Apollo Global Management (APO.US) Price Target 2026/2027: 15% Upside – Rating and Stock Analysis

128,58
-0,90%
Price history for Apollo Global Management (APO.US) – stock price at 128.58 $, August 2026
Apollo Global Management stock price – price development 2026. Updated Aug 6, 2026.
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Apollo Global Management Price Target 2026: Analysts See 16% Upside

The average price target for Apollo Global Management is $149.26. This price target represents the analysts' view of the stock price over the next 12 months. The stock may be undervalued, because the price target is higher than the current price. The stock is 16,09% below the target, which can point to potential returns within the next 12 months if the analysts' view proves right. Also consider the stock's valuation ratios such as P/E, P/S and P/B, plus the technical analysis further down the page, for the full picture.

Is Apollo Global Management overvalued or undervalued?

Apollo Global Management is currently undervalued with a gap of 16.1% relative to the price target.


The current price is $128.58, which places Apollo Global Management in the undervalued category. The stock is considered undervalued when the price is below $134.33, and overvalued when the price exceeds $164.19.


The fair value range is defined as ±10% of the price target, because price targets are estimates rather than exact values. For Apollo Global Management, the fair value range lies between $134.33 and $164.19.


See the full price target analysis for Apollo Global Management →

Analyst Ratings for Apollo Global Management stock in 2026: Buy

19 analysts cover Apollo Global Management. The majority is positive, with 78.9% recommending Buy, while 21.1% recommend Hold. The average price target is $149.26, which gives an upside of 16.1% from the current price.

Consensus: Buy (4.32/5)
Strong Buy
10 (52.6%)
Buy
5 (26.3%)
Hold
4 (21.1%)
Strong Sell Sell Hold Buy Strong Buy
4.32 out of 5 based on 19 analysts

About Apollo Global Management – Asset Management

Apollo Global Management driver en stor investeringsforretning. De tjener primært penge på at forvalte formuer for store institutioner, som pensionskasser og statslige fonde. Apollo investerer bredt, især i kreditmarkeder, private equity og infrastrukturprojekter. Deres private equity-afdeling laver mange traditionelle opkøb, men fokuserer også på kriseramte virksomheder og gældsinvesteringer i fast ejendom. Inden for kreditstrategier tilbyder Apollo Global Management løsninger som direkte udlån og unitranche-finansiering. De lancerer og styrer også hedgefonde for deres kunder. Apollo blev grundlagt i 1990 og har siden da udvidet deres tilbud markant. De er kendt for at håndtere klientfokuserede porteføljer. Read more about the company

Key Figures for Apollo Global Management

$ 76,8B Market cap
$ 31,3B Revenue
Asset Management Industry
81.22 P/E
2.45 P/S
3.90 P/B
USA Listed on exchange
apollo.com Website

What kind of stock is Apollo Global Management?

Speculative stock

Apollo Global Management is classified as a speculative stock.

Score Overview for Apollo Global Management

💰 Value Score 26/100 (Low)
⭐ Quality Score 30/100 (Low)
🚀 Momentum Score 56/100 (Neutral)
📊 Total Score 37/100

⚠️ 2 red flags identified 2 critical

Our analysis has identified 2 potential risk factors in Apollo Global Management that investors should be aware of.

🚨 High debt: The debt-to-equity ratio is 1,120% – the company carries considerably more debt than equity, which raises the financial risk.
🚨 Falling earnings: Quarterly earnings have fallen 57% year over year – the company's profitability is under pressure.

📈 Valuation

Apollo Global Management trades at a P/E ratio of 81.2, which is above the market average. The forward P/E is 14.2 (83% lower), which suggests the market expects rising earnings. The P/S ratio is 2.5. The P/B ratio is 3.9. The PEG ratio is 0.57 — below 1.0 suggests the stock is cheap relative to its growth rate.

