STOCK TITAN

Vanguard Portfolio Management (ARI) discloses 8.02M-share, 5.78% holding

(Neutral)
(Neutral)
Form Type
SCHEDULE 13G

Rhea-AI Filing Summary

Vanguard Portfolio Management reported beneficial ownership of 8,023,638 shares of Apollo Commercial Real Estate Finance Inc common stock, representing 5.78% of the class as of 03/31/2026. The filing shows sole dispositive power over 8,023,638 shares and sole voting power over 87,221 shares. The disclosure is signed on 04/28/2026 and describes holdings managed for various Vanguard funds and client accounts.

Positive

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Insights

Vanguard holds a passive, >5% stake under Schedule 13G rules.

Vanguard Portfolio Management reports beneficial ownership of 8,023,638 shares (5.78%) as of 03/31/2026. The filing indicates dispositive control across funds and managed accounts, with limited voting power concentrated in 87,221 shares.

Because this is a Schedule 13G disclosure, it signals passive institutional ownership rather than an activist position; subsequent Schedule 13D or Form 13F filings could provide additional context on intent and portfolio composition.

Beneficial ownership 8,023,638 shares as of 03/31/2026
Percent of class 5.78% percent of common stock
Sole voting power 87,221 shares sole power to vote reported
Sole dispositive power 8,023,638 shares sole power to dispose reported
Form type Schedule 13G passive ownership disclosure
Schedule 13G regulatory
"Vanguard Portfolio Management reported beneficial ownership of 8,023,638 shares"
A Schedule 13G is a formal document that investors file with the government when they acquire a large ownership stake in a company, usually for investment purposes rather than control. It helps keep the public informed about who owns significant parts of a company's shares, which can influence how the company is managed and how investors make decisions. Filing this schedule is important for transparency and understanding the ownership landscape of publicly traded companies.
beneficially owned financial
"reflects the securities beneficially owned, or deemed to be beneficially owned"
Beneficially owned describes securities or assets where a person has the economic rights and control—such as the right to receive dividends and to direct voting—even if legal title is held in another name. Think of it like having the keys and using a car that’s registered to someone else: you get the benefits and make decisions. Investors care because beneficial ownership reveals who truly controls value and voting power, affecting corporate decisions and takeover dynamics.
sole dispositive power regulatory
"Sole power to dispose or to direct the disposition of: 8,023,638"
Sole dispositive power is the exclusive legal authority to decide what happens to a security — for example, whether to sell, transfer, or retain shares — without needing anyone else’s permission. Investors care because it signals who truly controls the economic outcome of an investment: like holding the only key to a safe, the holder can realize gains or losses and may trigger regulatory reporting, insider rules, or influence over corporate ownership.
CUSIP technical
"CUSIP Number(s): 03762U105"
A CUSIP is a nine-character alphanumeric code that uniquely identifies a U.S. or Canadian financial security—such as a stock, bond, or fund share—like a Social Security number for an investment. It matters to investors because brokers, exchanges and record-keepers use the CUSIP to match trades, track ownership, settle transactions and pull accurate records, reducing errors and ensuring money and securities go to the right place.

AI-generated analysis. How Rhea-AI works. Not financial advice.

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FAQ

What stake does Vanguard Portfolio Management hold in ARI?

Vanguard Portfolio Management reports beneficial ownership of 8,023,638 shares, equal to 5.78% of Apollo Commercial Real Estate Finance Inc common stock as of 03/31/2026. The stake reflects holdings across Vanguard funds and managed client accounts.

Does Vanguard control voting of the ARI shares it reports?

The filing shows Vanguard has sole voting power over 87,221 shares and sole dispositive power over 8,023,638 shares. Voting authority is limited relative to total dispositive control, per the reported figures.

Is this Schedule 13G filing passive or active ownership for ARI?

This is a Schedule 13G disclosure, which typically indicates passive institutional ownership rather than an activist intent. The form lists holdings managed on behalf of Vanguard funds and client accounts without asserting control.

What date do the ownership figures reference in the ARI filing?

The ownership figures are presented with an as of date of 03/31/2026. The signature on the filing is dated 04/28/2026, which finalizes the reported disclosure to the SEC.





03762U105

(CUSIP Number)
03/31/2026

(Date of Event Which Requires Filing of this Statement)


Check the appropriate box to designate the rule pursuant to which this Schedule is filed:
Rule 13d-1(b)
Rule 13d-1(c)
Rule 13d-1(d)




schemaVersion:


SCHEDULE 13G




Comment for Type of Reporting Person: In accordance with SEC Release No. 34-39538 (January 12, 1998), this Schedule 13G reflects the securities beneficially owned, or deemed to be beneficially owned, by Vanguard Portfolio Management LLC and the following affiliates of Vanguard Portfolio Management LLC or business divisions of such affiliates: Vanguard Fiduciary Trust Company and Vanguard Global Advisers, LLC. This Schedule 13G includes securities held by Vanguard funds, or sleeves thereof, over which Vanguard Portfolio Management LLC exercises dispositive power, in addition to securities held by clients over which the affiliates or business divisions of such affiliates indicated above exercise dispositive and/or voting power. This Schedule 13G does not include securities, if any, beneficially owned by other subsidiaries or affiliates of Vanguard Portfolio Management LLC, or business divisions of such subsidiaries whose ownership of securities is disaggregated from that of the reporting business unit in accordance with such release.


SCHEDULE 13G



Vanguard Portfolio Management
Signature:Ashley Grim
Name/Title:Head of Global Fund Administration
Date:04/28/2026