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CompanyCurrent Price50-Day Moving Average52-Week RangeMarket CapBetaAvg. VolumeToday's Volume
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
$142.83
+0.8%
$135.68
$95.11
$189.49
$80.94B1.593.93 million shs2.12 million shs
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
$55.49
+1.0%
$55.72
$37.80
$62.61
$89.96B1.431.58 million shs2.15 million shs
Carlyle Group Inc. stock logo
CG
Carlyle Group
$54.45
+3.1%
$45.35
$33.02
$57.50
$19.08B1.862.65 million shs3.12 million shs
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$620.45
+0.5%
$585.78
$481.80
$620.75
$639.76B159.18 million shs66.39 million shs
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Compare Price Performance

Company1-Day Performance7-Day Performance30-Day Performance90-Day Performance1-Year Performance
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
-0.44%+1.29%+8.42%-0.06%+19.23%
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
-0.56%-1.21%-2.17%+8.33%+46.74%
Carlyle Group Inc. stock logo
CG
Carlyle Group
+2.76%+7.51%+17.93%+14.06%+33.45%
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
-0.03%+1.79%+5.06%+9.41%+13.25%
CompanyOverall ScoreAnalyst's OpinionShort Interest ScoreDividend StrengthESG ScoreNews and Social Media SentimentCompany OwnershipEarnings & Valuation
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
4.698 of 5 stars
3.51.02.51.82.23.32.5
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
4.1448 of 5 stars
2.33.00.82.82.52.51.9
Carlyle Group Inc. stock logo
CG
Carlyle Group
4.2996 of 5 stars
2.23.02.52.62.22.51.9
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
N/AN/AN/AN/AN/AN/AN/AN/A
CompanyConsensus Rating ScoreConsensus RatingConsensus Price Target% Upside from Current Price
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
2.95
Moderate Buy$159.0011.32% Upside
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
2.53
Moderate Buy$59.507.23% Upside
Carlyle Group Inc. stock logo
CG
Carlyle Group
2.38
Hold$53.00-2.66% Downside
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
2.76
Moderate Buy$620.45N/A

Current Analyst Ratings Breakdown

Latest APO, BAM, SPY, and CG Analyst Ratings

DateCompanyBrokerageActionRatingPrice TargetDetails
6/30/2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
Piper Sandler
Subscribe to MarketBeat All Access for the recommendation accuracy rating
Initiated CoverageNeutral$60.00
6/18/2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
Royal Bank Of Canada
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Initiated CoverageOutperform ➝ Outperform$68.00 ➝ $72.00
5/23/2025
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
Wells Fargo & Company
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Boost Price TargetOverweight ➝ Overweight$158.00 ➝ $160.00
5/23/2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
Wells Fargo & Company
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Boost Price TargetUnderweight ➝ Underweight$54.00 ➝ $55.00
5/23/2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
Wells Fargo & Company
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Boost Price TargetEqual Weight ➝ Equal Weight$45.00 ➝ $49.00
5/16/2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
Morgan Stanley
Subscribe to MarketBeat All Access for the recommendation accuracy rating
Boost Price TargetEqual Weight ➝ Equal Weight$50.00 ➝ $54.00
5/14/2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
Cowen
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UpgradeHold ➝ Buy
5/14/2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
TD Cowen
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UpgradeHold ➝ Buy$56.00
5/12/2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
Keefe, Bruyette & Woods
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Boost Price TargetMarket Perform ➝ Market Perform$43.00 ➝ $45.00
5/9/2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
Barclays
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Boost Price TargetOverweight ➝ Overweight$43.00 ➝ $49.00
5/7/2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
Scotiabank
Subscribe to MarketBeat All Access for the recommendation accuracy rating
Boost Price TargetOutperform ➝ Outperform$58.00 ➝ $59.00
(Data available from 7/2/2022 forward. View 10+ years of historical ratings with our analyst ratings screener.)
CompanyAnnual RevenuePrice/SalesCashflowPrice/CashBook ValuePrice/Book
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
$26.11B3.13$6.59 per share21.69$52.26 per share2.73
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
$3.98B22.83$5.68 per share9.77$7.80 per share7.11
Carlyle Group Inc. stock logo
CG
Carlyle Group
$5.43B3.62$4.32 per share12.60$17.75 per share3.07
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
N/AN/AN/AN/AN/AN/A
CompanyNet IncomeEPSTrailing P/E RatioForward P/E RatioP/E GrowthNet MarginsReturn on Equity (ROE)Return on Assets (ROA)Next Earnings Date
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
$4.58B$5.7125.0115.111.4614.59%13.45%1.06%7/30/2025 (Estimated)
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
$541M$1.4139.3527.882.0655.26%52.70%35.46%8/6/2025 (Estimated)
Carlyle Group Inc. stock logo
CG
Carlyle Group
$1.02B$2.9518.4611.491.1419.00%23.78%6.40%8/4/2025 (Estimated)
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
N/AN/A25.94N/AN/AN/AN/AN/A