💵 Profitability & Growth

Apollo Global Management has a profit margin of 3.7% (moderate) and an operating margin of 13.5%. Return on equity (ROE) is 8.5%. Return on assets (ROA) is 0.7%. The latest quarterly earnings grew -57.3% year over year — falling earnings.

🏦 Financial Health

The Piotroski score is 4 out of 9 — average financial health. The debt-to-equity ratio (D/E) is 1,119.8% — high debt, which raises the risk.

🚀 Momentum & Short Interest

Short interest is 5.52% — elevated, some investors are betting on a decline.

Apollo Global Management Dividend 2026

Dividend Key Figures for Apollo Global Management in 2026

Dividend per share
0.56 USD
Payout ratio
25.8%
Low
Dividend growth (5 years)
+4.2%
Avg. annual dividend (3 years)
1.66 USD

When does Apollo Global Management pay a dividend in 2026?

Latest ex-dividend date (traded without the dividend)
August 19, 2026
Next dividend payment
May 29, 2026
Latest payment date
August 31, 2026

How much does Apollo Global Management pay in dividends?

Apollo Global Management pays dividends to its shareholders. The most recently paid dividend was 0.56 USD per share. Over the last 5 years, the annual dividend has grown by 4.2%, which shows positive dividend growth.

The payout ratio is 25.8%, which is low. This suggests the company prioritizes reinvesting in growth over dividend payments. There is good room to raise the dividend in the future.

Historical Dividend Payments for Apollo Global Management

We have registered dividend payments for Apollo Global Management since 2020-05-15. In that period the stock has paid a dividend 26 times, most recently on 2026-08-19. This stock qualifies as a stable dividend stock, because it has paid a dividend at least once a year for the last 5 years. That makes it attractive to investors looking for steady, regular dividend payments.

Ex-datePayment dateAmountCurrencyPeriod
2026-08-192026-08-310.56USDUnknown period
2026-05-192026-05-290.56USDUnknown period
2026-05-192026-05-290.56USDUnknown period
2026-02-192026-02-270.51USDUnknown period
2025-11-172025-11-280.51USDUnknown period
2025-08-182025-08-290.51USDUnknown period
2025-02-182025-02-280.46USDUnknown period
2024-11-182024-11-290.46USDUnknown period
2024-08-162024-08-300.46USDUnknown period
2024-05-162024-05-310.46USDUnknown period
2024-02-162024-02-290.43USDUnknown period
2023-11-162023-11-300.43USDUnknown period
2023-08-172023-08-310.43USDUnknown period
2023-05-192023-05-310.43USDUnknown period
2023-02-172023-02-280.40USDUnknown period
2022-11-162022-11-300.40USDUnknown period
2022-08-172022-08-310.40USDUnknown period
2022-05-172022-05-310.40USDUnknown period
2022-02-172022-02-280.40USDUnknown period
2021-11-182021-11-300.50USDUnknown period
2021-08-182021-08-310.50USDUnknown period
2021-05-192021-05-280.50USDUnknown period
2021-02-182021-02-260.60USDUnknown period
2020-11-192020-11-300.51USDUnknown period
2020-08-172020-08-310.49USDUnknown period
2020-05-152020-05-290.42USDUnknown period

Insider Trading in Apollo Global Management 2026: The Signal Is mostly negative

In 2026, insiders at Apollo Global Management have made 20 transactions – split into 3 purchases and 17 sales. On a net basis, insiders took 326,461,546 $ out of the stock. Active insiders include Lb 2018 Gst Trust, Pauline Richards, Suydam John J and others.

Short-Term Signal (3 months): No activity

There has been no insider trading in the last 3 months.

Long-Term Signal (all transactions): Mostly negative

Insiders have sold considerably more than they have bought. At large companies this can be due to planned sales (10b5-1 plans) and is not necessarily a negative signal.

Across the last 20 transactions: 3 purchases and 17 sales. A net 326,461,546 $ out of the stock.

Latest purchase: Lb 2018 Gst Trust bought 607,725 shares at 111 $ each on 2025-04-04. The stock has since risen 16.5%.

