⚠️ Not investment advice. This is a quantitative research tool; every decision is the user's own responsibility. Past performance does not guarantee future results.⚠️ Not investment advice. Past performance does not guarantee future results.
⚠️ Not investment advice. Past performance does not guarantee future results.
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S&P Global SPGI

United States Financial Services
6.2/10
AI Analyst score
403.30 USD
Last price at analysis date · analyst target 520.30 (+29.0%)
🛒 Where to buy SPGIPartner brokers · US (NYSE/Nasdaq) · sample 200.00 € orderUS (NYSE/Nasdaq)
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🟡 HOLD — Hold; business quality is high, but valuation offers no margin of safety and momentum is negative.

S&P Global is a financial information services company that provides credit ratings, market indices, data, and analytics to financial institutions and corporations. S&P Global shows solid fundamentals with a 44.79% operating margin and 17.7% earnings growth, although its valuation (24.58 P/E) already prices in much of the expectations and momentum is weak (26th percentile in 52 weeks).

Financial health
6.9
Quality / Moat
7.3
Valuation
5.6
Growth
7.0
Dividend
4.9
Momentum
3.9
Risk & Context
5.5

Detailed metrics

Market and fundamental data as of the analysis date.

💵 Valuation
P/E24.58
Fwd P/E19.95
EV/EBITDA16.66
P/B3.77
P/S7.37
PEG1.93
Market cap118.89 B USD
Enterprise value135.65 B USD
🏰 Quality and moat
ROIC (approx.)15.3%
Gross margin70.90%
FCF conversion67%
Operating margin44.79%
📈 Profitability and margins
ROE14.26%
ROA7.03%
Net margin30.54%
FCF5.45 B USD
FCF yield4.58%
🏦 Solvency and liquidity
Total debt15.75 B USD
Net debt11.61 B USD
Cash4.13 B USD
EBITDA8.14 B USD
Net debt / EBITDA1.43
D/E42.98
Current ratio0.95
Quick ratio0.83
🚀 Growth
Revenue growth10.40%
Earnings growth17.70%
EPS (TTM)16.41 USD
EPS (Fwd)20.22 USD
💰 Dividend and risk
Dividend yield0.96%
Payout23.5%
Beta1.08
Analyst consensusStrong buy (20)
Target price520.30 USD
52-week range361.03 USD – 522.47 USD
⚠️ Main risk: Regulatory risk in its credit rating business and the legal uncertainty of its new onchain finance (crypto) venture, which could generate compliance costs or business restrictions.
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Full AI report

Generated automatically from the metrics, the macro context and the company's news.

S&P Global is a financial information services company that provides credit ratings, market indices, data, and analytics to financial institutions and corporations. S&P Global shows solid fundamentals with a 44.79% operating margin and 17.7% earnings growth, although its valuation (24.58 P/E) already prices in much of the expectations and momentum is weak (26th percentile in 52 weeks).

Score by category

CategoryScore
Financial health6.9
Quality / Moat7.3
Valuation5.6
Growth7.0
Dividend4.9
Momentum3.9
Risk & Context5.5

OVERALL SCORE: 6.2/10

Context and risks

Moderate regulatory exposure in the US due to its role in credit ratings, a sector under active supervision. The expansion into crypto/onchain finance adds a new regulatory front in an area of high legal uncertainty.

News considered in the analysis

  • S&P Global Expands into Onchain Finance with OpenZeppelin Deal — Expansión estratégica hacia finanzas onchain; potencial de nuevos ingresos a largo plazo, pero impacto financiero inmediato limitado.
  • Bond Volatility Has Charles Schwab Stock And MarketAxess In Focus — Artículo de mercado que menciona a S&P Global de pasada; sin información nueva específica sobre la empresa.
  • S&P Global (SPGI) Stock Looks Fully Valued Following Crypto Risk Deal — Opinión de analista sobre valoración tras la operación; sugiere que el precio ya refleja las noticias positivas.
  • What Needs To Be True To Buy Twist Bioscience Stock Now? — Artículo sobre otra empresa (Twist Bioscience); irrelevante para S&P Global.
  • S&P shifts Czech outlook to positive as economic resilience counters fiscal easing — Mejora de la perspectiva crediticia de un país (República Checa) por parte de S&P; refuerza la credibilidad de su negocio de calificaciones.

Verdict: Hold; business quality is high, but valuation offers no margin of safety and momentum is negative.

Main risk: Regulatory risk in its credit rating business and the legal uncertainty of its new onchain finance (crypto) venture, which could generate compliance costs or business restrictions.

Other Financial Services companies

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Automatically generated analysis from fundamental, market and news data. Not personalised financial advice — a research tool, not an individual recommendation. Past performance does not guarantee future results. Last update of this analysis: 2026-09-28. Legal notice, privacy & cookies.