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Also traded in: Germany, Mexico

GuruFocus Financial Strength Rank measures how strong a company’s financial situation is. It is based on these factors

1. The debt burden that the company has as measured by its Interest coverage (current year).
2. Debt to revenue ratio. The lower, the better
3. Altman Z-score.

A company ranks high with financial strength is likely to withstand any business slowdowns and recessions.

Financial Strength : 6/10

vs
industry
vs
history
Cash-to-Debt 0.52
NYSE:SPGI's Cash-to-Debt is ranked lower than
79% of the 682 Companies
in the Global Capital Markets industry.

( Industry Median: 5.11 vs. NYSE:SPGI: 0.52 )
Ranked among companies with meaningful Cash-to-Debt only.
NYSE:SPGI' s Cash-to-Debt Range Over the Past 10 Years
Min: 0  Med: 0.28 Max: 227.87
Current: 0.52
0
227.87
Equity-to-Asset 0.06
NYSE:SPGI's Equity-to-Asset is ranked lower than
96% of the 631 Companies
in the Global Capital Markets industry.

( Industry Median: 0.54 vs. NYSE:SPGI: 0.06 )
Ranked among companies with meaningful Equity-to-Asset only.
NYSE:SPGI' s Equity-to-Asset Range Over the Past 10 Years
Min: 0  Med: 0.34 Max: 0.53
Current: 0.06
0
0.53
Debt-to-Equity 6.28
NYSE:SPGI's Debt-to-Equity is ranked lower than
97% of the 399 Companies
in the Global Capital Markets industry.

( Industry Median: 0.41 vs. NYSE:SPGI: 6.28 )
Ranked among companies with meaningful Debt-to-Equity only.
NYSE:SPGI' s Debt-to-Equity Range Over the Past 10 Years
Min: 0  Med: 0.63 Max: 510
Current: 6.28
0
510
Debt-to-EBITDA 1.28
NYSE:SPGI's Debt-to-EBITDA is ranked higher than
67% of the 383 Companies
in the Global Capital Markets industry.

( Industry Median: 2.68 vs. NYSE:SPGI: 1.28 )
Ranked among companies with meaningful Debt-to-EBITDA only.
NYSE:SPGI' s Debt-to-EBITDA Range Over the Past 10 Years
Min: 0.53  Med: 1.03 Max: 3.11
Current: 1.28
0.53
3.11
Interest Coverage 19.63
NYSE:SPGI's Interest Coverage is ranked lower than
61% of the 498 Companies
in the Global Capital Markets industry.

( Industry Median: 222.10 vs. NYSE:SPGI: 19.63 )
Ranked among companies with meaningful Interest Coverage only.
NYSE:SPGI' s Interest Coverage Range Over the Past 10 Years
Min: 2.07  Med: 15.39 Max: 23.02
Current: 19.63
2.07
23.02
Piotroski F-Score: 7
Altman Z-Score: 7.11
Beneish M-Score: -2.70
WACC vs ROIC
9.34%
91.32%
WACC
ROIC
GuruFocus Profitability Rank ranks how profitable a company is and how likely the company’s business will stay that way. It is based on these factors:

1. Operating Margin
2. Trend of the Operating Margin (5-year average). The company with an uptrend profit margin has a higher rank.
••3. Consistency of the profitability
4. Piotroski F-Score
5. Predictability Rank•

The maximum rank is 10. A rank of 7 or higher means a higher profitability and may stay that way. A rank of 3 or lower indicates that the company has had trouble to make a profit.

Profitability Rank is not directly related to the Financial Strength Rank. But if a company is consistently profitable, its financial strength will be stronger.

Profitability & Growth : 9/10

vs
industry
vs
history
Operating Margin % 42.52
NYSE:SPGI's Operating Margin % is ranked higher than
76% of the 527 Companies
in the Global Capital Markets industry.

( Industry Median: 10.95 vs. NYSE:SPGI: 42.52 )
Ranked among companies with meaningful Operating Margin % only.
NYSE:SPGI' s Operating Margin % Range Over the Past 10 Years
Min: 2.42  Med: 27.8 Max: 43.05
Current: 42.52
2.42
43.05
Net Margin % 25.94
NYSE:SPGI's Net Margin % is ranked higher than
65% of the 667 Companies
in the Global Capital Markets industry.

