S&P Global (SPGI) reported earnings 30 days ago. What's next for the stock?
S&P Global's post-Mobility focus, rising AI adoption and margin gains sharpen its growth story, though Market Intelligence execution remains a key test.
S&P Global's margin gains, recurring revenue growth & buybacks support earnings, but a premium valuation & falling estimates keep the near-term setup cautious.
| Financial Services Industry | Financials Sector | Martina L. Cheung CEO | XMUN Exchange | US78409V1044 ISIN |
| US Country | 44,500 Employees | 26 Aug 2026 Last Dividend | 18 May 2005 Last Split | 2 Jan 2001 IPO Date |
S&P Global Inc. is a multifaceted enterprise providing essential services across global capital, commodity, and automotive markets. With a robust suite of products, the company spans various operations through its segments: S&P Global Market Intelligence, S&P Global Ratings, S&P Global Commodity Insights, S&P Global Mobility, S&P Dow Jones Indices, and S&P Global Engineering Solutions. Each segment caters to a unique aspect of the market, from credit ratings and benchmarks to analytics and workflow solutions. Founded in 1860, S&P Global has its headquarters in New York, New York, cementing its status as a pioneering force in financial information and analytical services. The company's commitment to delivering data, research, and analytics helps stakeholders across multiple industries navigate complex markets with confidence and precision.