Apollo Global Management Inc - COM CL A (APO)

Historical Holders from Q1 2019 to Q3 2025

Type / Class
Equity / COM CL A
Symbol
APO on NYSE
Price per share
$133.27
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
10,278
Total reported value
$1,369,688
Share change
-224
Value change
-$31,752
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, Apollo Global Management Inc - COM CL A (APO) has 3 institutional shareholders filing 13F forms. They hold 10,278 shares. .

Institutional Holders of Apollo Global Management Inc - COM CL A (APO) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 10,278 $1,369,688 -$31,752 $133.27 3
2025 Q2 10,502 $1,489,822 +$851 $141.81 4
2025 Q1 10,496 $1,437,267 +$1,012,261 $136.94 4
2024 Q4 3,104 $512,642 -$923,210 $165.16 3
2024 Q3 10,495 $1,310,874 -$40,845 $124.90 4
2024 Q2 10,822 $1,277,730 +$780,616 $118.07 4
2024 Q1 4,209 $473,317 -$1,673,747 $112.46 2
2023 Q4 22,170 $2,066,008 -$358,982 $93.19 3
2023 Q3 26,023 $2,335,807 +$837,999 $89.76 4
2023 Q2 16,687 $1,281,723 -$15,465,691 $76.81 4
2023 Q1 258,022 $16,296,678 +$14,210,432 $63.16 4
2022 Q4 33,031 $2,107,056 -$127,508 $63.79 3
2022 Q3 35,030 $1,629,000 -$34,338,327 $48.24 2
2022 Q2 745,722 $36,152,000 -$40,019,584 $48.48 5
2022 Q1 1,332,592 $82,411,000 -$13,228,164,047 $61.99 17
2021 Q4 184,079,243 $13,338,590,338 -$901,724,416 $72.43 427
2021 Q3 199,213,031 $12,274,874,272 +$351,893,958 $61.59 470
2021 Q2 193,562,072 $12,038,093,311 +$730,481,988 $62.20 436
2021 Q1 180,008,810 $8,463,200,581 +$595,577,970 $47.01 425
2020 Q4 167,318,112 $8,193,729,185 +$155,117,143 $48.98 380
2020 Q3 163,632,507 $7,323,195,051 -$173,977,795 $44.75 361
2020 Q2 167,760,692 $8,374,858,003 +$593,165,548 $49.92 346
2020 Q1 155,103,108 $5,199,321,831 -$3,534,392 $33.50 288
2019 Q4 157,492,881 $7,513,595,916 +$473,381,713 $47.71 299
2019 Q3 148,019,769 $5,599,529,409 +$5,599,118,969 $37.82 239
2019 Q2 350 $22,000 $0 $62.86 1
2019 Q1 350 $22,000 $0 $62.86 1