S&p Global, Inc. (SPGI)

$424.33

-1.68

(-0.39%)

Market is closed - opens 8 PM, 22 Feb 2024
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S&P Global Inc is a leading provider of ratings, benchmarks, analytics, and data to the global financial markets.

Insights on S&p Global, Inc.

  • Increasing Revenue

    Revenue is up for the last 2 quarters, 3.08B → 3.15B (in $), with an average increase of 2.2% per quarter

  • Decreasing Net Profit

    Netprofit is down for the last 2 quarters, 742.0M → 579.0M (in $), with an average decrease of 22.0% per quarter

  • Vs ICE

    In the last 1 year, Intercontinental Exchange, Inc. has given 31.0% return, outperforming this stock by 9.6%

Performance

  • $421.60
    $427.77
    $424.33
    downward going graph

    0.64%

    Downside

    Day's Volatility :1.44%

    Upside

    0.8%

    downward going graph
  • $318.90
    $461.16
    $424.33
    downward going graph

    24.85%

    Downside

    52 Weeks Volatility :30.85%

    Upside

    7.99%

    downward going graph

Returns

PeriodS&p Global, Inc.Sector (Financials)S&P500
3 Months
2.96%
12.5%
9.6%
6 Months
12.56%
16.4%
13.1%
1 Year
21.44%
10.9%
24.5%
3 Years
27.82%
21.9%
27.4%

Highlights

Market Capitalization
133.4B
Book Value
$108.88
Dividend Share
3.6
Dividend Yield
0.86%
Earnings Per Share (EPS)
8.22
PE Ratio
51.68
PEG Ratio
2.47
Wall Street Target Price
487.58
Profit Margin
21.01%
Operating Margin TTM
34.52%
Return On Assets TTM
4.67%
Return On Equity TTM
7.43%
Revenue TTM
12.5B
Revenue Per Share TTM
39.25
Quarterly Revenue Growth YOY
7.3%
Gross Profit TTM
7.4B
EBITDA
5.7B
Diluted Eps TTM
8.22
Quarterly Earnings Growth YOY
0.37
EPS Estimate Current Year
14.02
EPS Estimate Next Year
15.99
EPS Estimate Current Quarter
3.15
EPS Estimate Next Quarter
3.53

Analyst Recommendation

Buy
    96%Buy
    3%Hold
    0
    0%Sell
Based on 28 Wall street analysts offering stock ratings for S&p Global, Inc.(by analysts ranked 0 to 5 stars)
Based on 28 analyst
  • Current
  • 1M Ago
  • 3M Ago
Buy
27
26
28
Hold
1
1
1
Sell
00
00
00