( Industry Median: 13.87 vs. NYSE:SPGI: 25.94 )
Ranked among companies with meaningful Net Margin % only.
NYSE:SPGI' s Net Margin % Range Over the Past 10 Years
Min: -2.28  Med: 22.26 Max: 37.2
Current: 25.94
-2.28
37.2
ROE % 257.68
NYSE:SPGI's ROE % is ranked higher than
100% of the 671 Companies
in the Global Capital Markets industry.

( Industry Median: 6.44 vs. NYSE:SPGI: 257.68 )
Ranked among companies with meaningful ROE % only.
NYSE:SPGI' s ROE % Range Over the Past 10 Years
Min: -12.86  Med: 52.18 Max: 499.05
Current: 257.68
-12.86
499.05
ROA % 18.23
NYSE:SPGI's ROA % is ranked higher than
91% of the 687 Companies
in the Global Capital Markets industry.

( Industry Median: 2.01 vs. NYSE:SPGI: 18.23 )
Ranked among companies with meaningful ROA % only.
NYSE:SPGI' s ROA % Range Over the Past 10 Years
Min: -1.79  Med: 13.1 Max: 24.99
Current: 18.23
-1.79
24.99
ROC (Joel Greenblatt) % 995.15
NYSE:SPGI's ROC (Joel Greenblatt) % is ranked higher than
92% of the 525 Companies
in the Global Capital Markets industry.

( Industry Median: 26.76 vs. NYSE:SPGI: 995.15 )
Ranked among companies with meaningful ROC (Joel Greenblatt) % only.
NYSE:SPGI' s ROC (Joel Greenblatt) % Range Over the Past 10 Years
Min: 53.63  Med: 210.27 Max: 995.15
Current: 995.15
53.63
995.15
3-Year Revenue Growth Rate 8.00
NYSE:SPGI's 3-Year Revenue Growth Rate is ranked higher than
60% of the 609 Companies
in the Global Capital Markets industry.

( Industry Median: 4.50 vs. NYSE:SPGI: 8.00 )
Ranked among companies with meaningful 3-Year Revenue Growth Rate only.
NYSE:SPGI' s 3-Year Revenue Growth Rate Range Over the Past 10 Years
Min: -16  Med: 8.3 Max: 13
Current: 8
-16
13
3-Year EBITDA Growth Rate 125.20
NYSE:SPGI's 3-Year EBITDA Growth Rate is ranked higher than
96% of the 422 Companies
in the Global Capital Markets industry.

( Industry Median: 6.80 vs. NYSE:SPGI: 125.20 )
Ranked among companies with meaningful 3-Year EBITDA Growth Rate only.
NYSE:SPGI' s 3-Year EBITDA Growth Rate Range Over the Past 10 Years
Min: -38  Med: 10.4 Max: 125.2
Current: 125.2
-38
125.2
GuruFocus has detected 3 Warning Signs with S&P Global Inc NYSE:SPGI.
More than 500,000 people have already joined GuruFocus to track the stocks they follow and exchange investment ideas.
» NYSE:SPGI's 30-Y Financials

Financials (Next Earnings Date: 2018-10-26)


Revenue & Net Income
Cash & Debt
Operating Cash Flow & Free Cash Flow
Operating Cash Flow & Net Income

» Details

Guru Trades

Q3 2017

SPGI Guru Trades in Q3 2017

Jim Simons 657,900 sh (+303.87%)
Ray Dalio 73,830 sh (+206.42%)
Paul Tudor Jones 21,144 sh (+171.15%)
Lee Ainslie 31,780 sh (+17.27%)
Tom Gayner 147,000 sh (unchged)
First Eagle Investment 228,445 sh (unchged)
Steven Cohen 751,400 sh (unchged)
Steven Cohen 400,000 sh (unchged)
Pioneer Investments 93,742 sh (-0.14%)
Chris Davis 180,638 sh (-0.36%)
Murray Stahl 5,126 sh (-0.97%)
Dodge & Cox 15,784 sh (-1.12%)
Mario Gabelli 59,600 sh (-1.77%)
Joel Greenblatt 13,843 sh (-2.26%)
David Carlson 460,000 sh (-8.00%)
Robert Olstein 34,000 sh (-15.00%)
Daniel Loeb 1,250,000 sh (-16.67%)
Caxton Associates 3,300 sh (-17.50%)
Steven Cohen 23,800 sh (-95.94%)
» More
Q4 2017