Latest APO, BAM, SPY, and CG Earnings

DateQuarterCompanyConsensus EstimateReported EPSBeat/MissGap EPSRevenue EstimateActual RevenueDetails
5/9/2025Q1 2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
$0.97$1.14+$0.17$0.35$972.27 million$973.10 million
5/6/2025Q1 2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
$0.40$0.40N/A$0.36$1.29 billion$1.04 billion
5/2/2025Q1 2025
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
$1.84$1.82-$0.02$0.68$977.14 million$5.55 billion
CompanyAnnual PayoutDividend Yield3-Year Dividend GrowthPayout RatioYears of Consecutive Growth
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
$2.041.43%N/A35.73%3 Years
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
$1.753.15%N/A124.11%2 Years
Carlyle Group Inc. stock logo
CG
Carlyle Group
$1.402.57%N/A47.46%4 Years
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$7.161.15%N/AN/AN/A

Latest APO, BAM, SPY, and CG Dividends

AnnouncementCompanyPeriodAmountYieldEx-Dividend DateRecord DatePayable Date
5/6/2025
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
quarterly$0.43753.25%5/30/20255/30/20256/30/2025
5/2/2025
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
quarterly$0.511.48%5/16/20255/16/20255/30/2025
4/23/2025
Carlyle Group Inc. stock logo
CG
Carlyle Group
quarterly$0.353.3%5/19/20255/19/20255/27/2025
(Data available from 1/1/2013 forward)
CompanyDebt-to-Equity RatioCurrent RatioQuick Ratio
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
0.34
1.36
1.36
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
0.07
1.31
1.31
Carlyle Group Inc. stock logo
CG
Carlyle Group
1.56
2.36
2.36
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
N/AN/AN/A

Institutional Ownership

CompanyInstitutional Ownership
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
77.06%
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
68.41%
Carlyle Group Inc. stock logo
CG
Carlyle Group
55.88%
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
63.54%
CompanyEmployeesShares OutstandingFree FloatOptionable
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
5,108571.49 million524.63 millionOptionable
Brookfield Asset Management Ltd. stock logo
BAM
Brookfield Asset Management
250,0001.64 billion1.46 billionOptionable
Carlyle Group Inc. stock logo
CG
Carlyle Group
2,300361.14 million266.16 millionOptionable
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
N/A1.03 billionN/ANot Optionable

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Apollo Global Management stock logo

Apollo Global Management NYSE:APO

$142.83 +1.20 (+0.85%)
Closing price 03:59 PM Eastern
Extended Trading
$143.01 +0.18 (+0.13%)
As of 07:59 PM Eastern
Extended trading is trading that happens on electronic markets outside of regular trading hours. This is a fair market value extended hours price provided by Polygon.io. Learn more.