Analyst Forecast

What analysts predicted

Upside of 14.91%

Current $424.33
Target $487.58

Company Financials

FY18Y/Y Change
Revenue
6.3B
↑ 3.22%
Net Income
2.0B
↑ 30.88%
Net Profit Margin
31.29%
↑ 6.62%
FY19Y/Y Change
Revenue
6.7B
↑ 7.05%
Net Income
2.1B
↑ 8.43%
Net Profit Margin
31.69%
↑ 0.4%
FY20Y/Y Change
Revenue
7.4B
↑ 11.09%
Net Income
2.3B
↑ 10.17%
Net Profit Margin
31.43%
↓ 0.26%
FY21Y/Y Change
Revenue
8.3B
↑ 11.49%
Net Income
3.0B
↑ 29.29%
Net Profit Margin
36.45%
↑ 5.02%
FY22Y/Y Change
Revenue
11.2B
↑ 34.76%
Net Income
3.2B
↑ 7.41%
Net Profit Margin
29.05%
↓ 7.4%
FY23Y/Y Change
Revenue
12.5B
↑ 11.77%
Net Income
2.6B
↓ 19.15%
Net Profit Margin
21.01%
↓ 8.04%
Q3 FY22Q/Q Change
Revenue
2.9B
↓ 4.41%
Net Income
608.0M
↓ 37.45%
Net Profit Margin
21.25%
↓ 11.23%
Q4 FY22Q/Q Change
Revenue
2.9B
↑ 2.66%
Net Income
433.0M
↓ 28.78%
Net Profit Margin
14.74%
↓ 6.51%
Q1 FY23Q/Q Change
Revenue
3.2B
↑ 7.59%
Net Income
795.0M
↑ 83.6%
Net Profit Margin
25.16%
↑ 10.42%
Q2 FY23Q/Q Change
Revenue
3.1B
↓ 1.87%
Net Income
511.0M
↓ 35.72%
Net Profit Margin
16.48%
↓ 8.68%
Q3 FY23Q/Q Change
Revenue
3.1B
↓ 0.55%
Net Income
742.0M
↑ 45.21%
Net Profit Margin
24.06%
↑ 7.58%
Q4 FY23Q/Q Change
Revenue
3.2B
↑ 2.2%
Net Income
579.0M
↓ 21.97%
Net Profit Margin
18.37%
↓ 5.69%
FY18Y/Y Change
Total Assets
9.5B
↑ 0.35%
Total Liabilities
7.2B
↓ 2.09%
FY19Y/Y Change
Total Assets
11.3B
↑ 19.98%
Total Liabilities
8.5B
↑ 19.43%
FY20Y/Y Change
Total Assets
12.5B
↑ 10.48%
Total Liabilities
9.2B
↑ 7.5%
FY21Y/Y Change
Total Assets
15.0B
↑ 19.85%
Total Liabilities
9.5B
↑ 3.32%
FY22Y/Y Change
Total Assets
61.8B
↑ 311.18%
Total Liabilities
22.0B
↑ 132.24%
FY23Y/Y Change
Total Assets
60.6B
↓ 1.93%
Total Liabilities
22.5B
↑ 2.04%
Q3 FY22Q/Q Change
Total Assets
61.8B
↓ 3.9%
Total Liabilities
21.4B
↓ 0.51%
Q4 FY22Q/Q Change
Total Assets
61.8B
↓ 0.05%
Total Liabilities
22.0B
↑ 2.92%
Q1 FY23Q/Q Change
Total Assets
62.0B
↑ 0.39%
Total Liabilities
22.3B
↑ 0.96%
Q2 FY23Q/Q Change
Total Assets
60.7B
↓ 2.14%
Total Liabilities
21.6B
↓ 2.81%
Q3 FY23Q/Q Change
Total Assets
60.6B
↓ 0.22%
Total Liabilities
21.5B
↓ 0.41%
Q4 FY23Q/Q Change
Total Assets
60.6B
↑ 0.05%
Total Liabilities
22.5B
↑ 4.42%
FY18Y/Y Change
Operating Cash Flow
2.1B
↑ 2.38%
Investing Cash Flow
-513.0M
↑ 145.45%
Financing Cash Flow
-2.3B
↑ 51.82%
FY19Y/Y Change
Operating Cash Flow
2.8B
↑ 34.5%
Investing Cash Flow
-131.0M
↓ 74.46%
Financing Cash Flow
-1.8B
↓ 23.47%
FY20Y/Y Change
Operating Cash Flow
3.6B
↑ 28.49%
Investing Cash Flow
-240.0M
↑ 83.21%
Financing Cash Flow
-2.2B
↑ 23.7%
FY21Y/Y Change
Operating Cash Flow
3.6B
↑ 0.87%
Investing Cash Flow
-120.0M
↓ 50.0%
Financing Cash Flow
-1.0B
↓ 53.23%
FY22Y/Y Change
Operating Cash Flow
2.6B
↓ 27.65%
Investing Cash Flow
3.6B
↓ 3123.33%
Financing Cash Flow
-11.3B
↑ 1018.07%
Q3 FY22Q/Q Change
Operating Cash Flow
814.0M
↑ 79.3%
Investing Cash Flow
-56.0M
↓ 106.64%
Financing Cash Flow
-2.9B
↑ 38.63%
Q4 FY22Q/Q Change
Operating Cash Flow
1.1B
↑ 36.73%
Investing Cash Flow
-61.0M
↑ 8.93%
Financing Cash Flow
-1.2B
↓ 58.11%
Q1 FY23Q/Q Change
Operating Cash Flow
594.0M
↓ 46.63%
Investing Cash Flow
-253.0M
↑ 314.75%
Financing Cash Flow
-230.0M
↓ 80.8%
Q2 FY23Q/Q Change
Operating Cash Flow
769.0M
↑ 29.46%
Investing Cash Flow
909.0M
↓ 459.29%
Financing Cash Flow
-1.5B
↑ 559.57%
Q3 FY23Q/Q Change
Operating Cash Flow
1.0B
↑ 31.73%
Investing Cash Flow
-49.0M
↓ 105.39%
Financing Cash Flow
-855.0M
↓ 43.64%

