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AMP vs. APO: A Head-to-Head Stock Comparison

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Here’s a clear look at AMP and APO, comparing key factors like historical performance, profitability, financial strength, growth, dividend, and valuation.

Company Overview

APO’s market capitalization of 82.56 billion USD is significantly greater than AMP’s 51.73 billion USD, highlighting its more substantial market valuation.

With betas of 1.23 for AMP and 1.57 for APO, both stocks show similar sensitivity to overall market movements.

SymbolAMPAPO
Company NameAmeriprise Financial, Inc.Apollo Global Management, Inc.
CountryUSUS
SectorFinancial ServicesFinancial Services
IndustryAsset ManagementAsset Management - Global
CEOJames M. Cracchiolo CPAMarc Jeffrey Rowan
Price543.3 USD144.47 USD
Market Cap51.73 billion USD82.56 billion USD
Beta1.231.57
ExchangeNYSENYSE
IPO DateSeptember 15, 2005March 30, 2011
ADRNoNo

Historical Performance

This chart compares the performance of AMP and APO by tracking the growth of an initial $10,000 investment in each. Use the tabs to select the desired time period.

Data is adjusted for dividends and splits.

AMP vs. APO: Growth of a $10,000 investment over the past one year.

Profitability

Return on Equity

AMP

56.06%

Asset Management Industry

Max
34.25%
Q3
18.22%
Median
11.24%
Q1
5.81%
Min
-5.72%

AMP’s Return on Equity of 56.06% is exceptionally high, placing it well beyond the typical range for the Asset Management industry. This demonstrates a superior ability to generate profit from shareholder investments, though it could also be inflated by high financial leverage.

APO

21.02%

Asset Management - Global Industry

Max
21.02%
Q3
10.69%
Median
0.36%
Q1
-9.97%
Min
-20.30%

In the upper quartile for the Asset Management - Global industry, APO’s Return on Equity of 21.02% signals a highly effective use of shareholder capital to drive profitability compared to most of its peers.

AMP vs. APO: A comparison of their ROE against their respective Asset Management and Asset Management - Global industry benchmarks.

Return on Invested Capital

AMP

38.36%

Asset Management Industry

Max
42.18%
Q3
20.06%
Median
8.68%
Q1
3.13%
Min
-16.42%

In the upper quartile for the Asset Management industry, AMP’s Return on Invested Capital of 38.36% signifies a highly effective use of its capital to generate profits when compared to its peers.

APO

5.75%

Asset Management - Global Industry

Max
5.75%
Q3
2.40%
Median
-0.94%
Q1
-4.29%
Min
-7.64%

In the upper quartile for the Asset Management - Global industry, APO’s Return on Invested Capital of 5.75% signifies a highly effective use of its capital to generate profits when compared to its peers.

AMP vs. APO: A comparison of their ROIC against their respective Asset Management and Asset Management - Global industry benchmarks.

Net Profit Margin

AMP

17.14%

Asset Management Industry

Max
91.66%
Q3
57.81%
Median
29.48%
Q1
15.70%
Min
-27.65%

AMP’s Net Profit Margin of 17.14% is aligned with the median group of its peers in the Asset Management industry. This indicates its ability to convert revenue into profit is typical for the sector.

APO

14.59%

Asset Management - Global Industry

Max
14.59%
Q3
-4.29%
Median
-23.18%
Q1
-42.06%
Min
-60.94%

A Net Profit Margin of 14.59% places APO in the upper quartile for the Asset Management - Global industry, signifying strong profitability and more effective cost management than most of its peers.

AMP vs. APO: A comparison of their Net Profit Margin against their respective Asset Management and Asset Management - Global industry benchmarks.

Operating Profit Margin

AMP

21.38%

Asset Management Industry

Max
99.76%
Q3
78.28%
Median
34.76%
Q1
21.75%
Min
-48.25%

AMP’s Operating Profit Margin of 21.38% is in the lower quartile for the Asset Management industry. This indicates weaker profitability from core operations, which may stem from inefficiencies or competitive pressures on pricing.

APO

29.75%

Asset Management - Global Industry

Max
29.75%
Q3
12.31%
Median
-5.13%
Q1
-22.57%
Min
-40.02%

An Operating Profit Margin of 29.75% places APO in the upper quartile for the Asset Management - Global industry. This signals a strong ability to translate revenue into operating profit, outperforming most of its competitors in core business efficiency.

