Apollo Global Management, Inc. (APO)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / Common
Shares, Excl. Options Q1 2024
$592K
Holdings value Q1 2024
$66.5M
Value change Q1 2024
$0
Grand Portfolio weight change Q1 2024
0%
Number of holders
3
Number of Buys Q1 2024
0
Number of Sells Q1 2024
0
Average Buys Q1 2024 %
0
Average Sells Q1 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 592K $66.5M $0 $112.45 3
2023 Q4 592K $55.1M +$747 $93.19 3
2023 Q3 1.71M $153M -$11M $89.76 4
2023 Q2 1.83M $141M -$1.96M $76.81 3
2023 Q1 2.03M $128M +$11.5M $63.16 5
2022 Q4 1.84M $117M -$2.49M $63.79 3
2022 Q3 1.88M $87.4M -$2.27M $46.50 3
2022 Q2 1.93M $93.5M +$8.69M $48.48 4
2022 Q1 1.77M $110M +$1.4M $61.99 5
2021 Q4 1.77M $129M -$8.09M $72.43 9
2021 Q3 1.93M $119M -$2.24M $61.57 8
2021 Q2 1.96M $122M +$169K $62.20 6
2021 Q1 2.11M $99M +$28.4M $47.01 6
2020 Q4 1.53M $75M +$2.5M $48.98 7
2020 Q3 1.67M $74.9M +$1.1M $44.75 8
2020 Q2 1.69M $84.3M -$10.5M $49.92 8
2020 Q1 2.85M $95.6M -$9.78M $33.50 9
2019 Q4 3.16M $150M +$47.8M $47.71 10
2019 Q3 4.84M $183M -$30.5M $37.82 14
2019 Q2 145M $4.99B +$67.5M $34.30 236
2019 Q1 144M $4.1B +$65.5M $28.25 215
2018 Q4 146M $3.65B -$28.5M $24.54 212
2018 Q3 148M $5.13B +$130M $34.55 236
2018 Q2 148M $4.71B +$305M $31.87 233
2018 Q1 143M $4.29B +$75.2M $29.62 258
2017 Q4 142M $4.72B +$99.4M $33.47 247
2017 Q3 140M $4.21B -$51.1M $30.10 232
2017 Q2 143M $3.78B +$283M $26.45 226
2017 Q1 133M $3.24B +$534M $24.32 205
2016 Q4 91.5M $1.77B -$41.6M $19.36 177
2016 Q3 113M $1.96B +$54.5M $17.96 171
2016 Q2 114M $1.69B -$49.4M $15.15 156
2016 Q1 95.5M $1.64B +$121M $17.12 149
2015 Q4 114M $1.69B +$89.7M $15.18 160
2015 Q3 110M $1.82B +$86.6M $17.18 154
2015 Q2 107M $2.27B +$86.4M $22.15 164
2015 Q1 105M $2.2B +$201M $21.60 164
2014 Q4 96.8M $2.18B -$18.8M $23.58 164
2014 Q3 100M $2.28B +$103M $23.84 153
2014 Q2 104M $2.76B +$340M $27.72 155
2014 Q1 97.8M $3.01B +$93.5M $31.80 153