Apollo Global Management, Inc. is a private equity firm specializing in investments in credit, private equity, infrastructure, secondaries and real estate markets. The firm prefers to invest in private and public markets. The firm's private equity investments include traditional buyouts, recapitalization, distressed buyouts and debt investments in real estate, corporate partner buyouts, distressed asset, corporate carve-outs, middle market, growth, venture capital, turnaround, bridge, corporate restructuring, special situation, acquisition, and industry consolidation transactions. For credit strategies, the firm focuses to invest in multi-sector credit, semi-liquid credit, direct lending, first lien, unitranche, whole loans and private credit. The firm provides its services to endowment and sovereign wealth funds, as well as other institutional and individual investors. It manages client focused portfolios. The firm launches and manages hedge funds for its clients. It also manages real estate funds and private equity funds for its clients. The firm invests in the fixed income and alternative investment markets across the globe. Its fixed income investments include income-oriented senior loans, bonds, collateralized loan obligations, structured credit, opportunistic credit, non-performing loans, distressed debt, mezzanine debt, and value oriented fixed income securities. The firm seeks to invest in chemicals, commodities, consumer and retail, oil and gas, metals, mining, agriculture, commodities, distribution and transportation, financial and business services, manufacturing and industrial, media distribution, cable, entertainment and leisure, telecom, technology, natural resources, energy, packaging and materials, and satellite and wireless industries. It also focuses on clean energy, sustainable industry, climate solutions, energy transition, industrial decarbonization, sustainable mobility, sustainable resource use, and sustainable real estate. It seeks to invest in companies based in across Africa, Asia, North America with a focus on United States, Western Europe and Europe. It employs a combination of contrarian, value, and distressed strategies to make its investments. The firm seeks to make investments in the range of $75 million and $1500 million. The firm seeks to invest in companies with Enterprise value between $750 million to $2500 million. The firm conducts in-house research to create its investment portfolio. It seeks to acquire minority and majority positions in its portfolio companies. Apollo Global Management, Inc. was founded in 1990 and is headquartered in New York, New York with additional offices in North America, Asia, Africa and Europe.

Brookfield Asset Management stock logo

Brookfield Asset Management NYSE:BAM

$55.49 +0.55 (+1.00%)
Closing price 03:59 PM Eastern
Extended Trading
$55.75 +0.26 (+0.47%)
As of 07:47 PM Eastern
Extended trading is trading that happens on electronic markets outside of regular trading hours. This is a fair market value extended hours price provided by Polygon.io. Learn more.

Brookfield Asset Management Ltd. is a real estate investment firm specializing in alternative asset management services. Its renewable power and transition business includes the operates in the hydroelectric, wind, solar, distributed generation, and sustainable solution sector. The company's infrastructure business engages in the utilities, transport, midstream, and data infrastructure sectors. In addition, its private equity business offers industrial, infrastructure, and business services sectors; and real estate business, which includes housing, logistics, hospitality, science and innovation, office, and retail sectors. Further, it provides credit business; and insurance solution in the reinsurance, annuities, operating platform, and investment solutions sectors. Brookfield Asset Management Ltd. was incorporated in 2022 and is headquartered in Toronto, Canada.

Carlyle Group stock logo

Carlyle Group NASDAQ:CG

$54.45 +1.63 (+3.09%)
Closing price 04:00 PM Eastern
Extended Trading
$51.75 -2.70 (-4.96%)
As of 04:47 PM Eastern
Extended trading is trading that happens on electronic markets outside of regular trading hours. This is a fair market value extended hours price provided by Polygon.io. Learn more.