SPGI Guru Trades in Q4 2017

Steven Cohen 250,790 sh (+953.74%)
Pioneer Investments 423,794 sh (+352.09%)
Caxton Associates 8,576 sh (+159.88%)
Jim Simons 1,099,900 sh (+67.18%)
Lee Ainslie 48,870 sh (+53.78%)
Daniel Loeb 1,800,000 sh (+44.00%)
First Eagle Investment 228,445 sh (unchged)
Tom Gayner 147,000 sh (unchged)
Steven Cohen 93,300 sh (unchged)
Murray Stahl 5,126 sh (unchged)
Chris Davis Sold Out
Ray Dalio Sold Out
Mario Gabelli 58,380 sh (-2.05%)
Dodge & Cox 14,584 sh (-7.60%)
David Carlson 380,000 sh (-17.39%)
Joel Greenblatt 10,838 sh (-21.71%)
Robert Olstein 20,550 sh (-39.56%)
Paul Tudor Jones 10,194 sh (-51.79%)
» More
Q1 2018

SPGI Guru Trades in Q1 2018

Ron Baron 25,054 sh (New)
Ray Dalio 17,065 sh (New)
George Soros 102,363 sh (New)
Joel Greenblatt 31,492 sh (+190.57%)
Paul Tudor Jones 20,293 sh (+99.07%)
Lee Ainslie 64,340 sh (+31.66%)
Jim Simons 1,295,100 sh (+17.75%)
Mario Gabelli 63,230 sh (+8.31%)
Caxton Associates 8,860 sh (+3.31%)
Pioneer Investments 425,811 sh (+0.48%)
Tom Gayner 147,000 sh (unchged)
Steven Cohen 150,000 sh (unchged)
Robert Olstein Sold Out
David Carlson 350,000 sh (-7.89%)
Murray Stahl 4,601 sh (-10.24%)
Daniel Loeb 1,500,000 sh (-16.67%)
First Eagle Investment 134,141 sh (-41.28%)
Dodge & Cox 8,500 sh (-41.72%)
Steven Cohen 39,700 sh (-84.17%)
» More
Q2 2018

SPGI Guru Trades in Q2 2018

Joel Greenblatt 53,503 sh (+69.89%)
Jim Simons 1,677,100 sh (+29.50%)
Ron Baron 25,105 sh (+0.20%)
David Carlson 350,000 sh (unchged)
Tom Gayner 147,000 sh (unchged)
Paul Tudor Jones Sold Out
Steven Cohen Sold Out
Dodge & Cox 8,300 sh (-2.35%)
Mario Gabelli 59,810 sh (-5.41%)
Murray Stahl 4,226 sh (-8.15%)
Pioneer Investments 380,040 sh (-10.75%)
Daniel Loeb 1,300,000 sh (-13.33%)
George Soros 86,613 sh (-15.39%)
Lee Ainslie 52,340 sh (-18.65%)
Caxton Associates 6,259 sh (-29.36%)
First Eagle Investment 40,000 sh (-70.18%)
Ray Dalio 3,443 sh (-79.82%)
» More
» Details

Insider Trades

Latest Guru Trades with SPGI

(List those with share number changes of more than 20%, or impact to portfolio more than 0.1%)

