S

    S&P Global Inc (SPGI)

    Official site

    FINANCIAL SERVICES • FINANCIAL DATA & STOCK EXCHANGES • NYSE

    $435.99
    -6.90 (-1.56%)

    Market Cap: $130.56B

    Last updated: Sep 01, 2026 at 5:00 PM ET

    Earnings

    Performance (10Y)

    Beat Rate
    85%(34/40)
    Avg Surprise
    +6.60%
    Streak
    2 Q

    Upcoming Estimates

    Period ending Sep 30, 2026
    EPS Consensus$4.43
    Range$4.31 - $4.58
    20 analysts
    EPS Revisions
    1
    0
    7d
    0
    1
    30d
    EPS Estimate Drift
    90d ago$5.07+14.7%
    60d ago$5.07+14.6%
    30d ago$4.57+3.3%
    7d ago$4.43+0.1%
    Current$4.43
    Revenue Consensus
    $3.6B
    Range$3.6B - $3.7B
    18 analysts
    Period ending Dec 31, 2026
    EPS Consensus$3.63
    Range$3.32 - $4.53
    17 analysts
    Revenue Consensus
    $2.8B
    Range$2.8B - $2.9B
    13 analysts
    PeriodReportedEst.SurpriseB/MYoY
    Dec 26EST
    -$3.63---
    Sep 26EST
    -$4.43---
    Jun 26
    Reported Jul 28
    $4.83$4.49+7.57%Beat+9.0%
    Mar 26
    Reported Apr 28
    $4.97$4.82+3.11%Beat+13.7%
    Dec 25
    Reported Feb 10
    $4.30$4.34-0.92%Miss+14.1%
    Sep 25
    Reported Oct 30
    $4.73$4.41+7.26%Beat+21.6%
    Jun 25
    Reported Jul 31
    $4.43$4.22+4.98%Beat+9.7%
    Mar 25
    Reported Apr 29
    $4.37$4.21+3.80%Beat+9.0%
    Dec 24
    Reported Feb 11
    $3.77$3.47+8.58%Beat+20.4%
    Sep 24
    Reported Oct 24
    $3.89$3.64+6.87%Beat+21.2%
    Jun 24
    Reported Jul 30
    $4.04$3.65+10.68%Beat+29.5%
    Mar 24
    Reported Apr 25
    $4.01$3.66+9.56%Beat+27.3%
    Dec 23
    Reported Feb 8
    $3.13$3.14-0.32%Miss+23.2%
    Sep 23
    Reported Nov 2
    $3.21$3.04+5.59%Beat+9.6%
    Jun 23
    Reported Jul 27
    $3.12$3.13-0.32%Miss+11.0%
    Mar 23
    Reported Apr 27
    $3.15$2.92+7.88%Beat+9.0%
    Dec 22
    Reported Feb 9
    $2.54$2.48+2.42%Beat-19.4%
    Sep 22
    Reported Oct 27
    $2.93$2.80+4.64%Beat-17.2%
    Jun 22
    Reported Aug 2
    $2.81$2.93-4.10%Miss-22.4%
    Mar 22
    Reported May 3
    $2.89$2.97-2.69%Miss-14.7%
    Dec 21
    Reported Feb 8
    $3.15$3.12+0.96%Beat+16.2%
    Sep 21
    Reported Oct 26
    $3.54$3.15+12.38%Beat+24.2%
    Jun 21
    Reported Jul 29
    $3.62$3.27+10.70%Beat+6.5%
    Mar 21
    Reported Apr 29
    $3.39$3.08+10.06%Beat+24.2%
    Dec 20
    Reported Feb 9
    $2.71$2.51+7.97%Beat+7.1%
    Sep 20
    Reported Oct 27
    $2.85$2.55+11.76%Beat+15.9%
    Jun 20
    Reported Jul 28
    $3.40$2.64+28.79%Beat+39.9%
    Mar 20
    Reported Apr 28
    $2.73$2.32+17.67%Beat+29.4%
    Dec 19
    Reported Feb 6
    $2.53$2.42+4.55%Beat+14.0%
    Sep 19
    Reported Oct 29
    $2.46$2.34+5.13%Beat+16.6%
    Jun 19
    Reported Aug 1
    $2.43$2.28+6.58%Beat+12.0%
    Mar 19
    Reported May 2
    $2.11$2.12-0.47%Miss+5.5%
    Dec 18
    Reported Feb 7
    $2.22$2.21+0.45%Beat+20.0%
    Sep 18
    Reported Oct 25
    $2.11$2.04+3.43%Beat+23.4%
    Jun 18
    Reported Jul 26
    $2.17$2.13+1.88%Beat+26.2%
    Mar 18
    Reported Apr 26
    $2.00$1.96+2.04%Beat+23.5%
    Dec 17
    Reported Feb 6
    $1.85$1.61+14.91%Beat+44.5%
    Sep 17
    Reported Oct 26
    $1.71$1.53+11.76%Beat+19.6%
    Jun 17
    Reported Jul 27
    $1.72$1.58+8.86%Beat-
    Mar 17
    Reported Apr 25
    $1.62$1.39+16.55%Beat-
    Dec 16
    Reported Feb 7
    $1.28$1.21+5.79%Beat-
    Sep 16
    Reported Nov 3
    $1.43$1.33+7.52%Beat-

