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APO · Financials
Apollo Global Management's distance from the ideal is driven mostly by Asset turnover and ESG risk score. It sits closest to the frontier on Net debt / EBITDA.
Laggard · bottom 20% of Financials · score 31.1 · rank 72/76
| Purchased electricity | n/a |
| On-site fuel combustion | n/a |
| Vehicle fleets | n/a |
| Process emissions | n/a |
| Fugitive emissions | n/a |
Benchmark: burden 0.00 years of earnings (sector median 0.00 years), fossil revenue 0%, beneficiary revenue 0%, net debt/EBITDA -1.4x; largest gaps to the sector ideal: transition burden and leverage vs sector target.