S&P Global Inc.

NYSE:SPGI Stok Raporu

Piyasa değeri: US$127.4b

S&P Global Geçmiş Kazanç Performansı

Geçmiş kriter kontrolleri 4/6

S&P Global yıllık ortalama 10% oranında kazançlarını artırırken, Capital Markets sektöründe kazançlar growing at 5.8% annual. Gelirler growing yılda ortalama 14.4% oranında artmaktadır. S&P Global'in özkaynak karlılığı 14.2% ve net marjı 30.4%'dir.

Anahtar bilgiler

9.96%

Kazanç büyüme oranı

4.73%

EPS büyüme oranı

Capital Markets Sektör Büyümesi10.26%
Gelir büyüme oranı14.36%
Özkaynak getirisi14.23%
Net Marj30.36%
Sonraki Kazanç Güncellemesi28 Jul 2026

Yakın geçmiş performans güncellemeleri

Recent updates

Seeking Alpha 11h

S&P Global: The New Growth Engines Few Are Modeling (Target Price: $500)

Summary S&P Global is now a leaner, post-spin company focused on Ratings, Indices, Energy, and Market Intelligence. SPGI targets margin expansion, driven by higher-than-expected debt issuance and surging API call volumes linked to AI adoption. API usage is scaling non-linearly, signaling a structural shift to programmatic data consumption and potentially stickier, higher-growth revenues. I remain bullish on SPGI, raising my FY27 EPS estimate and setting a $500 price target, implying 15% upside. Read the full article on Seeking Alpha
Anlatı Güncellemesi Jul 07

SPGI: AI Data Repositioning After Mobility Spin Will Support Earnings Multiple

For S&P Global, the analyst price target in this update is trimmed by about $30 to $503. Analysts cite revised revenue growth assumptions after the Mobility spin and slightly higher discount rates, partly offset by a firmer profit margin outlook and a modestly higher future P/E multiple.
Anlatı Güncellemesi Jun 15

SPGI: AI Data Partnerships And Workflows Will Support Earnings Multiple

Analysts have made a modest upward adjustment to the S&P Global price target, reflecting a slightly lower discount rate and steady assumptions for revenue growth, profit margin, and future P/E. These assumptions are broadly supported by recent mixed target revisions across the Street.
Anlatı Güncellemesi Jun 01

SPGI: Mobility Spin Off And AI Initiatives Will Support Earnings Multiple

Analysts have made a modest adjustment to the S&P Global price target, reflecting updated assumptions around slightly lower revenue growth, a small change in discount rate, firmer profit margins, and a lower future P/E. Recent target moves have ranged from a $5 trim at Wells Fargo to increases of $3 to $20 at other firms.
Yeni Anlatı May 08

Guidance Cuts and AI Concerns Shake S&P Global

S&P Global has strong long-term fundamentals, but in the near term, it faces AI-related uncertainty, slower growth expectations, and shifting investor sentiment. At its core, the softer guidance in the ratings segment is being interpreted as a signal about the broader economic environment.
Anlatı Güncellemesi Apr 25

SPGI: AI Competition Concerns Will Reset But Not Break Earnings Multiple

Analysts have trimmed the S&P Global fair value estimate by about $4 to $534. This reflects a series of recent price target cuts and slightly higher discount rate and P/E assumptions, while keeping revenue growth and margin expectations broadly similar.
Anlatı Güncellemesi Apr 11

SPGI: AI Competition Concerns Will Shape Future Earnings Multiple

The analyst price target for S&P Global has been revised lower to $556, reflecting a broader wave of target cuts across the Street as analysts factor in a slightly lower discount rate, modestly adjusted long term growth and margin assumptions, and heightened competitive concerns around data and AI. Analyst Commentary Street research on S&P Global has turned more cautious overall, with several firms trimming price targets while still recognizing the company’s scale in ratings, data, and index services.
Anlatı Güncellemesi Mar 28

SPGI: Debt Issuance Strength And AI Tools Will Support Premium Earnings

Analysts have made a marginal upward revision to the S&P Global price target, reflecting a fair value move from about $537.90 to roughly $538.52. They cite recent strength in debt issuance volumes and a generally constructive view on long term growth in information and business services, despite renewed competitive concerns around market data and the impact of AI.
Anlatı Güncellemesi Mar 13

SPGI: Ratings Franchise And AI Data Platform Will Support Premium Earnings

Analysts have trimmed their average price targets on S&P Global into a roughly $550 to $575 range. This reflects slightly higher competitive concerns around data and AI while still generally supporting a premium valuation driven by steady growth expectations and a forward P/E near 31x.
Anlatı Güncellemesi Feb 26

SPGI: Ratings Strength And AI Data Integrations Will Support Earnings Quality

The analyst price target in our S&P Global model has been reset from about $610 to about $538, as analysts factor in more intense competition in market data, evolving views on the impact of AI, and a lower assumed future P/E multiple. This still sits alongside generally constructive Street research on longer term growth for information and business services companies.
Anlatı Güncellemesi Feb 11

