175.00%3M---15M--3M
End cash Position 22.18%17.63B21.64%17.98B9.02%19.72B58.98%17.69B58.98%17.69B9.00%14.43B1.89%14.78B45.45%18.09B432.95%11.13B432.95%11.13B
Free cash flow 609.34%1.85B-62.46%1.33B-93.46%70M66.85%6.32B40.89%2.06B-115.53%-364M-10.62%3.55B126.82%1.07B256.11%3.79B236.53%1.47B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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