Ares Management (ARES-PA) Stock Analysis
NYSEFinancial ServicesAsset Management
What Ares Management does
Ares Management Corporation operates as a global alternative asset manager, with a significant presence across the United States, Europe, and Asia. Its Tradable Credit Group is responsible for managing diverse investment vehicles. These include commingled funds and individually managed portfolios designed for institutional clients, as well as publicly traded funds and sub-advised options catering to retail investors, primarily within the tradable and lower-rated corporate credit markets. The Direct Lending Group specializes in providing financial solutions to companies of small to medium size. Meanwhile, the Private Equity Group concentrates its efforts on making controlling or co-controlling investments, often targeting businesses that are undercapitalized. Finally, the Real Estate Group is active in two main areas: investing in the development of new properties and the restructuring of existing assets, typically seeking control or majority-control stakes. This group also creates and invests in its own financing opportunities tailored for commercial real estate owners and operators in the middle market segment. The firm, established in 1997, was formerly known as Ares Management, L.P. Headquartered in Los Angeles, California, Ares Management Corporation also maintains offices throughout the United States, Europe, and Asia. Ares Management GP LLC serves as the company's general partner.
Key metrics
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PortView Portfolio Insights
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Analyze ARES-PA in PortView →Frequently asked questions
- What is the ticker symbol for Ares Management?
- Ares Management trades under the ticker ARES-PA on NYSE.
- Which exchange is ARES-PA listed on?
- ARES-PA is listed on NYSE.
- What sector does Ares Management operate in?
- Ares Management is classified in the Financial Services sector (Asset Management industry).
- How can PortView help analyze ARES-PA in a portfolio?
- PortView shows ARES-PA's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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