Fund HoldingsApollo Management Holdings, L.P.

Total Portfolio Value
$8.94B
Total Bought
$2.55B
Total Sold
$2.44B
Net Transaction
+$104.01M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ISHARES TR(Put)1,300,0004,000,000+2,700,000322,4001,201,800+879,400
RACKSPACE TECHNOLOGY INC(RXT)129,609,000129,609,0000127,017846,3479.47%+719,330
NVIDIA CORPORATION(NVDA)(Put)02,910,000+2,910,0000582,262+582,262
SPACE EXPLORATION TECHN CORP02,023,307+2,023,3070345,7023.87%+345,702
PRIMO BRANDS CORPORATION(PRMB)06,885,351+6,885,3510168,2781.88%+168,278
ECHOSTAR CORP(ECHO)03,698,611+3,698,6110375,4094.20%+375,409
ECHOSTAR CORP(ECHO)0000968,79210.84%+968,792
CORE SCIENTIFIC INC NEW(CORZ)04,520,165+4,520,1650115,6711.29%+115,671
GRUPO AEROMEXICO SAB DE CV(AERO)027,505,017+27,505,0170495,0905.54%+495,090
TAIWAN SEMICONDUCTOR MANUFAC(TSM)0200,000+200,000095,5141.07%+95,514
GENUINE PARTS CO(GPC)0748,047+748,047088,2550.99%+88,255
GLOBAL BUSINESS TRAVEL GROUP(GBTG)021,712,184+21,712,1840203,8772.28%+203,877
VANGUARD INDEX FDS590,523592,238+1,715352,867406,7554.55%+53,888
UNITI GROUP LLC(UNIT)9,271,71410,638,901+1,367,18786,969122,0281.37%+35,060
PHOENIX ED PARTNERS INC(PXED)24,901,31924,901,320+1783,396818,0089.15%+34,613
INVITATION HOMES INC(INVH)2,018,7072,608,707+590,00050,16578,8090.88%+28,644
FREEPORT MCMORAN INC(FCX)(Call)0362,500+362,500022,798+22,798
SSGA ACTIVE TR
ST ST SH DU ETF
0834,996+834,996020,9080.23%+20,908
SSGA ACTIVE TR
STATE STREET IG
790,0001,580,000+790,00019,93239,7840.45%+19,853
USA TODAY CO INC(TDAY)12,128,75612,128,756085,508103,7011.16%+18,193
CAMECO CORP(CCJ)(Call)0145,000+145,000014,770+14,770
CHARTER COMMUNICATIONS INC(CHTR)074,470+74,470010,5900.12%+10,590
SABRE CORP14,400,81914,400,819020,88130,0980.34%+9,217
OVINTIV INC(OVV)0175,000+175,00009,2140.10%+9,214
DEVON ENERGY CORP NEW(DVN)0220,000+220,00009,0900.10%+9,090
LINEAGE INC(LINE)207,267363,006+155,7396,79015,7000.18%+8,910
OFFICE PPTYS INCOME TR0516,804+516,80408,7860.10%+8,786
PUBLIC STORAGE(PSA)143,980143,980039,00145,8300.51%+6,829
IRON MTN INC DEL(IRM)265,539265,539027,12233,5400.38%+6,418
SIMON PPTY GROUP INC NEW(SPG)169,000169,000031,52437,7970.42%+6,273
COMMUNITY HEALTH SYS INC NEW11,489,31611,859,526+370,21033,77939,6110.44%+5,832
VENTURE GLOBAL INC(VG)0500,000+500,00005,5650.06%+5,565
AMERICAN HOMES 4 RENT(AMH)924,070924,070025,80030,9750.35%+5,175
AEVA TECHNOLOGIES INC(AEVA)1,390,725803,137-587,58818,30223,0660.26%+4,764
UDR INC(UDR)754,130754,130025,47530,1050.34%+4,630
CAMDEN PPTY TR(CPT)245,410245,410023,96728,0970.31%+4,130
VENTAS INC(VTR)581,300581,300047,53951,6190.58%+4,081
EXTRA SPACE STORAGE INC(EXR)286,510286,510037,57041,6300.47%+4,060
MACERICH CO(MAC)609,640609,640011,52215,3570.17%+3,835
COUSINS PPTYS INC(CUZ)503,863503,863011,37215,1060.17%+3,734
HOST HOTELS & RESORTS INC(HST)802,070802,070015,36819,0170.21%+3,649
KIMCO REALTY CORP(KIM)1,242,2551,242,255027,91331,4910.35%+3,578
KITE REALTY GROUP TRUST(KRG)768,330768,330018,86321,8050.24%+2,943
BRIXMOR PPTY GROUP INC(BRX)1,024,3001,024,300029,50032,2960.36%+2,796
ESSEX PPTY TR INC(ESS)48,06048,060011,63114,0140.16%+2,383
