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S&P Global Inc. (SPGI)

Financial Services | Financial Data & Stock Exchanges | New York, United States | NYSE
442.57 USD +5.78 (1.323%) ⇧ (April 17, 2026, 4 p.m. EDT)
After hours: 444.50 +1.93 (0.436%) ⇧ (April 17, 2026, 7:56 p.m. EDT)

Short-term: ★★★☆☆ | Long-term: ★★★★☆ | Dividends: ★★★★☆
Hot Take | April 11, 2026, 1:30 p.m. EDT

SPGI has shown a mixed performance in recent price history, with a recent dip below the 50-day average, but it remains above the 200-day average. The dividend yield is moderate, with consistent payouts, indicating a reliable income stream. Analysts are bullish, suggesting it could be a good long-term investment. However, the short-term forecast shows minimal directional change, making it a neutral to slightly bearish opportunity for short-term traders. The options activity reflects a cautious market with mixed sentiment, indicating that while there's potential for gains, there's also significant risk. Overall, SPGI appears to be a solid long-term holding with a reliable dividend, but short-term traders should be cautious.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
AutoARIMA ✓0.192570
MSTL0.193384
AutoETS0.196937
AutoTheta0.231251

Forecast horizon: 45 days | Selected: AutoARIMA

Forecast Reliability
Score 50%
H-stat 1.10
Ljung-Box p 0.000
Jarque-Bera p 0.000
Excess Kurtosis 3.26
Attribute Value
Sector Financial Services
Ex Dividend Date 2026-02-24
Last Dividend Date 2026-02-24
Debt to Equity Ratio 37.912
Revenue per Share 50.315
Market Cap 132,239,917,056
Trailing P/E 30.15
Forward P/E 20.07
Beta 1.20
Profit Margins 29.15%
Website https://www.spglobal.com

As of April 11, 2026, 1:30 p.m. EDT: The options activity indicates a mix of speculation and potential directional bias. Calls show increased volume and open interest (OI) for strikes above the current price, suggesting some bullish sentiment, especially for strikes around 430 and 450. However, the puts also show significant OI for strikes below the current price, indicating bearish sentiment, particularly for strikes around 410 and 420. The IV spikes for certain strikes (e.g., 360, 400, 540) suggest increased uncertainty or volatility expectations. The overall options data implies a cautious approach with mixed signals, suggesting potential for both upward and downward movements depending on the strike price and time to expiration.


Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.23% 0.79% 0.82% 0.84%
Dividend History
Date Dividend Yield %
2026-02-25 0.97000 0.228984
2025-11-25 0.96000 0.194709
2025-08-26 0.96000 0.174559
2025-05-28 0.96000 0.188825
2025-02-26 0.96000 0.182829
2024-11-26 0.91000 0.176040
2024-08-27 0.91000 0.182130
2024-05-29 0.91000 0.216995
2024-02-26 0.91000 0.213214
2023-11-27 0.90000 0.222156
2023-08-25 0.90000 0.236389
2023-05-25 0.90000 0.256745
2023-02-23 0.90000 0.264929
2022-11-25 0.85000 0.244008
2022-08-25 0.85000 0.230601
2022-05-26 0.85000 0.248927
2022-02-09 0.77000 0.195625
2021-11-24 0.77000 0.172222
2021-08-25 0.77000 0.182629
2021-05-25 0.77000 0.211588
2021-02-23 0.77000 0.246843
2020-11-24 0.67000 0.209466
2020-08-25 0.67000 0.195662
2020-05-26 0.67000 0.224998
2020-02-25 0.67000 0.249185
2019-11-25 0.57000 0.225894
2019-08-26 0.57000 0.233994
2019-05-28 0.57000 0.281172
2019-02-25 0.57000 0.299484
2018-11-27 0.50000 0.300502
2018-08-27 0.50000 0.261270
2018-05-25 0.50000 0.266935
2018-02-23 0.50000 0.279737
2017-11-27 0.41000 0.268148
2017-08-24 0.41000 0.291805
2017-05-24 0.41000 0.317640
2017-02-22 0.41000 0.339852
2016-11-23 0.36000 0.325666
2016-08-24 0.36000 0.324668
2016-05-24 0.36000 0.352698
2016-02-23 0.36000 0.453130
2015-11-23 0.33000 0.378858
2015-08-24 0.33000 0.394027
2015-05-22 0.33000 0.345925
2015-02-23 0.33000 0.352728
2014-11-21 0.30000 0.364128
2014-08-22 0.30000 0.426973
2014-05-23 0.30000 0.423906
2014-02-24 0.30000 0.422483
2013-11-22 0.28000 0.427075
2013-08-23 0.28000 0.530734
2013-05-24 0.28000 0.598566
2013-02-22 0.28000 0.698523
2012-12-14 2.50000 5.352113
2012-11-26 0.25500 0.594978
2012-08-24 0.25500 0.625897
2012-05-24 0.25500 0.696746
2012-02-23 0.25500 0.682283
2011-11-23 0.25000 0.759754
2011-08-24 0.25000 0.753025
2011-05-24 0.25000 0.743697
2011-02-22 0.25000 0.827764
2010-11-23 0.23500 0.872599
2010-08-24 0.23500 1.073822
2010-05-24 0.23500 1.069515
2010-02-22 0.23500 0.876384
2009-11-23 0.22500 0.950093
2009-08-24 0.22500 0.964210
2009-05-22 0.22500 0.967482
2009-02-23 0.22500 1.508144
2008-11-21 0.22000 1.433650
2008-08-22 0.22000 0.694891
2008-05-23 0.22000 0.757009
2008-02-25 0.22000 0.727042
2007-11-26 0.20500 0.631547
2007-08-24 0.20500 0.570104
2007-05-24 0.20500 0.410050
2007-02-22 0.20500 0.424336
2006-11-24 0.18200 0.391233
2006-08-24 0.18200 0.457036
2006-05-24 0.18200 0.492025
2006-02-22 0.18200 0.473030
2005-11-23 0.16500 0.445175
2005-08-24 0.16500 0.491055
2005-05-24 0.08300 0.271262
2005-02-22 0.16500 0.518636
2004-11-23 0.15000 0.495344
2004-08-24 0.15000 0.582326
2004-05-24 0.15000 0.571937
2004-02-23 0.15000 0.578584
2003-11-21 0.13500 0.597833
2003-08-22 0.13500 0.660724
2003-05-23 0.13500 0.669316
2003-02-24 0.13500 0.738713
2002-11-22 0.12750 0.621590
2002-08-23 0.12750 0.602674
2002-05-24 0.12750 0.600636
2002-02-22 0.12750 0.584732
2001-11-26 0.12250 0.649565
2001-08-24 0.12250 0.603442
2001-05-24 0.12250 0.565460
2001-02-22 0.12250 0.630726
2000-11-24 0.11750 0.673197
2000-08-24 0.11750 0.608292
2000-05-24 0.11750 0.724206
2000-02-23 0.11750 0.748031
1999-11-23 0.10750 0.589898
1999-08-24 0.10750 0.646408
1999-05-24 0.10750 0.624397
1999-02-22 0.09750 0.552701
1998-11-23 0.09750 0.683692
1998-08-24 0.09750 0.772760
1998-08-12 0.09750 0.753661
1998-05-22 0.09750 0.825555
1998-02-23 0.09750 0.840075
1997-11-21 0.09000 0.845364
1997-08-22 0.09000 0.955323
1997-05-23 0.09000 1.087395
1997-02-24 0.09000 1.169545
1996-11-22 0.08250 1.209904
1996-08-23 0.08250 1.319795
1996-05-24 0.08250 1.182860
1996-02-23 0.08250 1.250391
1995-11-24 0.07500 1.219320
1995-08-24 0.07500 1.315112
1995-05-22 0.07500 1.414563
1995-02-17 0.07500 1.518195
1994-11-21 0.07250 1.488293
1994-08-22 0.07250 1.522472
1994-05-20 0.07250 1.578677
1994-02-17 0.07250 1.518254
1993-11-19 0.07125 1.529231
1993-08-20 0.07125 1.533503
1993-05-20 0.07125 1.832118
1993-02-18 0.07125 1.846175
1992-11-19 0.07000 1.777952
1992-08-20 0.07000 1.889050
1992-05-20 0.07000 1.722385
1992-02-20 0.07000 1.862862
1991-11-20 0.06875 2.066588
1991-08-21 0.06875 2.007206
1991-05-22 0.06875 1.846360
1991-02-20 0.06875 1.939853
1990-11-21 0.06750 2.301403
1990-08-22 0.06750 2.402199
1990-05-22 0.06750 2.070055
1990-02-20 0.06750 2.329352
1989-11-21 0.06250 1.752580
1989-10-31 0.00625 0.169088
1989-08-22 0.06250 1.322777
1989-05-22 0.06250 1.570871
1989-02-17 0.06250 1.657108
1988-11-21 0.05750 1.739418
1988-08-22 0.05750 1.542188
1988-05-20 0.05750 1.966817
1988-02-19 0.05750 1.886187
1987-11-19 0.05250 1.756466
1987-08-20 0.05250 1.308679
1987-05-20 0.05250 1.641068
1987-02-19 0.05250 1.345787
1986-11-18 0.04750 1.580545
1986-08-20 0.04750 1.475971
1986-05-21 0.04750 1.589929
1986-02-20 0.04750 1.640465
1985-11-20 0.04375 1.888074
1985-08-21 0.04375 1.856000
Additional Data
dividendRate 3.88
dividendYield 0.88
exDividendDate 2026-02-25
trailingAnnualDividendRate 3.84
trailingAnnualDividendYield 0.008791409
lastDividendValue 0.97
lastDividendDate 2026-02-25
dividendDate 2026-03-11

