Ticker: SPGI

S&P Global

Finance Financials Financial - Data & Stock Exchanges
Price 410.42
Reco Sell Potential 45 Risk 70 Updated 2026-09-10

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Description

Company and Business Model

S&P Global Inc. provides financial information and analytics, serving various sectors including finance, energy, and commodities. Its core products include credit ratings, benchmarks, and analytics, primarily through segments such as Ratings, Market Intelligence, and Platts. Major revenue sources stem from subscription services, data analytics, and credit ratings, catering to a diverse client base including corporations, financial institutions, and government entities.

Investment Profile

The investment profile of S&P Global is more aligned with value investors, given its stable revenue growth and moderate dividend yield. The stock may appeal to those seeking a balance between capital appreciation and income, although current risk factors suggest caution.

Fundamental metrics (experimental) Updated: 2026-09-09
EPS (TTM) — earnings per share for the last 12 months, $
16.43
Revenue QoQ — quarter-over-quarter revenue growth
-0.6%
EPS surprise
0.4%
20d volatility
1.7%
Dividend yield
0.9%
last ex-date
2026-08-26
AI recommendation changes
Date Before After Reason
2026-09-10 Hold Sell Weak momentum and fundamentals raise uncertainty.
2026-09-03 Buy Hold Mixed performance; cautious outlook amid market uncertainties.
2026-08-23 Hold Buy Stable fundamentals, but mixed momentum signals.
Analyst forecasts
Date Analyst Action Target Price Then
2026-09-02 Robert W. Baird Update — → 513 440.21
2026-07-17 Stifel Nicolaus Target Raised — → 521 457.38
2026-07-07 RBC Capital Target Lowered — → 510 443.91
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