S&P Global Inc. (SPGI) is listed on NYSE in the Financial Services sector Β· Financial Data & Stock Exchanges industry. The current price is 446.73, up 3.48% from the previous close. Market cap is approximately $131.7B.
The commentary below is auto-generated by comparing market data (P/E, ROE, D/E, etc.) against predefined thresholds. No LLM is used. This is not a buy/sell recommendation from us or any analyst. For reference only.
A P/E of 27.16x reflects strong expectations for future earnings growth. Multiple compression often starts the first quarter growth decelerates.
ROE of 14.26% is around the market median. Comparing to the industry-specific median tells you the relative read.
S&P Global Inc.'s elevated D/E of 42.98 either reflects an aggressive growth-via-debt strategy or balance sheet stress. Operating cash flow trend is the cleanest tell.
S&P Global Inc.'s 10.40% revenue growth signals strong momentum. The quality (price vs volume, new vs existing customers) determines whether it is sustainable.
SPGI's 0.90% dividend yield is low. Check the dividend growth trend and payout ratio for room to expand.
P/B-based valuation tends to be more intuitive than P/E for financials.
S&P Global Inc. trades near the midpoint (47%) of its 52-week range (361.03β522.47). With the price anchored to neither extreme, valuation and earnings tend to be more informative than price direction here.
Your watchlist and portfolio, one tap from your home screen β the Margin Call app
The stock moved within a 2.52% high-to-low band on the day, closing 3.48%. That falls within a typical intraday range.
S&P Global Inc. (SPGI) is listed on NYSE, with recent volume of 768,954 shares. Volume is a supporting gauge of how much conviction sits behind a price move β the same gain reads differently on heavy versus light turnover.