SPGI logo

S&P GLOBAL INC

SPGINYSE
πŸ† #127 by market capEarnings Oct 22 Β· PreUS Equity
$390.61β–Ό $5.27 (βˆ’1.35%)
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24hβ–Ό 1.4%
7dβ–Ό 3.0%
14dβ–Ό 5.3%
30dβ–Ό 11.8%
ytdβ–Ό 25.2%
1yβ–Ό 20.4%
🏦Market Cap
$115.15B
Mid Cap
πŸ“ˆRevenue Growth (YoY)
+9.7%
Slowing
πŸ“ŠGross Margin
63.6%
High
πŸ’΅FCF Margin
34.6%
Strong
βš–οΈP/S Ratio
7.4x
Fair
Otter Score
92
Very Good

Trading Snapshot

Day Range
$384.96 – $395.31
52-Week Range
$361.03 – $522.47
Volume
$5.20B
Avg Volume
$4.80B
Shares Outstanding
294.8M
Next Earnings
Oct 25, 2026

Fundamentals Snapshot

Annual Revenue
$15.34B
Last Q Revenue
$4.15B
P/E Ratio
24.2
P/S Ratio
7.4x
EPS (TTM)
$16.42
Dividend Yield
0.97%
Dilution (1yr)
βˆ’3.1%

Why Investors Own SPGI

  • βœ“High-growth profile β€” revenue up +47.4% YoY with expanding US Equity exposure.
  • βœ“Healthy economics β€” 73% gross margin and 23% free-cash-flow margin.
  • βœ“New products and segments could unlock additional revenue streams.
⚠️ Key Risks

Execution delays, intensifying competition, and valuation compression if growth decelerates.

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S&P GLOBAL INC

SPGI
Financial Trends
RevenueThe total money the company brought in from sales, before subtracting any costs.
$15.3Bβ–² +7.9% YoY
Gross MarginOf every $1 of sales, how much is left after the direct cost of making the product/service. Higher = more efficient.
70.2%β–² +1.7% YoY
Operating IncomeProfit from the core business after operating costs, but before interest and taxes. Negative means the core business isn’t profitable yet.
$6.5Bβ–² +16.1% YoY
Free Cash FlowCash left over after running the business and paying for equipment/capex. Negative means the company is burning cash.
$5.5Bβ–Ό βˆ’2.0% YoY
Shares OutstandingHow many shares exist. Rising means the company is issuing more shares, which dilutes (shrinks) each existing owner’s slice.
302.1Mβ–Ό βˆ’3.1% YoY
Net CashCash minus total debt. Positive = more cash than debt (financially strong); negative = more debt than cash (net debt).
βˆ’$12.5Bβ–Ό βˆ’$2.2B YoY
StockOtter Β· stockotter.space

About S&P GLOBAL INC

S&P Global Inc., together with its subsidiaries, provides benchmarks, data, analytics, and workflow solutions in the global capital, energy and commodity, and automotive markets. It operates through five segments: S&P Global Market Intelligence, S&P Global Ratings, S&P Global Energy, S&P Global Mobility, and S&P Dow Jones Indices. The S&P Global Market Intelligence segment provides multi-asset-class data and analytics integrated with purpose-built workflow solutions. This segment offers Data, Analytics & Insights, a desktop product suite that provides data, analytics, and third-party research for global finance and corporate professionals; research, reference data, market data, derived analytics, and valuation services; enterprise solutions, such as software and workflow solutions; and credit and risk solutions for selling Ratings' credit ratings and related data and research, analytics, and financial risk solutions. The S&P Global Ratings segment operates as an independent provider of credit ratings, research, and analytics offering investors information and independent benchmarks for their investment and financial decisions as well as access to the capital markets. The S&P Global Energy segment provides information and benchmark prices for the energy and commodity markets. The S&P Global Mobility segment offers solutions for the full automotive value chain, including vehicle manufacturers, automotive suppliers, mobility service providers, retailers, consumers, and finance and insurance companies. The S&P Dow Jones Indices segment operates as an index provider that maintains various valuation and index benchmarks for investment advisors, wealth managers, and institutional investors. It has operations in the United States, European region, Asia, and internationally. S&P Global Inc. was founded in 1860 and is headquartered in New York, New York.

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Otter Score Breakdown

How it's scoredFive components, each rated 1–5β˜… and equally weighted (20%), averaged to a 0–100 score:πŸ’Ž Quality β€” gross marginπŸš€ Growth β€” revenue YoYβš–οΈ Valuation β€” P/S ratio⚑ Momentum β€” 30-day price changeπŸ’§ Dilution β€” 1-yr share issuance (buybacks score higher)
πŸ’ŽQualityβ˜…β˜…β˜…β˜…β˜…
πŸš€Growthβ˜…β˜…β˜…β˜…β˜…
βš–οΈValuationβ˜…β˜…β˜…β˜…β˜…
⚑Momentumβ˜…β˜…β˜…β˜…β˜…
πŸ’§Dilutionβ˜…β˜…β˜…β˜…β˜…
Overall Score
Very Good
92/100

Analyst Ratings

β“˜
Consensus
Buy
34 analysts
Strong Buy10
Buy19
Hold5
Sell0
Strong Sell0
Ratings as of Sep 2026

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