**Apollo Global Management Reports Fiscal Year 2025 Results**
Apollo Global Management, Inc. (NYSE: APO) has released its 10-K filing, detailing the company's financial performance and strategic developments for the fiscal year 2025. The filing indicates that the company, a global alternative asset manager and retirement services provider, remains a large accelerated filer and has met all reporting requirements under the Securities Exchange Act of 1934. As of June 30, 2025, the aggregate market value of the company's common stock held by non-affiliates was approximately $58.39 billion, with 578,247,338 shares of common stock outstanding as of February 20, 2026.
The company's asset management segment reported total assets under management (AUM) of $938.4 billion as of December 31, 2025, a notable increase from the previous year. This AUM is divided between credit strategies ($749.2 billion) and equity strategies ($189.2 billion). The company's credit origination volumes reached $309 billion for the year, with core credit and origination platforms contributing approximately 45% and 40%, respectively. The company's capital solutions business continues to focus on sourcing investment opportunities, maintaining capital market relationships, and structuring capital solutions.
The retirement services segment, conducted through Athene, reported significant activity in its annuity and funding agreement product lines. Athene's deployable capital was estimated at $8.6 billion as of December 31, 2025, comprising excess equity capital, untapped leverage capacity, and available undrawn capital commitments from ACRA. The company continues to utilize ACRA 1 and ACRA 2 as long-duration, on-demand capital vehicles to support growth and capital deployment. Athene's financial strength ratings remained strong, with significant insurance subsidiaries rated "A+" or "A1" by major rating agencies.
The company's filing also includes forward-looking statements regarding expectations for business performance, liquidity, and capital resources, which are subject to various risks and uncertainties, including inflation, interest rate fluctuations, market conditions, geopolitical events, and regulatory changes. The company undertakes no obligation to update these forward-looking statements, except as required by law.
About Apollo Global Management, Inc.
Apollo Global Management, Inc. is a global alternative asset manager and retirement services provider. It operates through three segments: Asset Management, Retirement Services, and Principal Investing. Apollo manages diverse credit and equity investment strategies, including direct origination, asset-backed finance, private equity, real estate, and infrastructure. Serving institutional and individual investors, it emphasizes a contrarian, value-oriented approach focused on capital preservation and long-term risk-adjusted returns across economic cycles.
About 10-K Filings
A 10-K form is a comprehensive annual report that public companies in the United States must file with the SEC, providing a detailed overview of the company's financial condition, performance, and business strategies.
Key points about the 10-K:
- Frequency: Filed annually, typically within 60 to 90 days after the end of the company's fiscal year.
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- Detailed financial statements audited by an independent accounting firm
- Management's Discussion and Analysis (MD&A) of financial condition and results
- Description of the company's business, properties, and legal proceedings
- Risk factors and market risks
- Executive compensation and corporate governance information
- Importance: Considered the most comprehensive and important document a public company files with the SEC.
- Length: Often exceeds 100 pages due to its extensive and detailed nature.
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