Info Dump

Attribute Value
52 Week Change -0.027172089
Address1 55 Water Street
All Time High 579.05
All Time Low 0.335938
Ask 443.44
Ask Size 160
Audit Risk 3
Average Analyst Rating 1.3 - Strong Buy
Average Daily Volume10 Day 1,746,790
Average Daily Volume3 Month 2,692,321
Average Volume 2,692,321
Average Volume10Days 1,746,790
Beta 1.204
Bid 441.5
Bid Size 360
Board Risk 1
Book Value 104.173
City New York
Compensation As Of Epoch Date 1,767,139,200
Compensation Risk 9
Country United States
Crypto Tradeable 0
Currency USD
Current Price 442.57
Current Ratio 0.824
Custom Price Alert Confidence HIGH
Date Short Interest 1,774,915,200
Day High 445.25
Day Low 437.5
Debt To Equity 37.912
Display Name S&P Global
Dividend Date 1,773,187,200
Dividend Rate 3.88
Dividend Yield 0.88
Earnings Call Timestamp End 1,777,379,400
Earnings Call Timestamp Start 1,777,379,400
Earnings Growth 0.32
Earnings Quarterly Growth 0.289
Earnings Timestamp 1,777,379,400
Earnings Timestamp End 1,777,379,400
Earnings Timestamp Start 1,777,379,400
Ebitda 7,644,000,256
Ebitda Margins 0.49844003
Enterprise To Ebitda 19.515
Enterprise To Revenue 9.727
Enterprise Value 149,169,913,856
Eps Current Year 19.60454
Eps Forward 22.05294
Eps Trailing Twelve Months 14.68
Esg Populated 0
Ex Dividend Date 1,771,977,600
Exchange NYQ
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fifty Day Average 426.8798
Fifty Day Average Change 15.690216
Fifty Day Average Change Percent 0.036755584
Fifty Two Week Change Percent -2.7172089
Fifty Two Week High 579.05
Fifty Two Week High Change -136.47998
Fifty Two Week High Change Percent -0.23569638
Fifty Two Week Low 381.61
Fifty Two Week Low Change 60.960022
Fifty Two Week Low Change Percent 0.1597443
Fifty Two Week Range 381.61 - 579.05
Financial Currency USD
First Trade Date Milliseconds 99,153,000,000
Five Year Avg Dividend Yield 0.81
Float Shares 298,088,856
Forward Eps 22.05294
Forward P E 20.068525
Free Cashflow 4,877,749,760
Full Exchange Name NYSE
Full Time Employees 44,500
Gmt Off Set Milliseconds -14,400,000
Governance Epoch Date 1,775,001,600
Gross Margins 0.70246005
Gross Profits 10,773,000,192
Has Pre Post Market Data 1
Held Percent Insiders 0.00332
Held Percent Institutions 0.89689004
Implied Shares Outstanding 298,800,000
Industry Financial Data & Stock Exchanges
Industry Disp Financial Data & Stock Exchanges
Industry Key financial-data-stock-exchanges
Ir Website http://investor.mhfi.com/phoenix.zhtml?c=96562&p=irol-irhome
Is Earnings Date Estimate 0
Language en-US
Last Dividend Date 1,771,977,600
Last Dividend Value 0.97
Last Fiscal Year End 1,767,139,200
Last Split Date 1,116,374,400
Last Split Factor 2:1
Long Business Summary S&P Global Inc., together with its subsidiaries, provides benchmarks, data, analytics, and workflow solutions in the global capital, energy and commodity, and automotive markets. It operates through five segments: S&P Global Market Intelligence, S&P Global Ratings, S&P Global Energy, S&P Global Mobility, and S&P Dow Jones Indices. The S&P Global Market Intelligence segment provides multi-asset-class data and analytics integrated with purpose-built workflow solutions. This segment offers Data, Analytics & Insights, a desktop product suite that provides data, analytics, and third-party research for global finance and corporate professionals; research, reference data, market data, derived analytics, and valuation services; enterprise