13F

Investor

Apollo Management Holdings, L.P.

CIK 0001449434 · filed 2026-05-15 · SEC filing

13F book

$7.6B

Positions

81

16 new · 36 sold

Largest name

10.9%

Echostar Corp · ECHO

Est. mark

−$374.5M

Price effect on 65 names still held. Flow −$3.73B.
NameTickerSharesValueWeightEst. markChange
Echostar CorpECHO230.9M$827.1M10.9%$54.1MCut−$757.1M
Phoenix Ed Partners Inc24.9M$783.4M10.3%$28.9MHeld
Hilton Grand Vacations Inc.HGV18.2M$713.8M9.4%−$102.7MHeld
Adt Inc Del102M$670.1M8.8%−$153MHeld
Grupo Aeromexico Sab De Cv27.5M$385.3M5.1%−$218.7MHeld
Vanguard Index Fds590.5K$352.9M4.6%New
Echostar CorpECHO1.88M$220.6M2.9%$15.8MCut−$47.2M
Nvidia CorpNVDA1M$174.4M2.3%−$6.05MAdded$81.2M
Carmax IncKMX4.14M$172.3M2.3%$12.2MCut−$22.7M
Global Business Travel Group, Inc.GBTG22.9M$127.7M1.7%−$47.4MHeld
Rackspace Technology, Inc.RXT129.6M$127M1.7%$1.18MHeld
Comcast Corp New4.34M$124.5M1.6%−$2.64MAdded$57.7M
Tpg Inc2.53M$102.5M1.3%New
Uniti Group Inc.UNIT9.27M$87M1.1%$22MCut$19.7M
USA TODAY Co., Inc.TDAY12.1M$85.5M1.1%$23MHeld
Invitation Homes Inc.INVH2.02M$50.2M0.7%−$1.73MAdded$33.8M
Ventas, Inc.VTR581.3K$47.5M0.6%$2.52MAdded$3.17M
Vici Pptys Inc1.7M$46.4M0.6%−$454.7KAdded$30.5M
Churchill Downs IncCHDN477K$42.8M0.6%New
Public Storage Oper Co144K$39M0.5%$1.6MAdded$2.6M
Extra Space Storage Inc.EXR286.5K$37.6M0.5%$260.7KCut−$678.2K
Ares Management Corporation330.3K$36M0.5%New
Community Health Sys Inc New11.5M$33.8M0.4%−$2.07MCut−$3.16M
Simon Ppty Group Inc New169K$31.5M0.4%$240KHeld
Realty Income CorpO508.8K$31.1M0.4%$2.45MHeld
Brixmor Ppty Group Inc1.02M$29.5M0.4%$2.64MHeld
Kimco Rlty Corp1.24M$27.9M0.4%$2.73MAdded$2.79M
Iron Mtn Inc Del265.5K$27.1M0.4%$5.1MHeld
Midcap Financial Invstmnt Co2.35M$26.4M0.3%−$469.8KCut−$928.8K
Owens Corning New240.6K$26M0.3%New
American Homes 4 Rent924.1K$25.8M0.3%−$2.29MAdded$8.25M
UDR, Inc.UDR754.1K$25.5M0.3%−$2.19MCut−$7.01M
Janus Detroit Str Tr500K$25.2M0.3%−$105KHeld
Camden Ppty Tr245.4K$24M0.3%−$3.05MCut−$3.96M
Mohawk Inds Inc242.1K$23.8M0.3%New
Agree Rlty Corp315.8K$23.8M0.3%$1MAdded$2.28M
Builders FirstSource, Inc.BLDR287.6K$23.7M0.3%New
James Hardie Inds Plc1.17M$22.3M0.3%New
MasterBrand, Inc.MBC2.64M$21.9M0.3%New
Sabre CorpSABR14.4M$20.9M0.3%$1.3MHeld
Ssga Active Tr790K$19.9M0.3%−$136.8KAdded$620.1K
Kite Rlty Group TrKRG768.3K$18.9M0.2%$445.6KHeld
Aeva Technologies, Inc.AEVA1.39M$18.3M0.2%−$166.9KHeld
Equity Lifestyle Pptys IncELS264.7K$16.5M0.2%$422.4KAdded$2.38M
Omega Healthcare Invs Inc357.1K$15.6M0.2%−$185.7KCut−$364.5K
Host Hotels & Resorts, Inc.HST802.1K$15.4M0.2%$1.15MHeld
American Healthcare REIT, Inc.AHR281.3K$13.3M0.2%$28.1KHeld
Equity ResidentialEQR222.7K$13.2M0.2%−$866.4KCut−$2.04M
First Indl Rlty Tr Inc208.9K$12.1M0.2%$117.3KAdded$505.5K
Essex Ppty Tr Inc48.1K$11.6M0.2%−$945.8KCut−$2.13M
Macerich CoMAC609.6K$11.5M0.2%$245KAdded$1.24M
Healthcare Rlty Tr677.2K$11.5M0.2%$24.9KAdded$964.6K
Cousins Pptys Inc503.9K$11.4M0.1%−$1.62MCut−$2.9M
Ssga Active Tr435K$10.9M0.1%New
Optimum Communications, Inc.OPTU6.1M$7.94M0.1%−$2.14MHeld
BXP, Inc.BXP140.4K$7.29M0.1%−$2.19MCut−$3.01M
Apollo Coml Real Est Fin Inc665.6K$7.03M0.1%$585.7KHeld
Lineage, Inc.LINE207.3K$6.79M0.1%−$126.2KAdded$4.82M
Hilton Worldwide Hldgs Inc16.1K$4.9M0.1%New
Wyndham Hotels & Resorts, Inc.WH58.9K$4.78M0.1%New
Marriott Intl Inc New14.3K$4.68M0.1%New
Epr Pptys86.6K$4.33M0.1%New
Hyatt Hotels CorpH30K$4.31M0.1%New
Gaming & Leisure Pptys Inc63.4K$2.81M0.0%New
Americold Realty TrustCOLD227.7K$2.61M0.0%−$318.8KHeld
Bluerock Pvt Real Estate Fd124.6K$2.07M0.0%$200.6KCut−$1.67M
Sight Sciences, Inc.SGHT335K$1.26M0.0%−$1.39MCut−$2.79M
Mannkind CorpMNKD484K$1.19M0.0%−$1.56MCut−$2.58M
CareCloud, Inc.CCLD209.8K$765.9K0.0%$153.2KHeld
Cion Invt Corp63.3K$432.7K0.0%−$179KHeld
Maxcyte, Inc.MXCT308K$216.4K0.0%−$261KHeld
Alpha Teknova, Inc.TKNO65K$188K0.0%−$59.2KHeld
Sps Comm Inc3.35K$186.4K0.0%−$112.1KHeld
Namib Minerals1.36M$184.2K0.0%$86.2KHeld
Satellogic Inc147.8K$177.3K0.0%$139.7KHeld
Rain Enhancement Technologie24K$60.9K0.0%−$79.1KHeld
Rain Enhancement Technologie217.5K$45.4K0.0%−$8.91KHeld
Falcons Beyond Global Inc12.4K$23.5K0.0%−$1.62KHeld
Brand Engagement Network Inc18.1K$4.72K0.0%$3.92KHeld
Aterian, Inc.ATER2.28K$1.3K0.0%−$279Held
Calidi Biotherapeutics Inc1.04K$2490.0%−$970Held

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.