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APO vs SPGI

APO: A diversified asset manager and insurer managing $392+ billion in AUM through alternative investment funds, retirement services, and integrated origination and capital solutions capabilities. SPGI: S&P Global is a diversified provider of benchmarks, ratings, data, analytics and workflow solutions serving capital markets, energy and commodity, and automotive sectors globally.

Side-by-side fundamentals

MetricAPOSPGIEdge
Price as of 2026-07-15 close$121.83$444.48
Market cap as of 2026-07-16$70.2B$131.6B
P/E as of 2026-07-1661.4027.56SPGI lower
PEG as of 2026-07-165.182.13SPGI lower
Net margin as of 2026-07-16+4.1%+30.4%SPGI higher
Gross margin as of 2026-07-16n/a+63.4%
Operating margin as of 2026-07-16+23.9%+43.9%SPGI higher
ROE as of 2026-07-16+5.3%+14.8%SPGI higher
ROA as of 2026-07-16+0.3%+7.9%SPGI higher
Debt / equity as of 2026-07-160.710.43SPGI lower
Revenue growth (YoY) as of 2026-07-16+26.2%+8.5%APO higher
Revenue CAGR (3y) SEC XBRL+43.0%+11.1%APO higher
Dividend yield as of 2026-07-16+1.9%+0.9%APO higher
Dividend streak (yrs) SEC XBRL55Tie
Beta as of 2026-07-161.531.08
1-year return as of 2026-07-15 close-19.3%-14.9%SPGI higher

Fundamentals: Finnhub, as of 2026-07-16. Filings: SEC EDGAR. Prices are delayed daily-close data.

Last updated 2026-07-15.

Informational only — NOT financial advice. All figures are delayed daily-close data from SEC EDGAR & Finnhub, shown with their as-of date; "Edge" cells are a pure numeric comparison, not a recommendation.