    Dividends

    Dividend Metrics

    Yield0.89%
    Annual/Share$3.87
    Payout Ratio19.95%
    Frequency4
    Pay MonthsMar, Jun, Sep, Dec

    Growth

    3Y CAGR+4.97%
    5Y CAGR+7.46%
    View SPGI's full dividend history

    Key Metrics

    Valuation
    P/E Ratio23.15EV/EBITDA16.67x
    Price/FCF23.11xFCF Yield4.33%
    Profitability
    Profit Margin30.50%Operating Margin44.80%
    ROE14.30%ROIC11.91%
    Financial Health
    Debt/Equity0.48xInterest Coverage22.80x
    Current Ratio0.95xQuick Ratio0.95x
    Trading Statistics
    Beta1.07Avg Volume1.79M
    52-Week High$518.8852-Week Low$358.55

    Technical Indicators Dashboard

    Moving Averages

    SMA 10$432.16
    SMA 20$421.51
    SMA 50$423.64
    SMA 200$448.34
    EMA 10$432.09
    EMA 20$427.42
    EMA 50$424.61
    EMA 200$444.25

    MACD

    Line: 4.52Signal: 1.98Hist: 2.54

    ADX

    ADX: 13.9+DI: 24.3-DI: 17.3

    Aroon & PSAR

    Aroon Up92.0
    Aroon Down32.0
    PSAR$425.28

    Bollinger Bands

    Upper Band$446.41
    Lower Band$396.61
    %B Position1182%(Upper)
    Band Width0.79

    RSI (14-Day)

    Neutral
    57.2

    Momentum Oscillators

    Stoch %K83.3
    Stoch %D84.8
    Williams %R-21.9
    ROC (10d)6.4%
    Momentum26.37
    CCI (20d)97.2
    MFI (14d)67.5

    Volatility Measures

    ATR (14d)$10.38(2.4%)
    StdDev (20d)12.45
    Hist Vol21.2%(Moderate)

    Volume Flow

    VWAP$437.62
    OBV5.8M
    AD Line-385.2M
    CMF (20d)-0.266

    Volume Metrics

    Avg Vol (20d)1.8M
    Vol Ratio1.1x
    VWMA (20d)$421.21

    Pivot Points

    R3$454.85
    R2$449.70
    R1$446.30
    Pivot Point$441.15
    S1$437.74
    S2$432.59
    S3$429.19

    Advanced Oscillators

    TSI11.32
    Ultimate Osc47.8
    KST14.07

    Financial Data

    QuarterJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024Mar 2024Dec 2023Sep 2023
    Total Revenue$4.15B$4.17B$3.92B$3.89B$3.75B$3.78B$3.59B$3.58B$3.55B$3.49B$3.15B$3.08B
    Cost of Revenue$1.17B$1.24B$1.17B$1.12B$1.12B$1.15B$1.11B$1.06B$1.08B$1.11B$1.03B$995.00M
    Gross Profit$2.98B$2.94B$2.75B$2.77B$2.64B$2.62B$2.49B$2.51B$2.47B$2.38B$2.12B$2.09B
    Operating Expenses$1.17B$934.00M$1.07B$1.10B$1.10B$1.06B$1.19B$1.09B$1.03B$1.00B$1.23B$1.02B
    R&D$0$0$0$0$0$0$0$0$0$0$0$0
    SG&A$873.00M$802.00M$1.04B$805.00M$803.00M$764.00M$926.00M$815.00M$741.00M$714.00M$942.00M$741.00M
    Operating Income$1.81B$2.00B$1.67B$1.68B$1.55B$1.58B$1.31B$1.43B$1.45B$1.39B$891.00M$1.07B
    Interest Income$0$0$-1,000,000$7.00M$11.00M$11.00M$13.00M$11.00M$13.00M$6.00M$3.00M$8.00M
    Interest Expense$87.00M$96.00M$53.00M$79.00M$77.00M$78.00M$70.00M$72.00M$77.00M$78.00M$77.00M$84.00M
    Income Before Tax$1.73B$1.91B$1.63B$1.60B$1.50B$1.50B$1.25B$1.36B$1.38B$1.32B$794.00M$995.00M
    Income Tax Expense$406.00M$404.00M$407.00M$333.00M$342.00M$325.00M$287.00M$313.00M$293.00M$248.00M$150.00M$181.00M
    Net Income$1.32B$1.50B$1.22B$1.26B$1.16B$1.17B$967.00M$1.05B$1.08B$1.07B$644.00M$814.00M
    EBITDA$2.12B$2.31B$1.98B$1.97B$1.87B$1.87B$1.62B$1.73B$1.75B$1.68B$1.16B$1.36B
    EBIT$1.82B$2.00B$1.68B$1.68B$1.58B$1.57B$1.32B$1.43B$1.46B$1.39B$871.00M$1.08B
    * Some calculated fields are derived from available data when not provided by source