Latest sale: Martin Kelly sold 6,000 shares at 131 $ each on 2025-12-01.

Who is buying: Lb 2018 Gst Trust, Pauline Richards, Suydam John J.

Who is selling: Martin Kelly, Leon D Black, Whitney Chatterjee, James C Zelter.

Latest Insider Trades in Apollo Global Management (2026)

The table shows the last 20 reported insider transactions in Apollo Global Management. Green rows are purchases, red rows are sales. The data is based on official filings.

Transaction date Name Type Number of shares Price per share ($) Total amount ($)
2025-12-01 Martin Kelly Sell 6,000 131 788,460
2025-09-04 Leon D Black Sell 915,000 134 122,637,450
2025-08-12 Martin Kelly Sell 15,500 145 2,249,205
2025-08-06 Whitney Chatterjee Sell 4,500 146 657,135
2025-05-06 Martin Kelly Sell 4,000 133 530,280
2025-04-04 Lb 2018 Gst Trust Buy 607,725 111 67,694,488
2025-03-19 Leon D Black Sell 500,000 142 71,000,000
2025-02-13 Martin Kelly Sell 5,000 158 791,400
2024-12-04 Leon D Black Sell 58,200 173 10,090,134
2024-12-03 Martin Kelly Sell 5,000 173 863,050

Who is buying and selling Apollo Global Management shares in 2026?

The following insiders have bought shares in Apollo Global Management: Lb 2018 Gst Trust, Pauline Richards, Suydam John J. In total, 67,944,172 $ was bought across 3 transactions. The following insiders have sold shares: Martin Kelly, Leon D Black, Whitney Chatterjee, James C Zelter. In total, 394,405,718 $ was sold across 17 transactions. Insider trades are legal transactions in which executives and board members buy or sell shares of their own company. These transactions are reported to the SEC and are publicly available.

Apollo Global Management Short Selling 2026: 5.5% Sold Short

High short interest: 5.5% of the free float
Short % of free float
5.5%
Assessment
High short interest
Short squeeze risk
Moderate
Data source
SEC
Updated daily
The stock has a high share of short selling. Between 5-10% of the freely traded shares are sold short, which suggests some investors are betting on falling prices. Positive surprises can lead to a moderate short squeeze.

What does this mean for you as an investor?
A short interest of 5.5% means that 5.5% of the freely traded shares in Apollo Global Management have been borrowed and sold by investors betting on falling prices.

Data is updated daily based on official filings with the SEC.
Short Interest Scale
0% 2% 5% 10% 20%+
Low Moderate High Very High Extreme
5.5%

When Does Apollo Global Management Report Earnings?

The next earnings date for Apollo Global Management is not yet available. Check the company's investor calendar for more information.



Technical Analysis of Apollo Global Management 2026 – Signal: Buy

Overall Technical Signal: Buy

Based on trend analysis (SMA50/SMA200) and MACD trend (positive/negative on a daily + weekly basis). Updated August 6, 2026.

Technical analysis of Apollo Global Management (APO.US) – RSI 59, MACD positive (bullish), daily candlestick chart August 2026
Apollo Global Management technical analysis – candlestick chart with RSI and MACD. Updated Aug 6, 2026.

Trend Analysis of Apollo Global Management, Inc

Apollo Global Management, Inc is in a short-term uptrend. The price of $129.74 is 6.0% above the 20-day average ($122.44). Medium term, the picture is positive: the price is 3.4% above the 50-day average ($125.42). Long term, the stock is 2.7% above the 200-day average ($126.35), which confirms a long-term uptrend.

Death Cross: The 50-day average (125.42) is below the 200-day average (126.35), which is a classic bearish signal for Apollo Global Management, Inc.

Is Apollo Global Management, Inc overbought or oversold?

Apollo Global Management, Inc has an RSI of 59.1. The stock shows positive momentum in the upper part of the neutral zone. Combined with the positive trend, this supports the bullish picture.