HEALTHCARE RLTY TR(HR)677,181677,181011,50513,6590.15%+2,153
BXP INC(BXP)140,410140,41007,2879,3110.10%+2,023
EQUITY RESIDENTIAL(EQR)222,720222,720013,17415,1290.17%+1,955
CHURCHILL DOWNS INC(CHDN)476,982499,482+22,50042,84744,7740.50%+1,926
HYATT HOTELS CORP(H)30,00030,00004,3145,8150.07%+1,502
AMERICAN HEALTHCARE REIT INC(AHR)281,320281,320013,26714,6710.16%+1,404
OMEGA HEALTHCARE INVS INC(OHI)357,078357,078015,64717,0250.19%+1,378
AMERICOLD REALTY TRUST INC(COLD)227,720227,72002,6103,5800.04%+970
FIRST INDL RLTY TR INC(FR)208,950208,950012,08812,8110.14%+723
EPR PPTYS(EPR)86,61086,61004,3275,0240.06%+697
MARRIOTT INTL INC NEW(MAR)14,30014,30004,6775,2990.06%+622
EQUITY LIFESTYLE PROPERTIES(ELS)264,680264,680016,52117,0590.19%+537
HILTON WORLDWIDE HLDGS INC(HLT)16,10016,10004,8965,3200.06%+425
REALTY INCOME CORP(O)508,760508,760031,12631,5230.35%+397
ALPHA TEKNOVA INC65,03665,03601883690.00%+181
WYNDHAM HOTELS & RESORTS INC(WH)58,85058,85004,7804,9560.06%+175
MAXCYTE INC307,987307,98702163790.00%+162
ALPHABET INC(GOOG)0336+33601200.00%+120
NAMIB MINERALS1,364,2621,364,26201843000.00%+116
AGREE RLTY CORP315,810315,810023,80623,9190.27%+114
ALPHABET INC(GOOG)0280+2800990.00%+99
APOLLO COML REAL EST FIN INC(ARI)665,573665,57307,0287,1080.08%+80
JANUS DETROIT STR TR
HENDRSON AAA CL
500,000500,000025,18525,2450.28%+60
SATELLOGIC INC(SATL)147,784147,78401771910.00%+13
ONTO INNOVATION INC(ONTO)035+350130.00%+13
GAMING & LEISURE P(GLPI)63,35063,35002,8112,8210.03%+10
FALCONS BEYOND GLOBAL INC12,43312,433023320.00%+9
ALIBABA GROUP HLDG LTD(BABA)088+88080.00%+8
SPS COMM INC(SPSC)3,3493,34901861910.00%+5
CALIDI BIOTHERAPEUTICS INC1,0420-1,04200-0
ATERIAN INC2,2760-2,27610-1
BRAND ENGAGEMENT NETWORK INC18,14318,1430530.00%-2
RAIN ENHANCEMENT TECHNOLOGIE217,457217,457045400.00%-5
RAIN ENHANCEMENT TECHNOLOGIE23,97023,970061500.00%-11
CION INVT CORP(CICB)63,26263,263+14333940.00%-39
CARECLOUD INC209,844209,84407664450.00%-321
BLUEROCK PVT REAL ESTATE FD(BPRE)124,596124,59602,0701,6210.02%-449
MANNKIND CORP(MNKD)484,01634,226-449,7901,1861460.00%-1,040
SIGHT SCIENCES INC335,0000-335,0001,2630-1,263
VICI PPTYS INC(VICI)1,699,7151,699,715046,43645,1270.50%-1,309
MIDCAP FINANCIAL INVSTMNT CO2,348,7472,348,753+626,40023,6750.26%-2,724
OPTIMUM COMMUNICATIONS INC6,104,6490-6,104,6497,9360-7,936
SSGA ACTIVE TR
ST ST SH DU ETF
434,9960-434,99610,8840-10,884
MASTERBRAND INC(MBC)2,638,2190-2,638,21921,9240-21,924
JAMES HARDIE INDS PLC
ORD SHS
1,174,9910-1,174,99122,2540-22,254
CONCENTRIX CORP(CNXC)(Put)000000
BUILDERS FIRSTSOURCE INC(BLDR)287,6060-287,60623,6790-23,679
MOHAWK INDS INC(MHK)242,0670-242,06723,8340-23,834
TPG INC(TPG)2,531,3181,907,135-624,183102,54477,3340.87%-25,209
OWENS CORNING NEW(OC)240,6000-240,60026,0380-26,038
ARES MANAGEMENT CORPORATION(ARES)330,3190-330,31936,0380-36,038
HILTON GRAND VACATIONS INC(HGV)012,495,825+12,495,8250654,4067.32%+654,406
CARMAX INC(KMX)01,986,285+1,986,2850105,0551.18%+105,055
COMCAST CORP NEW(CCZ)4,335,6722,007,700-2,327,972124,47749,2890.55%-75,188
NVIDIA CORPORATION(NVDA)1,000,0000-1,000,000174,4000-174,400
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