solutions, such as software and workflow solutions; and credit and risk solutions for selling Ratings' credit ratings and related data and research, analytics, and financial risk solutions. The S&P Global Ratings segment operates as an independent provider of credit ratings, research, and analytics offering investors information and independent benchmarks for their investment and financial decisions as well as access to the capital markets. The S&P Global Energy segment provides information and benchmark prices for the energy and commodity markets. The S&P Global Mobility segment offers solutions for the full automotive value chain, including vehicle manufacturers, automotive suppliers, mobility service providers, retailers, consumers, and finance and insurance companies. The S&P Dow Jones Indices segment operates as an index provider that maintains various valuation and index benchmarks for investment advisors, wealth managers, and institutional investors. It has operations in the United States, European region, Asia, and internationally. S&P Global Inc. was founded in 1860 and is headquartered in New York, New York.
Long Name S&P Global Inc.
Market us_market
Market Cap 132,239,917,056
Market State CLOSED
Max Age 86,400
Message Board Id finmb_21719
Most Recent Quarter 1,767,139,200
Net Income To Common 4,471,000,064
Next Fiscal Year End 1,798,675,200
Non Diluted Market Cap 129,280,934,725
Number Of Analyst Opinions 21
Open 442.88
Operating Cashflow 5,650,999,808
Operating Margins 0.38252997
Overall Risk 7
Payout Ratio 0.2619
Peg Ratio 1.54
Phone 212-438-1000
Post Market Change 1.9299927
Post Market Change Percent 0.43608755
Post Market Price 444.5
Post Market Time 1,776,470,165
Previous Close 436.79
Price Eps Current Year 22.574873
Price Hint 2
Price To Book 4.248414
Price To Sales Trailing12 Months 8.622843
Profit Margins 0.29154
Quick Ratio 0.686
Quote Source Name Delayed Quote
Quote Type EQUITY
Recommendation Key strong_buy
Recommendation Mean 1.29167
Region US
Regular Market Change 5.78
Regular Market Change Percent 1.32329
Regular Market Day High 445.25
Regular Market Day Low 437.5
Regular Market Day Range 437.5 - 445.25
Regular Market Open 442.88
Regular Market Previous Close 436.79
Regular Market Price 442.57
Regular Market Time 1,776,456,002
Regular Market Volume 1,679,176
Return On Assets 0.06656
Return On Equity 0.13087
Revenue Growth 0.09
Revenue Per Share 50.315
Sand P52 Week Change 0.36506534
Sector Financial Services
Sector Disp Financial Services
Sector Key financial-services
Share Holder Rights Risk 6
Shares Outstanding 295,979,612
Shares Percent Shares Out 0.0123000005
Shares Short 3,628,907
Shares Short Previous Month Date 1,772,150,400
Shares Short Prior Month 4,445,037
Short Name S&P Global Inc.
Short Percent Of Float 0.0123000005
Short Ratio 1.64
Source Interval 15
State NY
Symbol SPGI
Target High Price 585.0
Target Low Price 480.0
Target Mean Price 534.0476
Target Median Price 546.0
Total Cash 1,800,999,936
Total Cash Per Share 6.027
Total Debt 13,706,000,384
Total Revenue 15,335,999,488
Tradeable 0
Trailing Annual Dividend Rate 3.84
Trailing Annual Dividend Yield 0.008791409
Trailing Eps 14.68
Trailing P E 30.14782
Trailing Peg Ratio 1.5433
Triggerable 1
Two Hundred Day Average 494.8783
Two Hundred Day Average Change -52.30829
Two Hundred Day Average Change Percent -0.1056993
Type Disp Equity
Volume 1,679,176
Website https://www.spglobal.com
Zip 10,041