Technicals Summary

Sell

Neutral

Buy

S&p Global, Inc. is currently in a favorable trading position ( BUY ) according to technical analysis indicators.

Peers

Company Name1 Month6 Month1 Year3 Years5 Years
S&p Global, Inc.
S&p Global, Inc.
-4.15%
12.56%
21.44%
27.82%
114.99%
Moody's Corporation
Moody's Corporation
-3.46%
15.56%
27.3%
35.48%
120.0%
Cme Group Inc.
Cme Group Inc.
3.8%
4.14%
12.29%
7.94%
19.55%
Intercontinental Exchange, Inc.
Intercontinental Exchange, Inc.
7.17%
19.82%
30.98%
22.12%
82.22%
Msci Inc.
Msci Inc.
-1.71%
6.06%
6.05%
34.56%
219.46%
Company NameP/E RatioP/B RatioPEG RatioEPSROEROADiv YieldBVPS
S&p Global, Inc.
S&p Global, Inc.
51.68
51.68
2.47
14.02
0.07
0.05
0.01
108.88
Moody's Corporation
Moody's Corporation
42.57
42.57
1.87
10.74
0.52
0.1
0.01
18.18
Cme Group Inc.
Cme Group Inc.
23.98
23.98
4.73
9.55
0.12
0.01
0.04
74.44
Intercontinental Exchange, Inc.
Intercontinental Exchange, Inc.
32.65
32.65
1.2
5.92
0.1
0.02
0.01
44.88
Msci Inc.
Msci Inc.
39.52
39.52
3.56
14.88
0.0
0.16
0.01
-9.35
Company NameAnalyst ViewMarket Cap5 Years Return %PE RatioProfit Margin
S&p Global, Inc.
S&p Global, Inc.
Buy
$133.4B
114.99%
51.68
21.01%
Moody's Corporation
Moody's Corporation
Buy
$67.5B
120.0%
42.57
27.16%
Cme Group Inc.
Cme Group Inc.
Buy
$76.4B
19.55%
23.98
57.83%
Intercontinental Exchange, Inc.
Intercontinental Exchange, Inc.
Buy
$78.5B
82.22%
32.65
29.64%
Msci Inc.
Msci Inc.
Buy
$45.0B
219.46%
39.52
45.42%

Institutional Holdings

  • Vanguard Group Inc

    9.06%
  • BlackRock Inc

    7.75%
  • State Street Corporation

    4.46%
  • JPMorgan Chase & Co

    3.09%
  • TCI Fund Management Limited

    2.88%
  • Wellington Management Company LLP

    2.26%

Corporate Announcements

  • S&p Global, Inc. Dividends March,2024

    In the quarter ending March,2024. S&p Global, Inc. has declared dividend of $0.91

    Read More

Company Information

S&P Global Ratings is an American credit rating agency and a division of S&P Global that publishes financial research and analysis on stocks, bonds, and commodities. S&P is considered the largest of the Big Three credit-rating agencies, which also include Moodys Investors Service and Fitch Ratings.

Organization
S&p Global, Inc.
Employees
40450
CEO
Mr. Douglas L. Peterson M.B.A.
Industry
Commercial Services

FAQs