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CME Group Inc. (CME)
Market Closed
17 Jul, 20:00
NASDAQ (NGS)
All
(10)
DE
(5)
AT
(1)
IT
(1)
MX
(1)
GB
(1)
US
(1)
NASDAQ (NGS)
Primary
LSE
XWBO
XMEX
XFRA
XHAN
XSTU
XMUN
XDUS
XMIL
$
245.
05
-1.22
-0.4954%
$
89.24B
Market Cap
24.7
P/E Ratio
4.77%
Div Yield
3.36M
Volume
9.17
Eps
$
246.27
Previous Close
Investors:
TJD
DI
MSH
LC
CE
+471
Analysts:
Watching
Watch
Add Transaction
Day Range
243.16
248.3
Year Range
218.31
329.16
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Overview
Dividends
Earnings
Splits
Statistics
News
Historical Data
Investors
Analysts
CME Group Inc. (CME) Statistics
Valuation metrics
Market Cap
89.24B
Enterprise value
89.83B
Trailing P/E (ttm)
20.77
Forward P/E
22.5
PEG ratio
1.13
Price/Sales (ttm)
13.14
Price/Book (mrq)
3.31
Enterprise Value/Revenue
13.29
Enterprise Value/EBITDA
15
Overview
Shares outstanding
361.79M
Float
360.74M
Shares short
4.8M
% Held by insiders
0%
% Held by institutions
0.92%
Average volume (10 days)
3.51M
Average volume (90 days)
2.79M
Price summary
52-Week low
218.31
52-Week high
329.16
Beta
0.26
50-Day moving average
247.59
200-Day moving average
290
Dividends and splits
Forward annual dividend rate
29.8
Forward annual dividend yield
0.1026%
Trailing annual dividend rate
11.25
Trailing annual dividend yield
0.0459%
5-Year annual dividend yield
3.4%
Payout ratio
0.96
Dividend Date
25 Jun 2026
Ex-Dividend Date
9 Jun 2026
Last split factor
5:1
Last split Date
23 Jul 2012
Financials
Fiscal year
Fiscal year ends
31 Dec 2025
Most recent quarter (mrq)
31 Mar 2026
Profitability
Profit margin
0.63%
Operating margin
0.66%
Operational effectiveness
Return on assets
0.02%
Return on equity
0.15%
Income Statement
Revenue (ttm)
6.74B
Revenue per share (ttm)
18.81
Quarterly revenue growth (yoy)
0.14%
Gross profit (ttm)
6.74B
EBITDA
98.3M
Net income to common (ttm)
4.24B
Diluted EPS (ttm)
11.81
Quarterly earnings growth (yoy)
0.21%
Balance Sheet
Total cash (mrq)
2.52B
Total cash per share (mrq)
7
Total debt (mrq)
3.74B
Total Debt/Equity (mrq)
0.13
Current ratio (mrq)
1.02%
Book value per share (mrq)
74.08
Cash Flow
Cash flow statement
4.42B
Levered free cash flow (LFCF)
3.03B