GuruDate Trades Impact to Portfolio Price Range * (?) Current Price Change from Average Current Shares
George Soros 2018-06-30 Reduce -15.39%0.06%$186.63 - $208.68 $ 213.108%86,613
Mario Gabelli 2018-06-30 Reduce -5.41%$186.63 - $208.68 $ 213.108%59,810
Joel Greenblatt 2018-06-30 Add 69.89%0.07%$186.63 - $208.68 $ 213.108%53,503
First Eagle Investment 2018-06-30 Reduce -70.18%0.04%$186.63 - $208.68 $ 213.108%40,000
Ron Baron 2018-06-30 Add 0.20%$186.63 - $208.68 $ 213.108%25,105
Dodge & Cox 2018-06-30 Reduce -2.35%$186.63 - $208.68 $ 213.108%8,300
First Eagle Investment 2018-03-31 Reduce -41.28%0.04%$166.36 - $195.96 $ 213.1015%134,141
George Soros 2018-03-31 New Buy0.36%$166.36 - $195.96 $ 213.1015%102,363
Mario Gabelli 2018-03-31 Add 8.31%0.01%$166.36 - $195.96 $ 213.1015%63,230
Joel Greenblatt 2018-03-31 Add 190.57%0.05%$166.36 - $195.96 $ 213.1015%31,492
Ron Baron 2018-03-31 New Buy0.02%$166.36 - $195.96 $ 213.1015%25,054
Dodge & Cox 2018-03-31 Reduce -41.72%$166.36 - $195.96 $ 213.1015%8,500
Robert Olstein 2018-03-31 Sold Out 0.44%$166.36 - $195.96 $ 213.1015%0
Mario Gabelli 2017-12-31 Reduce -2.05%$155.5 - $172.57 $ 213.1031%58,380
Robert Olstein 2017-12-31 Reduce -39.56%0.27%$155.5 - $172.57 $ 213.1031%20,550
Dodge & Cox 2017-12-31 Reduce -7.60%$155.5 - $172.57 $ 213.1031%14,584
Joel Greenblatt 2017-12-31 Reduce -21.71%0.01%$155.5 - $172.57 $ 213.1031%10,838
Chris Davis 2017-12-31 Sold Out 0.12%$155.5 - $172.57 $ 213.1031%0
Chris Davis 2017-09-30 Reduce -0.36%$145.72 - $156.82 $ 213.1040%180,638
Mario Gabelli 2017-09-30 Reduce -1.77%$145.72 - $156.82 $ 213.1040%59,600
Robert Olstein 2017-09-30 Reduce -15.00%0.11%$145.72 - $156.82 $ 213.1040%34,000
Dodge & Cox 2017-09-30 Reduce -1.12%$145.72 - $156.82 $ 213.1040%15,784
Joel Greenblatt 2017-09-30 Reduce -2.26%$145.72 - $156.82 $ 213.1040%13,843
Premium More recent guru trades are included for Premium Members only!!
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Business Description

Industry: Brokers & Exchanges » Capital Markets    NAICS: 523999    SIC: 6282
Compare:SHSE:600030, NAS:AMTD, NYSE:MCO, NAS:IBKR, TSX:TRI, ASX:MQG, SHSE:601211, TSE:8604, SHSE:601688, SHSE:600837, NYSE:SCHW, SZSE:000776, SZSE:000166, SHSE:600999, NAS:ETFC, SZSE:002736, NYSE:MSCI, NYSE:RJF, HKSE:06881, TSE:8601 » details
Traded in other countries:MHL.Germany, SPGI.Mexico,
Headquarter Location:USA
S&P Global Inc, together with its subsidiaries is a benchmarks and ratings, analytics, data and research provider serving the capital, commodities and commercial markets.

S&P Global is not only the world's largest provider of credit ratings and indexes, it offers complimentary data, research, and analytical tools to capital market participants. Within credit ratings, S&P is the largest of the big three nationally recognized statistical rating organizations alongside Moody's and Fitch. S&P accounted for around 49% of bond ratings tracked by the SEC the past two years, modestly more than its chief rival, Moody's, with 34%. Combined with Fitch, these three firms have ratings on more than 95% of the market.

Ratios

vs
industry
vs
history
PE Ratio 33.35
SPGI's PE Ratio is ranked lower than
75% of the 532 Companies
in the Global Capital Markets industry.

( Industry Median: 17.59 vs. SPGI: 33.35 )
Ranked among companies with meaningful PE Ratio only.
SPGI' s PE Ratio Range Over the Past 10 Years
Min: 7.17  Med: 15.59 Max: 519.32
Current: 33.35
7.17
519.32
Forward PE Ratio 22.37
SPGI's Forward PE Ratio is ranked lower than
78% of the 89 Companies
in the Global Capital Markets industry.

( Industry Median: 17.89 vs. SPGI: 22.37 )
Ranked among companies with meaningful Forward PE Ratio only.
N/A
PE Ratio without NRI 33.35
SPGI's PE Ratio without NRI is ranked lower than
75% of the 530 Companies
in the Global Capital Markets industry.

( Industry Median: 18.01 vs. SPGI: 33.35 )
Ranked among companies with meaningful PE Ratio without NRI only.
SPGI' s PE Ratio without NRI Range Over the Past 10 Years
Min: 7.17  Med: 20.57 Max: 39.22
Current: 33.35
7.17
39.22
Price-to-Owner-Earnings 33.15
SPGI's Price-to-Owner-Earnings is ranked lower than
78% of the 250 Companies
in the Global Capital Markets industry.

