Discontinued — last reported Q1 '25

Business Segments · AFS securities

Asset Management — AFS securities

Analysis

StatementSegment
CategoryLiquidity
SignalContext dependent
VolatilityModerate
First reportedQ4 2021
Last reportedQ1 2025

How to read this metric

An increase in AFS securities typically suggests a strategic shift toward more liquid, market-sensitive assets, while a decrease may indicate a rotation into held-to-maturity assets or a reduction in overall market exposure. Significant fluctuations in the unrealized gains or losses associated with these securities can signal changes in interest rate environments or credit market conditions.

Detailed definition

This metric represents the portion of the Asset Management segment's investment portfolio classified as Available-for-Sa...

Peer comparison

This is a standard accounting classification found across financial institutions and asset managers, comparable to 'Available-for-Sale Debt Securities' or 'Investment Securities' reported by banks and insurance-linked investment firms.

Metric ID: apo_segment_asset_management_afs_securities

Historical Data

9 periods
 Q4 '21Q1 '22Q2 '22Q3 '22Q4 '22Q1 '23Q2 '23Q4 '24Q1 '25
Value$1.69B$1.74B$819.00M$1.37B$709.00M$419.00M$248.00M$0.00$448.00M
QoQ Change+3.3%-53.0%+67.5%-48.3%-40.9%-40.8%-100.0%
YoY Change-58.0%-75.9%-69.7%
Range$0.00$1.74B
CAGR-48.5%
Avg YoY Growth-67.9%
Median YoY Growth-69.7%

Frequently Asked Questions

What is Apollo Global Management's asset management — afs securities?
Apollo Global Management (APO) reported asset management — afs securities of $448.00M in Q1 2025.
What does asset management — afs securities mean?
The value of investment securities held by the asset management segment that are intended for sale before maturity and marked to fair market value.