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Sector: Financial Services
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S&P Global Inc.

SPGI Large Cap

Financial Services · Financial Data & Stock Exchanges

Updated: Jun 14, 2026, 22:19 UTC

$418.91
+1.35% today
52W: $381.61 – $579.05
52W Low: $381.61 Position: 18.9% 52W High: $579.05

Price Chart

Key Metrics

P/E Ratio
26.53x
Price-to-Earnings
Forward P/E
18.87x
Forward Price/Earnings
P/S Ratio
7.88x
Price-to-Sales
EV/EBITDA
17.92x
Enterprise Value/EBITDA
Div. Yield
0.93%
Annual dividend yield
Market Cap
$124B
Market Capitalization
Revenue Growth
10.4%
YoY Revenue Growth
Profit Margin
30.36%
Net profit margin
ROE
13.94%
Return on Equity
Beta
1.08
Market sensitivity
Short Interest
1.54%
% of float sold short
Avg. Volume
1,981,346
Average daily volume

Valuation Analysis

Signal
Fair
vs. S&P 500 avg P/E (24.7x)
Analyst Consensus
Strong Buy
21 analysts
Avg. Price Target
$533.76
+27.42% upside
Target Range
$480.00 – $575.00

About the Company

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 cre

Sector: Financial Services Industry: Financial Data & Stock Exchanges Country: United States Employees: 44,500 Exchange: NYQ

S&P Global Inc. Stock at a Glance

S&P Global Inc. (SPGI) is currently trading at $418.91 with a market capitalization of $124B. The trailing P/E ratio stands at 26.53x, with a forward P/E of 18.87x. The 52-week range spans from $381.61 to $579.05; the current price is 27.7% below the yearly high. Year-over-year revenue growth stands at +10.4%. The net profit margin stands at 30.36%.

💰 Dividend

S&P Global Inc. pays an annual dividend of $3.88 per share, representing a yield of 0.93%. The payout ratio stands at 24.35%.

📊 Analyst Rating

21 analysts rate S&P Global Inc. (SPGI) on consensus: Strong Buy. The average price target is $533.76, implying +27.42% from the current price. Analyst price targets range from $480.00 to $575.00.

S&P Global Inc.: The Investment Case in Detail

S&P Global Inc. (SPGI) operates in the Financial Services — specifically Financial Data & Stock Exchanges — and is headquartered in United States. Below is a structured read of the investment case built directly from the latest fundamentals, valuation multiples, analyst positioning and smart-money flows. Each section translates raw numbers into the investment logic they imply, so you can decide whether the risk/reward fits your portfolio.

The Bull Case

Revenue is growing at a healthy 10.4% pace year-over-year, suggesting the business model continues to find new customers and pricing power. Earnings growth of 32.5% is outpacing revenue, a sign of operational leverage — fixed costs are being absorbed across a larger base. With a gross margin near 70.47%, the company sits in the top tier of its industry — these are the kinds of structural margins that protect earnings during downturns.

Valuation in Context

The PEG ratio at 1.47 sits in the reasonable zone — the price tag is roughly aligned with the company's growth profile, neither punishing nor euphoric.

What to Watch Next

  • The forward P/E of 18.87x is meaningfully below the trailing 26.53x — analysts expect earnings to step up; the next earnings release is the test.
  • The price sits in the lower quartile of the 52-week range — value hunters often start scaling in around this zone if fundamentals hold.
  • The analyst consensus price target implies 27.42% upside — if the next two quarters confirm the underlying thesis, target hikes typically follow.

Investment Thesis: Strengths & Weaknesses

Strengths
  • Profitable with 30.36% net margin
  • High gross margin of 70.47% — indicates pricing power
  • Analyst consensus: Strong Buy
  • Solid balance sheet with low debt (D/E 38.39)
  • Positive free cash flow
Weaknesses

No significant red flags in current metrics.

Technical Snapshot

50-Day MA
$424.84
-1.4% vs. price
200-Day MA
$471.36
-11.13% vs. price
Below 52W High
−27.7%
$579.05
Above 52W Low
+9.8%
$381.61

Price is below both the 50- and 200-day moving averages, with 50d below 200d — a bearish picture (death-cross alignment).

Risk Profile

Market Risk (Beta)
1.08 · Market-like
Moves more than the overall market
Short Interest
1.54% · Low
% of float sold short
Debt-to-Equity
38.39 · Low
Total debt / equity

The data points to market-like volatility.

Trading Data

50-Day MA: $424.84
200-Day MA: $471.36
Volume: 1,247,198
Avg. Volume: 1,981,346
Short Ratio: 2.18
P/B Ratio: 3.98x
Debt/Equity: 38.39x
Free Cash Flow: $5.3B

💵 Dividend Info

Dividend Yield
0.93%
Annual Rate
$3.88
Payout Ratio
24.35%

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