( Industry Median: 16.75 vs. SPGI: 33.15 )
Ranked among companies with meaningful Price-to-Owner-Earnings only.
SPGI' s Price-to-Owner-Earnings Range Over the Past 10 Years
Min: 5.09  Med: 17.72 Max: 105.12
Current: 33.15
5.09
105.12
PB Ratio 91.89
SPGI's PB Ratio is ranked lower than
99% of the 659 Companies
in the Global Capital Markets industry.

( Industry Median: 1.16 vs. SPGI: 91.89 )
Ranked among companies with meaningful PB Ratio only.
SPGI' s PB Ratio Range Over the Past 10 Years
Min: 3.99  Med: 14.12 Max: 7155.71
Current: 91.89
3.99
7155.71
PS Ratio 8.68
SPGI's PS Ratio is ranked lower than
74% of the 640 Companies
in the Global Capital Markets industry.

( Industry Median: 3.42 vs. SPGI: 8.68 )
Ranked among companies with meaningful PS Ratio only.
SPGI' s PS Ratio Range Over the Past 10 Years
Min: 0.89  Med: 3.98 Max: 8.71
Current: 8.68
0.89
8.71
Price-to-Free-Cash-Flow 25.75
SPGI's Price-to-Free-Cash-Flow is ranked lower than
69% of the 168 Companies
in the Global Capital Markets industry.

( Industry Median: 16.03 vs. SPGI: 25.75 )
Ranked among companies with meaningful Price-to-Free-Cash-Flow only.
SPGI' s Price-to-Free-Cash-Flow Range Over the Past 10 Years
Min: 5.56  Med: 20.51 Max: 117.78
Current: 25.75
5.56
117.78
Price-to-Operating-Cash-Flow 24.29
SPGI's Price-to-Operating-Cash-Flow is ranked lower than
75% of the 198 Companies
in the Global Capital Markets industry.

( Industry Median: 13.69 vs. SPGI: 24.29 )
Ranked among companies with meaningful Price-to-Operating-Cash-Flow only.
SPGI' s Price-to-Operating-Cash-Flow Range Over the Past 10 Years
Min: 4.13  Med: 18.48 Max: 616.69
Current: 24.29
4.13
616.69
EV-to-EBIT 20.77
SPGI's EV-to-EBIT is ranked lower than
59% of the 411 Companies
in the Global Capital Markets industry.

( Industry Median: 14.83 vs. SPGI: 20.77 )
Ranked among companies with meaningful EV-to-EBIT only.
SPGI' s EV-to-EBIT Range Over the Past 10 Years
Min: 4.8  Med: 13.05 Max: 217.8
Current: 20.77
4.8
217.8
EV-to-EBITDA 19.39
SPGI's EV-to-EBITDA is ranked lower than
62% of the 414 Companies
in the Global Capital Markets industry.

( Industry Median: 13.58 vs. SPGI: 19.39 )
Ranked among companies with meaningful EV-to-EBITDA only.
SPGI' s EV-to-EBITDA Range Over the Past 10 Years
Min: 3.6  Med: 11.8 Max: 103.8
Current: 19.39
3.6
103.8
EV-to-Revenue 8.83
SPGI's EV-to-Revenue is ranked lower than
70% of the 587 Companies
in the Global Capital Markets industry.

( Industry Median: 4.20 vs. SPGI: 8.83 )
Ranked among companies with meaningful EV-to-Revenue only.
SPGI' s EV-to-Revenue Range Over the Past 10 Years
Min: 1  Med: 3.9 Max: 8.9
Current: 8.83
1
8.9
PEG Ratio 1.30
SPGI's PEG Ratio is ranked higher than
58% of the 146 Companies
in the Global Capital Markets industry.

( Industry Median: 1.55 vs. SPGI: 1.30 )
Ranked among companies with meaningful PEG Ratio only.
SPGI' s PEG Ratio Range Over the Past 10 Years
Min: 0.77  Med: 1.47 Max: 39.73
Current: 1.3
0.77
39.73
Shiller PE Ratio 53.36
SPGI's Shiller PE Ratio is ranked lower than
87% of the 165 Companies
in the Global Capital Markets industry.