MACD Analysis for Apollo Global Management, Inc

Daily MACD: MACD is positive (1.283), which means the short-term trend is bullish (the 12-day EMA is above the 26-day EMA). MACD is above the signal line (-0.209) by 1.492, which confirms rising momentum in the uptrend.

Weekly MACD: MACD5 is negative (-0.770), which indicates a broader bearish long-term trend. MACD5 is above the signal line (-1.030) by 0.260, which suggests the negative long-term momentum is fading – a bigger trend reversal could be ahead.

Overall MACD assessment: The daily and weekly MACD give conflicting signals. The short-term trend is bullish, but the long-term trend is still bearish. Weekly momentum is rising, though, which could signal an upcoming trend reversal.

Risk Profile for Apollo Global Management, Inc

Apollo Global Management, Inc has an annual standard deviation of 36.0%, which classifies the stock as medium risk. The price can swing noticeably when the market moves.

Overall Technical Conclusion for Apollo Global Management, Inc

Trend: Positive. The price trades above SMA50 and SMA200.

MACD trend (zero line): Daily bullish (1.283). Weekly bearish (-0.770).

MACD momentum (signal): Daily rising. Weekly rising.

RSI: 59.1 – neutral.

Technical signal: Buy

The broader trend is positive and MACD supports the picture. Consider buying with a stop-loss below the nearest support level.

