Stock Scorecard



Stock Summary for S&P Global Inc (SPGI) - $481.88 as of 10/8/2025 4:43:26 PM EST

Total Score

10 out of 30

Safety Score

67 out of 100

Currently on the following lists
None
Tim's Recommendation
Avoid

Growth List Algorithm Criteria for SPGI

Positive Quarterly and Annual earnings growth
P/E ratio less than Industry P/E Ratio
P/E ratio less than Sector P/E Ratio
P/E ratio that is half the Annual earnings growth rate (or less)
Positive net cash position the past year and most recent quarter
Equity to debt ratio greater than 0.75 for past year and most recent quarter
Positive net income past year and 12 trailing months
Free cash flow ratio greater than 0 and less than 10

Small Cap List Algorithm Criteria for SPGI

Revenue growing by at least 20% average per year over the last 5 years
Market Capitalization under 2 billion
Price to Sales (P/S) ratio 12 trailing months less than Industry P/S ratio twelve trailing months
Price to Sales (P/S) ratio 12 trailing months less than Sector P/S ratio twelve trailing months
Net Income past year > Net Income prior year OR Net Income 12 trailing months > Net Income prior year OR Net Income 12 trailing months > Net Income past year

Dividend List Algorithm Criteria for SPGI

Declared an ex-dividend date
Forward annual dividend rate greater than 2
Positive net cash position the past year and most recent quarter
Equity to debt ratio greater than 0.75 for past year and most recent quarter
Current ratio most recent quarter greater than 2
Cash Flow per Share greater than Trailing Dividend Rate

Bonus Criteria for SPGI

P/E ratio less than five-year Average P/E ratio
Last Price to 52 Week Low Ratio Less Than 1
Total Cash Per Share > Last Day Price
P/S Ratio < 1
P/B Ratio < 1

Safety Rating Criteria for SPGI (67 out of 100)

Stock Price Rating (Max of 10) 10
Historical Stock Price Rating (Max of 10) 10
Stock Price Trend (Max of 10) 7
Book Value (Max of 10) 10
Book Value to Price (Max of 10) 0
Analyst Buy Ratings (Max of 5) 5
Analyst Strong Buy Ratings (Max of 5) 5
Dividend Yield Percentage (Max of 10) 1
Operating Margin (Max of 10) 6
Trading Volume (Max of 10) 9
Price to Earnings (Max of 10) 4
Geopolitical Risk Adjustment (Always 0 for USA or a Negative Number for Non-USA) 0

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S&P Global Uses IBM AI To Boost Efficiency - IBM ( NYSE:IBM ) , S&P Global ( NYSE:SPGI ) 10/8/2025 12:02:00 PM
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Financial Details for SPGI

Company Overview

Ticker SPGI
Company Name S&P Global Inc
Country USA
Description S&P Global Inc. is a leading provider of financial information and analytics, headquartered in Manhattan, New York City. With a robust portfolio that includes credit ratings, benchmarks, and analytics, the company serves a diverse range of clients across the global financial market. S&P Global's expertise in assessing market trends and providing data-driven insights positions it as an essential player in the evaluation and forecasting of economic activity, making it a critical resource for institutional investors seeking to navigate complex investment landscapes. The firm's commitment to transparency and innovation enhances its reputation as a trusted authority in financial intelligence.
Sector Name FINANCIAL SERVICES
Industry Name FINANCIAL DATA & STOCK EXCHANGES
Most Recent Quarter 6/30/2025
Next Earnings Date 10/23/2025

Stock Price History

Last Day Price 481.88
Price 4 Years Ago 457.21
Last Day Price Updated 10/8/2025 4:43:26 PM EST
Last Day Volume 1,468,845
Average Daily Volume 1,498,087
52-Week High 578.04
52-Week Low 425.60
Last Price to 52 Week Low 13.22%

Valuation Measures

Trailing PE 36.77
Industry PE 28.74
Sector PE 24.41
5-Year Average PE 36.80
Free Cash Flow Ratio 79.65
Industry Free Cash Flow Ratio 43.60
Sector Free Cash Flow Ratio 43.60
Current Ratio Most Recent Quarter 0.98
Total Cash Per Share 6.05
Book Value Per Share Most Recent Quarter 109.37
Price to Book Ratio 4.36
Industry Price to Book Ratio 5.77
Sector Price to Book Ratio 2.28
Price to Sales Ratio Twelve Trailing Months 9.93
Industry Price to Sales Ratio Twelve Trailing Months 8.46
Sector Price to Sales Ratio Twelve Trailing Months 3.96
Analyst Buy Ratings 17
Analyst Strong Buy Ratings 6

Share Statistics

Total Shares Outstanding 305,300,000
Market Capitalization 147,117,964,000
Institutional Ownership 90.44%

Dividends

Ex-Dividend Date 11/25/2025
Previous Dividend Amount 0.9600
Current Dividend Amount 0.9600
Total Years Dividend Increasing Dividend Aristocrat - Increasing for 39 Years
Trailing Annual Dividend Rate 3.79
Trailing Annual Dividend Yield 0.79%
Forward Annual Dividend Rate 3.84
Forward Annual Dividend Yield 0.80%
5-Year Dividend Payments Count 21
3-Year Average Dividend Yield 0.78%
5-Year Average Dividend Yield 0.81%
1-Year Dividend Growth Rate Percentage 5.49%
3-Year Dividend Growth Rate Percentage 3.28%
5-Year Dividend Growth Rate Percentage 5.67%
All-Time Dividend Growth Rate Percentage 8.01%
Dividend Payout Ratio 29.13%

Income Statement

Quarterly Earnings Growth YOY 8.40%
Annual Earnings Growth 46.69%
Reported EPS 12 Trailing Months 13.01
Reported EPS Past Year 8.80
Reported EPS Prior Year 15.71
Net Income Twelve Trailing Months 4,013,000,000
Net Income Past Year 3,852,000,000
Net Income Prior Year 2,626,000,000
Quarterly Revenue Growth YOY 5.80%
5-Year Revenue Growth 16.23%
Operating Margin Twelve Trailing Months 42.70%

Balance Sheet

Total Cash Most Recent Quarter 1,847,000,000
Total Cash Past Year 1,666,000,000
Total Cash Prior Year 1,290,000,000
Net Cash Position Most Recent Quarter -9,538,000,000
Net Cash Position Past Year -9,728,000,000
Long Term Debt Past Year 11,394,000,000
Long Term Debt Prior Year 11,412,000,000
Total Debt Most Recent Quarter 11,385,000,000
Equity to Debt Ratio Past Year 0.74
Equity to Debt Ratio Most Recent Quarter 0.75
Total Stockholder Equity Past Year 33,159,000,000
Total Stockholder Equity Prior Year 34,200,000,000
Total Stockholder Equity Most Recent Quarter 33,496,000,000

Free Cash Flow

Free Cash Flow Twelve Trailing Months 5,411,000,000
Free Cash Flow Per Share Twelve Trailing Months 17.72
Free Cash Flow Past Year 5,565,000,000
Free Cash Flow Prior Year 3,567,000,000

Options

Put/Call Ratio 0.00
Has Options Options Chain
Liquidity Rating

Technical Analysis

Yahoo Finance Chart Yahoo Finance Chart
MACD 0.00
MACD Signal 0.00
20-Day Bollinger Lower Band 0.00
20-Day Bollinger Middle Band 0.00
20-Day Bollinger Upper Band 0.00
Beta 1.19
RSI 0.00
50-Day SMA 0.00
150-Day SMA 0.00
200-Day SMA 0.00

System

Modified 10/7/2025 9:54:39 AM EST