The Carlyle Group Inc. is an investment firm specializing in direct and fund of fund investments. Within direct investments, it specializes in management-led/ Leveraged buyouts, privatizations, divestitures, strategic minority equity investments, structured credit, global distressed and corporate opportunities, small and middle market, equity private placements, consolidations and buildups, senior debt, mezzanine and leveraged finance, and venture and growth capital financings, seed/startup, early venture, emerging growth, turnaround, mid venture, late venture, PIPES. The firm invests across four segments which include Corporate Private Equity, Real Assets, Global Market Strategies, and Solutions. The firm typically invests in industrial, agribusiness, ecological sector, fintech, airports, parking, Plastics, Rubber, diversified natural resources, minerals, farming, aerospace, defense, automotive, consumer, retail, industrial, infrastructure, energy, power, healthcare, software, software enabled services, semiconductors, communications infrastructure, financial technology, utilities, gaming, systems and related supply chain, electronic systems, systems, oil and gas, processing facilities, power generation assets, technology, systems, real estate, financial services, transportation, business services, telecommunications, media, and logistics sectors. Within the industrial sector, the firm invests in manufacturing, building products, packaging, chemicals, metals and mining, forestry and paper products, and industrial consumables and services. In consumer and retail sectors, it invests in food and beverage, retail, restaurants, consumer products, domestic consumption, consumer services, personal care products, direct marketing, and education. Within aerospace, defense, business services, and government services sectors, it seeks to invest in defense electronics, manufacturing and services, government contracting and services, information technology, distribution companies. In telecommunication and media sectors, it invests in cable TV, directories, publishing, entertainment and content delivery services, wireless infrastructure/services, fixed line networks, satellite services, broadband and Internet, and infrastructure. Within real estate, the firm invests in office, hotel, industrial, retail, for sale residential, student housing, hospitality, multifamily residential, homebuilding and building products, and senior living sectors. The firm seeks to make investments in growing business including those with overleveraged balance sheets. The firm seeks to hold its investments for four to six years. In the healthcare sector, it invests in healthcare services, outsourcing services, companies running clinical trials for pharmaceutical companies, managed care, pharmaceuticals, pharmaceutical related services, healthcare IT, medical, products, and devices. It seeks to invest in companies based in Sub-Saharan focusing on Ghana, Kenya, Mozambique, Botswana, Nigeria, Uganda, West Africa, North Africa and South Africa focusing on Tanzania and Zambia; Asia focusing on Pakistan, India, South East Asia, Indonesia, Philippines, Vietnam, Korea, and Japan; Australia; New Zealand; Europe focusing on France, Italy, Denmark, United Kingdom, Germany, Austria, Belgium, Finland, Iceland, Ireland, Netherlands, Norway, Portugal, Spain, Benelux , Sweden, Switzerland, Hungary, Poland, and Russia; Middle East focusing on Bahrain, Jordan, Kuwait, Lebanon, Oman, Qatar, Saudi Arabia, Turkey, and UAE; North America focusing on United States which further invest in Southeastern United States, Texas, Boston, San Francisco Bay Area and Pacific Northwest; Asia Pacific; Soviet Union, Central-Eastern Europe, and Israel; Nordic region; and South America focusing on Mexico, Argentina, Brazil, Chile, and Peru. The firm seeks to invest in food, financial, and healthcare industries in Western China. In the real estate sector, the firm seeks to invest in various locations across Europe focusing on France and Central Europe, United States, Asia focusing on China, and Latin America. It typically invests between $1 million and $50 million for venture investments and between $50 million and $2 billion for buyouts in companies with enterprise value of between $31.57 million and $1000 million and sales value of $10 million and $500 million. It seeks to invest in companies with market capitalization greater than $50 million and EBITDA between $5 million to $25 million. It prefers to take a majority or a minority stake. While investing in Japan, it does not invest in companies with more than 1,000 employees and prefers companies' worth between $100 million and $150 million. The firm originates, structures, and acts as lead equity investor in the transactions. The Carlyle Group Inc. was founded in 1987 and is based in Washington, District of Columbia with additional offices in 21 countries across 5 continents (North America, South America, Asia, Australia and Europe).

SPDR S&P 500 ETF Trust stock logo

SPDR S&P 500 ETF Trust NYSEARCA:SPY

$620.45 +2.80 (+0.45%)
Closing price 04:10 PM Eastern
Extended Trading
$620.62 +0.16 (+0.03%)
As of 08:00 PM Eastern
Extended trading is trading that happens on electronic markets outside of regular trading hours. This is a fair market value extended hours price provided by Polygon.io. Learn more.

SPDR S&P 500 ETF Trust (the Trust) is a unit investment trust. The Trust seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of the S&P 500 Index (the Index). The Trust seeks to achieve this investment objective by holding a portfolio of the common stocks that are included in the Index (the Portfolio), with the weight of each stock in the Portfolio substantially corresponding to the weight of such stock in the Index. The Trust invests in a range of sectors, including pharmaceuticals; oil, gas and consumable fuels; technology hardware storage and peripherals; insurance; information technology (IT) services; healthcare providers and services; semiconductors and semiconductor equipment; hotels, restaurants and leisure, communications equipment; commercial services and supplies; road and rail; real estate management and development; containers and packaging; professional services, and paper and forest products.