Apollo Global Management, Inc. (APO)

Financial Services · Asset Management · Data as of 2026-09-01

Bottom line

APO is trading at a discount to its history, near its historical support zone, and recent volume shows no clear direction. Historically, this combination has been a favourable starting point for further research. Past patterns are not a guarantee of future results.

Valuation — Trading below its usual book-value multiple (Green)

For financial companies we look at price versus book value. APO trades at 3.8× book value, against its own typical 5.1× while earning a 9% return on equity. One caution: its return on equity is modest, so the discount may be deserved. Its current multiple sits around the 86th percentile of its own last five years — near the top of its own range.

Price zones — Near its historical support zone (Green)

At $131.69, the stock is close to the lower end of its recent range. Over the past year APO has traded between $99.56 and $153.29; its historical support zone sits near $127.68 and resistance near $153.29. It is above both its 50- and 200-day averages, which has historically signalled an uptrend.

52-week range $99.56–$153.29 · 50-day average $126.47 · 200-day average $127.68

Money flow — No clear direction (Yellow)

Buying and selling volume in APO have been fairly balanced recently, with no strong accumulation or distribution pattern. Volume on up days has been about 1.3× volume on down days over the last 30 sessions.

About the company

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.

一句话结论

APO 相对自身历史处于折价水平,接近其历史支撑区,近期成交量没有明确方向。从历史来看,这样的组合是一个值得进一步研究的有利起点。过去的形态并不能保证未来的结果。

估值 — 低于其惯常的市净率水平

对金融公司,我们看的是价格与账面价值的关系。APO 的市净率为 3.8×,而它自身惯常的水平是 5.1×,同时取得 9% 的净资产收益率。有一点需要留意:它的净资产收益率并不高,因此这份折价可能是有原因的。它当前的估值倍数大约位于自身过去五年分布的第 86 百分位——接近自身区间的顶部。

价格区间 — 接近其历史支撑区

目前价格为 $131.69,接近其近期区间的下沿。过去一年 APO 的价格在 $99.56 到 $153.29 之间波动;其历史支撑区在 $127.68 附近,阻力区在 $153.29 附近。它同时位于 50 日和 200 日均线上方,这在历史上通常对应上升趋势。

资金流向 — 方向不明确

APO 近期的买卖成交量大致均衡,没有明显的吸筹或派发形态。过去 30 个交易日,上涨日的成交量约为下跌日的 1.3×。

UnderTheLight 用直白的语言解释股票——估值、价格区间与资金流向。它只描述数据,不构成任何投资建议。

UnderTheLight explains stocks in plain English — valuation, price zones and money flow as traffic lights, recomputed nightly. It describes data; it is not investment advice and never recommends a trade.

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