AMP vs. APO: A comparison of their Operating Margin against their respective Asset Management and Asset Management - Global industry benchmarks.

Profitability at a Glance

SymbolAMPAPO
Return on Equity (TTM)56.06%21.02%
Return on Assets (TTM)1.67%0.91%
Return on Invested Capital (TTM)38.36%5.75%
Net Profit Margin (TTM)17.14%14.59%
Operating Profit Margin (TTM)21.38%29.75%
Gross Profit Margin (TTM)100.00%91.14%

Financial Strength

Current Ratio

AMP

38.84

Asset Management Industry

Max
12.44
Q3
5.76
Median
3.04
Q1
1.03
Min
0.01

AMP’s Current Ratio of 38.84 is exceptionally high, placing it well outside the typical range for the Asset Management industry. This indicates a very strong liquidity position, though such a high ratio may also suggest that the company is not using its assets efficiently to generate profits.

APO

0.80

Asset Management - Global Industry

Max
1.36
Q3
1.22
Median
1.08
Q1
0.94
Min
0.80

APO’s Current Ratio of 0.80 falls into the lower quartile for the Asset Management - Global industry. This indicates a tighter liquidity situation and a more constrained capacity to handle short-term debt than many of its competitors.

AMP vs. APO: A comparison of their Current Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Debt-to-Equity Ratio

AMP

0.70

Asset Management Industry

Max
2.62
Q3
1.42
Median
0.76
Q1
0.34
Min
0.01

AMP’s Debt-to-Equity Ratio of 0.70 is typical for the Asset Management industry, indicating its use of leverage is in line with the sector norm. This suggests a balanced approach to its capital structure.

APO

0.59

Asset Management - Global Industry

Max
0.59
Q3
0.47
Median
0.34
Q1
0.22
Min
0.09

APO’s leverage is in the upper quartile of the Asset Management - Global industry, with a Debt-to-Equity Ratio of 0.59. While this approach can boost equity growth, it also exposes the company to greater financial vulnerability.

AMP vs. APO: A comparison of their D/E Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Interest Coverage Ratio

AMP

11.42

Asset Management Industry

Max
13.30
Q3
6.30
Median
2.71
Q1
1.00
Min
-6.91

AMP’s Interest Coverage Ratio of 11.42 is in the upper quartile for the Asset Management industry, signifying a strong and healthy capacity to meet its interest payments from operating profits.

APO

21.30

Asset Management - Global Industry

Max
21.30
Q3
14.75
Median
8.19
Q1
1.64
Min
-4.91

APO’s Interest Coverage Ratio of 21.30 is in the upper quartile for the Asset Management - Global industry, signifying a strong and healthy capacity to meet its interest payments from operating profits.

AMP vs. APO: A comparison of their Interest Coverage against their respective Asset Management and Asset Management - Global industry benchmarks.

Financial Strength at a Glance

SymbolAMPAPO
Current Ratio (TTM)38.840.80
Quick Ratio (TTM)38.840.80
Debt-to-Equity Ratio (TTM)0.700.59
Debt-to-Asset Ratio (TTM)0.020.03
Net Debt-to-EBITDA Ratio (TTM)1.03-0.35
Interest Coverage Ratio (TTM)11.4221.30

Growth

The following charts compare key year-over-year (YoY) growth metrics for AMP and APO. These metrics are based on the companies’ annual financial reports.

Revenue Growth

AMP vs. APO: A comparison of their annual year-over-year Revenue Growth.

Earnings Per Share (EPS) Growth

AMP vs. APO: A comparison of their annual year-over-year Earnings Per Share (EPS) Growth.

Free Cash Flow Growth

AMP vs. APO: A comparison of their annual year-over-year Free Cash Flow Growth.

Dividend

Dividend Yield

AMP

1.11%

Asset Management Industry

Max
26.09%
Q3
11.60%
Median
6.37%
Q1
2.75%
Min
0.00%

AMP’s Dividend Yield of 1.11% is in the lower quartile for the Asset Management industry. This suggests the company’s strategy likely favors retaining earnings for growth over providing a high dividend income.

APO

1.31%

Asset Management - Global Industry

Max
1.33%
Q3
1.00%
Median
0.66%
Q1
0.33%
Min
0.00%

With a Dividend Yield of 1.31%, APO offers a more attractive income stream than most of its peers in the Asset Management - Global industry, signaling a strong commitment to shareholder returns.

