Analyst Rating Update on Apollo Global Management LLC (APO)

Apollo Global Management LLC (NYSE:APO) has an average broker rating of 2.27, which is interpreted as a Buy, as rated by 11 equity analysts. Nonetheless, 4 analysts are positive on the stocks future and they recommend a Strong Buy on the stock. Nevertheless, the majority of 7 analysts consider that the stock is a Hold with neither a large upside nor a downside. Ranking by Zacks Investment Research for Coach Inc is 3, which is also a Hold.

Apollo Global Management LLC (NYSE:APO) : Average target price received by Apollo Global Management LLC (NYSE:APO) is $17 with an expected standard deviation of $2.1. The most aggressive target on the stock is $20, whereas the most downbeat target is $14. 6 financial analysts are currently covering the stock.

Company shares have received an average consensus rating of Hold for the current week Also, Deutsche Bank maintains its rating on Apollo Global Management LLC (NYSE:APO). The global brokerage major lowers the current price target from $17 per share to $16 per share. Analysts at the Deutsche Bank have a current rating of Hold on the shares. The rating by the firm was issued on June 16, 2016.

Apollo Global Management LLC (NYSE:APO): stock turned positive on Tuesday. Though the stock opened at $14.71, the bulls momentum made the stock top out at $15.06 level for the day. The stock recorded a low of $14.71 and closed the trading day at $15.04, in the green by 3.87%. The total traded volume for the day was 870,284. The stock had closed at $14.48 in the previous days trading.

In an insider trading activity, Krongard A B, director of Apollo Global Management Llc, had purchased 1,000 shares on May 10, 2016. The total value of the transaction was $17,160. The information was disclosed with the SEC in a Form 4 Filing. The information is based on open market trades at the market prices.Option exercises are not covered.

Apollo Global Management, LLC is an investment manager in private equity, credit and real estate. The Company raises, invests and manages funds on behalf of pension, endowment and sovereign wealth funds, as well as other institutional and individual investors. The Company operates through three segments: The Company operates through three segments: Private equity, which invests in control equity and related debt instruments, convertible securities and distressed debt instruments; Credit, which primarily invests in non-control corporate and structured debt instruments, and Real estate, which invests in real estate equity for the acquisition and recapitalization of real estate assets, portfolios, platforms and operating companies, and real estate debt including first mortgage and mezzanine loans, preferred equity and commercial mortgage backed securities.

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