( Industry Median: 22.49 vs. SPGI: 53.36 )
Ranked among companies with meaningful Shiller PE Ratio only.
SPGI' s Shiller PE Ratio Range Over the Past 10 Years
Min: 8.65  Med: 21.92 Max: 53.62
Current: 53.36
8.65
53.62
Current Ratio 1.27
SPGI's Current Ratio is ranked lower than
74% of the 505 Companies
in the Global Capital Markets industry.

( Industry Median: 2.42 vs. SPGI: 1.27 )
Ranked among companies with meaningful Current Ratio only.
SPGI' s Current Ratio Range Over the Past 10 Years
Min: 0.68  Med: 1.11 Max: 1.58
Current: 1.27
0.68
1.58
Quick Ratio 1.27
SPGI's Quick Ratio is ranked lower than
70% of the 505 Companies
in the Global Capital Markets industry.

( Industry Median: 2.17 vs. SPGI: 1.27 )
Ranked among companies with meaningful Quick Ratio only.
SPGI' s Quick Ratio Range Over the Past 10 Years
Min: 0.58  Med: 0.89 Max: 1.58
Current: 1.27
0.58
1.58
Days Sales Outstanding 75.01
SPGI's Days Sales Outstanding is ranked lower than
58% of the 406 Companies
in the Global Capital Markets industry.

( Industry Median: 49.06 vs. SPGI: 75.01 )
Ranked among companies with meaningful Days Sales Outstanding only.
SPGI' s Days Sales Outstanding Range Over the Past 10 Years
Min: 59.47  Med: 70.21 Max: 99.36
Current: 75.01
59.47
99.36
Days Payable 40.35
SPGI's Days Payable is ranked higher than
54% of the 232 Companies
in the Global Capital Markets industry.

( Industry Median: 32.02 vs. SPGI: 40.35 )
Ranked among companies with meaningful Days Payable only.
SPGI' s Days Payable Range Over the Past 10 Years
Min: 37.67  Med: 47.59 Max: 120
Current: 40.35
37.67
120

Dividend & Buy Back

vs
industry
vs
history
Dividend Yield % 0.90
SPGI's Dividend Yield % is ranked lower than
87% of the 635 Companies
in the Global Capital Markets industry.

( Industry Median: 2.86 vs. SPGI: 0.90 )
Ranked among companies with meaningful Dividend Yield % only.
SPGI' s Dividend Yield % Range Over the Past 10 Years
Min: 0.85  Med: 1.83 Max: 5.02
Current: 0.9
0.85
5.02
Dividend Payout Ratio 0.29
SPGI's Dividend Payout Ratio is ranked higher than
68% of the 367 Companies
in the Global Capital Markets industry.

( Industry Median: 0.41 vs. SPGI: 0.29 )
Ranked among companies with meaningful Dividend Payout Ratio only.
SPGI' s Dividend Payout Ratio Range Over the Past 10 Years
Min: 0.18  Med: 0.39 Max: 0.51
Current: 0.29
0.18
0.51
3-Year Dividend Growth Rate 11.00
SPGI's 3-Year Dividend Growth Rate is ranked higher than
62% of the 221 Companies
in the Global Capital Markets industry.

( Industry Median: 6.30 vs. SPGI: 11.00 )
Ranked among companies with meaningful 3-Year Dividend Growth Rate only.
SPGI' s 3-Year Dividend Growth Rate Range Over the Past 10 Years
Min: 1.8  Med: 7 Max: 11
Current: 11
1.8
11
Forward Dividend Yield % 0.94
SPGI's Forward Dividend Yield % is ranked lower than
87% of the 618 Companies
in the Global Capital Markets industry.

( Industry Median: 3.03 vs. SPGI: 0.94 )
Ranked among companies with meaningful Forward Dividend Yield % only.
N/A
5-Year Yield-on-Cost % 1.43
SPGI's 5-Year Yield-on-Cost % is ranked lower than
78% of the 643 Companies
in the Global Capital Markets industry.

( Industry Median: 3.57 vs. SPGI: 1.43 )
Ranked among companies with meaningful 5-Year Yield-on-Cost % only.
SPGI' s 5-Year Yield-on-Cost % Range Over the Past 10 Years
Min: 1.35  Med: 2.91 Max: 7.98
Current: 1.43
1.35
7.98
3-Year Average Share Buyback Ratio 2.30
SPGI's 3-Year Average Share Buyback Ratio is ranked higher than
91% of the 337 Companies
in the Global Capital Markets industry.