Frequently Asked Questions About Apollo Global Management stock in 2026

Should you buy Apollo Global Management stock now?
Yes, the technical signal for Apollo Global Management is currently BUY. Apollo Global Management trades at $128.58 as of 8/6/2026. The overall technical signal is: Buy. The technical analysis shows the following: MACD is positive (bullish trend) at 1.283 with rising momentum (signal: -0.209); RSI is at 59.1 (neutral zone); the stock is in a short-term uptrend (price above the 20-day average); the analyst price target of $149.26 points to 16.1% upside. The stock is in a broader uptrend (above SMA50/SMA200). This is a technical observation based on current data, not investment advice.
What is the price target for Apollo Global Management stock?
The average analyst price target for Apollo Global Management is $149.26. The current price is $128.58, which gives an upside of 16.1%. Based on this, the stock is considered undervalued. The fair value range (±10% of the price target) is between $134.33 and $164.19.
Is Apollo Global Management a dividend stock?
No, Apollo Global Management does not currently pay a dividend to shareholders. The company reinvests its profits in growth instead of paying dividends.
What is the risk of Apollo Global Management stock?
Apollo Global Management is rated as a stock with moderate risk. the annual standard deviation is 36.0%, which classifies the stock as moderate risk.
Is Apollo Global Management overvalued?
No, Apollo Global Management is considered undervalued based on the analyst price target (16.1% upside). Apollo Global Management has the following valuation ratios: a P/E ratio of 81.2 (highly valued), a P/S ratio of 2.5, a P/B ratio of 3.9. The analyst price target suggests that the stock is undervalued by 16.1%.
Is Apollo Global Management overbought?
No, Apollo Global Management is not overbought. RSI is at 59.1 (neutral zone). The technical indicators show: RSI is at 59.1 (neutral zone between 30-70), which signals neither overbought nor oversold. In addition, the price is 5.0% above the 20-day average (short-term uptrend). In addition, MACD is positive with rising momentum (bullish).
When is the next Apollo Global Management earnings report?
The date of the next earnings report for Apollo Global Management has not been published yet. Check the company's investor calendar for updates.
Is Apollo Global Management shorted?
Yes, Apollo Global Management is shorted with 5.5% of the free float sold short. This is a high level of short selling, which suggests some investors are betting on falling prices. Positive surprises can lead to a moderate short squeeze. Data is updated daily based on official filings with the SEC.
Are insiders buying Apollo Global Management stock?
No, insiders are not buying Apollo Global Management shares – they are net sellers. Across the last 20 reported transactions, the split is 3 purchases and 17 sales, with a net 326,461,546 $ sold. Active sellers include Martin Kelly, Leon D Black, Whitney Chatterjee and others. Insider selling can have several explanations (e.g. planned 10b5-1 sales, portfolio diversification or taxes), but sustained selling by several insiders is worth watching closely.
Is Apollo Global Management a good stock?
Based on our total score, Apollo Global Management is rated as a poor stock with a total score of 37 out of 100. The stock scores below average on value, quality and momentum – it sits at the lower end of the market. The score is made up of Value: 26/100, Quality: 30/100, Momentum: 56/100. In addition: analysts see 16.1% upside to the price target; technical signal: Buy. Whether Apollo Global Management is a good investment depends on your time horizon, risk profile and portfolio. This is a data-driven observation, not investment advice.
What is the outlook for Apollo Global Management stock?
The outlook for Apollo Global Management based on current data: the average analyst price target is $149.26 (+16.1%); the stock is in an uptrend (above SMA50 and SMA200); the P/E ratio is 81.2 (high – the market expects growth). Keep in mind that stock prices are affected by many factors, including earnings reports, the economy and market sentiment. Past returns are no guarantee of future returns.
Why is Apollo Global Management stock rising?
Apollo Global Management is rising right now. The technical indicators show: the price is 5.0% above the 20-day average; MACD is positive with rising momentum (bullish signal); short interest is 5.5% (high – many are betting on a decline); insiders have mostly been selling the stock recently. For the latest context, see our technical analysis, insider section and news overview above.
How high can Apollo Global Management go?
The average analyst price target for Apollo Global Management is $149.26, which corresponds to a potential gain of 16.1% from the current price of $128.58. Keep in mind that price targets are estimates, not guarantees. Actual price moves depend on earnings, market conditions and unexpected events.
How low can Apollo Global Management fall?
We lack enough history to give a specific floor for Apollo Global Management. Remember: past price swings are no guarantee for the future — a stock can fall further than the last 52 weeks suggest, especially on profit warnings, sector crises or a market crash. Use stop-loss orders and spread your portfolio to limit losses in single stocks.
What does Apollo Global Management do?
Apollo Global Management driver en stor investeringsforretning. De tjener primært penge på at forvalte formuer for store institutioner, som pensionskasser og statslige fonde. Apollo investerer bredt, især i kreditmarkeder, private equity og infrastrukturprojekter. Deres priva... The company belongs to the Financiel service sector, more specifically the Asset Management industry, is headquartered in USA, and is traded on the USA Stocks. See the key figures, earnings history and price development above to evaluate Apollo Global Management as an investment.
Did Apollo Global Management raise or lower its guidance?
Over the last 60 days we have not registered a guidance raise or cut from Apollo Global Management. The company can still adjust its guidance at quarterly reports or between reports — see the earnings history and the news overview above.
Is Apollo Global Management making money or losing money?
Yes, Apollo Global Management is making money, not losing it. The company has a profit margin (the share of revenue left over as profit) of 3.7% — which is modest. The operating margin (profit before interest and taxes) is 13.5%. At a P/E ratio of 81.2, you currently pay 81.2 dollars for every dollar of the company's annual earnings. A consistently profitable company is usually more resilient than growth stocks that are not yet making money.
Can Apollo Global Management go bankrupt?
Altman Z2 is not used for banks and financial companies — their balance sheet is built on debt (that is the business model), so the model would wrongly classify a healthy bank as distressed. For Apollo Global Management, look instead at the capital base (e.g. the core capital ratio), loan losses and earnings power.
Does Apollo Global Management have a lot of debt?
Yes, Apollo Global Management has elevated debt relative to equity. The debt-to-equity ratio (D/E — interest-bearing debt to equity) is 1,120%. For the financiel service sector, anything above 150% counts as elevated — that raises the financial risk, especially if interest rates rise or earnings fall. Note: D/E levels are highly sector-specific — a bank at 300% debt is normal, a tech stock at 300% is extremely leveraged. Always compare with similar companies in the same sector.