
S&P Global Inc.
SPGI 418.67 (3.40%) 14.25
Financials
Capital Markets
Quality Checklist 4/8
Debt/Equity < 1
Net Margin > 10%
Past Net Income CAGR > 0%
Est. EPS Growth > 5%
5Y Shares Out Change < 0%
ROIC > 10%
Current Ratio > 1
Quick Ratio > 1
0.0%of Portfolio
My holdings
Day change:
Total change:
Shares:Cost basis:
Market cap: $125.09(B)
EV: $144.12(B)
Total Equity: $36.15(B)
Earnings date: Apr-30-2026
P/E: 28.54
Forward P/E: 21.34
P/FCF: 22.93
P/S: 8.32
P/B: 4.02
EPS: $14.7
EPS (fwd): $19.6
FCF/share: $18.3
Revenue/share: $50.3
Book value/share: $104.2
ROIC: 7.8%
ROA: 7.0%
ROE: 12.6%
Debt/Equity: 0.38
Current Ratio: 0.80
Gross margin: 70.3%
Operating margin: 40.2%
Net margin: 29.1%
Dividend/share: $3.8
Div. yield: 0.92%
Growth Estimates
Revenue
CAGR: 6.6%FY+1$16.49(B)
FY+2(+7.3%)$17.70(B)
FY+3(+7.1%)$18.95(B)
FY+4(+5.7%)$20.02(B)
FY+5(+6.4%)$21.31(B)
Net Income
CAGR: 8.4%FY+1$5.80(B)
FY+2(+9.3%)$6.34(B)
FY+3(+11.1%)$7.04(B)
FY+4(+4.9%)$7.38(B)
FY+5(+8.2%)$7.99(B)
EPS
CAGR: 11.8%FY+1$19.62
FY+2(+12.5%)$22.07
FY+3(+13.9%)$25.14
FY+4(+8.6%)$27.30
FY+5(+12.1%)$30.61
FCF per share
CAGR: 10.8%FY+1$19.50
FY+2(+10.8%)$21.60