( Industry Median: -2.10 vs. SPGI: 2.30 )
Ranked among companies with meaningful 3-Year Average Share Buyback Ratio only.
SPGI' s 3-Year Average Share Buyback Ratio Range Over the Past 10 Years
Min: -0.8  Med: 0.7 Max: 5.5
Current: 2.3
-0.8
5.5

Valuation & Return

vs
industry
vs
history
Price-to-Intrinsic-Value-Projected-FCF 4.37
SPGI's Price-to-Intrinsic-Value-Projected-FCF is ranked lower than
94% of the 232 Companies
in the Global Capital Markets industry.

( Industry Median: 1.24 vs. SPGI: 4.37 )
Ranked among companies with meaningful Price-to-Intrinsic-Value-Projected-FCF only.
SPGI' s Price-to-Intrinsic-Value-Projected-FCF Range Over the Past 10 Years
Min: 0.4  Med: 1.39 Max: 4.72
Current: 4.37
0.4
4.72
Price-to-Median-PS-Value 2.18
SPGI's Price-to-Median-PS-Value is ranked lower than
87% of the 596 Companies
in the Global Capital Markets industry.

( Industry Median: 0.95 vs. SPGI: 2.18 )
Ranked among companies with meaningful Price-to-Median-PS-Value only.
SPGI' s Price-to-Median-PS-Value Range Over the Past 10 Years
Min: 0.28  Med: 0.64 Max: 2.18
Current: 2.18
0.28
2.18
Price-to-Peter-Lynch-Fair-Value 1.34
SPGI's Price-to-Peter-Lynch-Fair-Value is ranked lower than
57% of the 112 Companies
in the Global Capital Markets industry.

( Industry Median: 1.08 vs. SPGI: 1.34 )
Ranked among companies with meaningful Price-to-Peter-Lynch-Fair-Value only.
SPGI' s Price-to-Peter-Lynch-Fair-Value Range Over the Past 10 Years
Min: 0.55  Med: 1.89 Max: 5.02
Current: 1.34
0.55
5.02
Earnings Yield (Greenblatt) % 4.81
SPGI's Earnings Yield (Greenblatt) % is ranked higher than
56% of the 552 Companies
in the Global Capital Markets industry.

( Industry Median: 3.94 vs. SPGI: 4.81 )
Ranked among companies with meaningful Earnings Yield (Greenblatt) % only.
SPGI' s Earnings Yield (Greenblatt) % Range Over the Past 10 Years
Min: 0.5  Med: 7.7 Max: 20.7
Current: 4.81
0.5
20.7
Forward Rate of Return (Yacktman) % 22.11
SPGI's Forward Rate of Return (Yacktman) % is ranked higher than
90% of the 194 Companies
in the Global Capital Markets industry.

( Industry Median: 9.30 vs. SPGI: 22.11 )
Ranked among companies with meaningful Forward Rate of Return (Yacktman) % only.
SPGI' s Forward Rate of Return (Yacktman) % Range Over the Past 10 Years
Min: -12.6  Med: 5.9 Max: 27.1
Current: 22.11
-12.6
27.1

More Statistics

Revenue (TTM) (Mil) $6,277.00
EPS (TTM) $ 6.39
Beta1.12
Volatility10.47%
52-Week Range $153.25 - 217.31
Shares Outstanding (Mil)251.50

Analyst Estimate

Dec18 Dec19 Dec20
Revenue (Mil $) 6,480 6,862 7,379
EBIT (Mil $) 3,021 3,256 3,727
EBITDA (Mil $) 3,211 3,412 3,928
EPS ($) 8.26 9.18 10.80
EPS without NRI ($) 8.26 9.18 10.80
EPS Growth Rate
(Future 3Y To 5Y Estimate)
13.17%
Dividends per Share ($) 2.00 2.19 2.51

Piotroski F-Score Details

Piotroski F-Score: 77
Positive ROAY
Positive CFROAY
Higher ROA yoyN
CFROA > ROAY
Lower Leverage yoyY
Higher Current Ratio yoyN
Less Shares Outstanding yoyY
Higher Gross Margin yoyY
Higher Asset Turnover yoyY

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