    Related GNG Research

    S&P Global: The Spin-Off That Could Unlock a Hidden Premium

    10% Single-Day Drop on Branding News: SPGI fell from $527 to $470 on Feb 3rd after announcing "Mobility Global" name for spin-off, the kind of overreaction systematic investors live for. Another 3%+ on Feb 4th. Quality at a Discount: 94/100 Quality Score, Piotroski 8/9, Altman Z 5.51 Safe, trading at 24% discount to GNG fair value of $617.51. Elite fundamentals at value pricing. Post-Spin Multiple Expansion: Mobility separation removes a lower-margin drag, creating a cleaner four-segment story that should command premium multiples closer to MCO (28x EV/EBITDA). Earnings Catalyst Imminent: Q4 2025 results drop Feb 10, 2026 with guidance for post-spin 2026. Confirmation of execution could reverse the selloff quickly. SOTP Floor at Current Price: Base case sum-of-parts analysis yields $468 per share, meaning buyers at $470 pay nothing for earnings growth or multiple re-rating upside. Asymmetric Setup: Probability-weighted 12M target of $525 (+12%), with bull case at $600 (+27%) vs bear case at $410 (-13%). Risk/reward tilts strongly to the upside.

    Unknown Author
    2/20/26
    220
    Quality Compounder
    Income, Value
    value investing
    Also mentions:
    MCO
    MSCI
    ICE

    Government Contracts

    Gov Obligations (TTM)
    $7.16M
    Gov Obligations / Revenue
    0.0%
    Obligations YoY
    11.2%
    Active Awards
    44
    New Awards (TTM)
    20
    Avg Remaining Term
    4.3 mo

    Top agency: Department of the Interior at 31.0% of trailing twelve month obligations across 9 agencies

    Recent Awards

    Award IDAgencyObligatedStart
    140L0625F0119Department of the InteriorBureau of Land Management$398720Sep 10, 2025
    140L0125F0108Department of the InteriorBureau of Land Management$316865Sep 25, 2025
    31310026C0001Nuclear Regulatory CommissionNuclear Regulatory Commission$298944Jan 9, 2026
    9523ZY25C0008Commodity Futures Trading CommissionCommodity Futures Trading Commission$284795Aug 28, 2025
    89303025FFE400046Department of EnergyDepartment of Energy$284395Sep 26, 2025
    140L0625F0157Department of the InteriorBureau of Land Management$249925Sep 23, 2025
    140L0626F0028Department of the InteriorBureau of Land Management$199778May 12, 2026
    50310225P0032Securities and Exchange CommissionSecurities and Exchange Commission$141780Oct 1, 2025
    89303026FFE400047Department of EnergyDepartment of Energy$118739Dec 3, 2025
    140L0626F0030Department of the InteriorBureau of Land Management$99663May 12, 2026

    Federal contract obligations are bookings recorded by the awarding agency, not recognized revenue. They can exceed 100% of revenue and can be negative when contracts are de-obligated. Source: USAspending.gov prime awards, data through Jul 31, 2026.

    News

    Frequently Asked Questions About SPGI

    What is SPGI's current dividend yield?
    S&P Global Inc (SPGI) has a current dividend yield of 0.89%.
    Does SPGI pay dividends?
    Yes, S&P Global Inc pays dividends with a current yield of 0.89%.
    What is SPGI's P/E ratio?
    S&P Global Inc has a price-to-earnings (P/E) ratio of 23.15.
    What is SPGI's market cap?
    S&P Global Inc (SPGI) has a market capitalization of $130.56B with a current stock price of $435.99.

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