AMP vs. APO: A comparison of their Dividend Yield against their respective Asset Management and Asset Management - Global industry benchmarks.

Dividend Payout Ratio

AMP

19.37%

Asset Management Industry

Max
1,034.88%
Q3
127.70%
Median
75.15%
Q1
34.21%
Min
0.00%

AMP’s Dividend Payout Ratio of 19.37% is in the lower quartile for the Asset Management industry. This suggests a conservative dividend policy, with a strategic focus on reinvesting profits for future growth.

APO

33.63%

Asset Management - Global Industry

Max
--
Q3
--
Median
--
Q1
--
Min
--

APO has a Dividend Payout Ratio of 33.63%, but industry benchmark data for the Asset Management - Global sector is unavailable for comparison.

AMP vs. APO: A comparison of their Payout Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Dividend at a Glance

SymbolAMPAPO
Dividend Yield (TTM)1.11%1.31%
Dividend Payout Ratio (TTM)19.37%33.63%

Valuation

Price-to-Earnings Ratio

AMP

17.87

Asset Management Industry

Max
38.72
Q3
23.40
Median
11.45
Q1
8.80
Min
1.54

AMP’s P/E Ratio of 17.87 is within the middle range for the Asset Management industry. This suggests its valuation is in line with the sector average, representing neither a significant premium nor a discount compared to its peers.

APO

23.62

Asset Management - Global Industry

Max
--
Q3
--
Median
--
Q1
--
Min
--

APO has a P/E Ratio of 23.62, but a direct industry comparison is not possible as benchmark data for the Asset Management - Global sector is unavailable.

AMP vs. APO: A comparison of their P/E Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Forward P/E to Growth Ratio

AMP

1.32

Asset Management Industry

Max
6.38
Q3
3.23
Median
1.55
Q1
0.89
Min
0.02

AMP’s Forward PEG Ratio of 1.32 is within the middle range of its peers in the Asset Management industry. This suggests a reasonable balance between the stock’s price and its expected growth, aligning with sector valuation norms.

APO

-0.24

Asset Management - Global Industry

Max
--
Q3
--
Median
--
Q1
--
Min
--

APO has a negative Forward PEG Ratio of -0.24. This typically results from negative earnings or forecasts of declining future earnings, making the ratio not meaningful for valuation.

AMP vs. APO: A comparison of their Forward PEG Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Price-to-Sales Ratio

AMP

2.96

Asset Management Industry

Max
13.75
Q3
7.92
Median
4.87
Q1
3.51
Min
0.02

In the lower quartile for the Asset Management industry, AMP’s P/S Ratio of 2.96 indicates its revenue is valued more conservatively than most of its peers. This could present a compelling opportunity if the market has overlooked its sales-generating capabilities.

APO

3.35

Asset Management - Global Industry

Max
5.92
Q3
5.27
Median
4.62
Q1
3.97
Min
3.32

In the lower quartile for the Asset Management - Global industry, APO’s P/S Ratio of 3.35 indicates its revenue is valued more conservatively than most of its peers. This could present a compelling opportunity if the market has overlooked its sales-generating capabilities.

AMP vs. APO: A comparison of their P/S Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Price-to-Book Ratio

AMP

9.86

Asset Management Industry

Max
5.33
Q3
2.75
Median
1.06
Q1
0.87
Min
0.00

The P/B Ratio is often not a primary valuation metric for the Asset Management industry.

APO

4.72

Asset Management - Global Industry

Max
4.67
Q3
3.65
Median
2.63
Q1
1.61
Min
0.59

The P/B Ratio is often not a primary valuation metric for the Asset Management - Global industry.

AMP vs. APO: A comparison of their P/B Ratio against their respective Asset Management and Asset Management - Global industry benchmarks.

Valuation at a Glance

SymbolAMPAPO
Price-to-Earnings Ratio (P/E, TTM)17.8723.62
Forward PEG Ratio (TTM)1.32-0.24
Price-to-Sales Ratio (P/S, TTM)2.963.35
Price-to-Book Ratio (P/B, TTM)9.864.72
Price-to-Free Cash Flow Ratio (P/FCF, TTM)7.7523.24
EV-to-EBITDA (TTM)15.1210.22
EV-to-Sales (TTM)3.183.24