SPGI: Ratings Strength And AI Data Expansion Will Support Earnings Quality

The updated analyst price target for S&P Global moves from approximately $505 to $611, as analysts factor in revised assumptions around discount rates, slightly different revenue growth expectations, higher profit margins, and a lower future P/E multiple. Analyst Commentary Recent Street research on S&P Global reflects a mix of higher and lower price targets, with analysts weighing nearer term execution risks against longer term earnings power and cash flow generation.
Seeking Alpha Apr 29

S&P Global: Beyond Ratings, Index Innovation And Spin-Off Strategies Fuel Success

Summary S&P Global is attractive due to its strong free cash flow, diversified business segments, and resilience in a volatile market. The company's Q1 2025 earnings showed 8% revenue growth and a 12% increase in EPS, despite market uncertainties. S&P Global's valuation remains appealing, with a forward PE of 28 and strong growth prospects, making it a solid long-term investment. The announced spin-off and additional share repurchase program are expected to unlock further value and enhance stock performance. Read the full article on Seeking Alpha
Seeking Alpha Mar 17

S&P Global: A Collection Of All-Star Businesses

Summary S&P Global's Ratings, Indices, and Commodity Insights units have strong moats and exceptional economics, making them core to the company's long-term growth. Market Intelligence, despite being the largest revenue source, has lower margins and its growth investments could be better allocated elsewhere. Mobility, a newer unit, shows potential but hasn't yet proven it can create a standardized language like the other three businesses. With a commitment to return 85% of free cash flow to shareholders and sustainable growth, S&P Global remains a strong long-term investment. Read the full article on Seeking Alpha
Seeking Alpha Feb 11

S&P Global: Knockout Quarter And High Bar Set For 2025

Summary S&P Global's first earnings report under CEO Martina Cheung was flawless, with strong growth across all segments and significant margin expansion. Despite concerns about 2025, S&P Global provided ambitious guidance, expecting 5%-7% growth, with adjusted EPS above consensus and robust free cash flow. The company's monopolistic position and diversified segments make it a prime beneficiary of global GDP growth. At a fair valuation, S&P Global remains a 'Buy' for long-term investors, because of its long-term double-digit growth trajectory and ahead of consensus upgrades. Read the full article on Seeking Alpha
Seeking Alpha Jan 16

S&P Global:  A High-Quality, Remarkably Profitable, Near-Monopolistic Business

Summary S&P Global has been a stable holding for Wedgewood, with consistent revenue and earnings growth despite economic volatility from 2020-2023. The company's business model thrives in low-interest rate environments, benefiting from increased corporate debt refinancing and capital market activity. Despite recent underperformance relative to benchmarks, S&P Global remains a high-quality, profitable growth business with a near-monopolistic market position. The long-term outlook for S&P Global is favorable, with expected benefits from future declining interest rates and a significant wave of debt refinancings. Read the full article on Seeking Alpha
Seeking Alpha Jan 09

Overpriced Optimism: Why S&P Global's Valuation Deserves Scrutiny

Summary S&P Global's current EV/EBITDA multiple of 25 is overly optimistic, with future growth expectations likely unrealistic, potentially leading to a valuation correction. Analysts' growth estimates of 12% are based on historical data; a more realistic growth rate is 8%, indicating the stock is overvalued by 34%. Despite strong competitive advantages and shareholder returns, rising operational costs and debt could hinder future growth, making the stock a hold for existing investors. For new investors, the opportunity cost is high, and better alternatives are available, making S&P Global less attractive at current valuations. Read the full article on Seeking Alpha

Gelir ve Gider Dağılımı

S&P Global nasıl para kazanır ve harcar. LTM bazında en son bildirilen kazançlara dayanmaktadır.


Kazanç ve Gelir Geçmişi

NYSE:SPGI Gelir, gider ve kazançlar (USD Millions )
TarihGelirKazançlarG+A GiderleriAr-Ge Giderleri
31 Mar 2615,7304,7763,2120
31 Dec 2515,3364,4713,1290
30 Sep 2515,0124,2172,9350
30 Jun 2514,7004,0112,9670
31 Mar 2514,4943,9512,9490
31 Dec 2414,2083,8522,8820
30 Sep 2413,7683,5512,8370
30 Jun 2413,2763,3232,7000
31 Mar 2412,8282,8222,6520
31 Dec 2312,4972,6262,6400
30 Sep 2312,2822,4802,7490
30 Jun 2312,0592,3462,5800
31 Mar 2311,9522,8082,2240
31 Dec 2211,1813,2482,4740
30 Sep 2210,3323,4902,0420
30 Jun 229,5583,6781,9330
31 Mar 228,6703,5041,9610
31 Dec 218,2973,0241,4070
30 Sep 218,0762,8031,3470
30 Jun 217,8352,4611,3140
31 Mar 217,6722,4551,2790
31 Dec 207,4422,3391,2720
30 Sep 207,3102,4261,2170
30 Jun 207,1532,5891,1630
31 Mar 206,9142,3521,2140
31 Dec 196,6992,1231,2470
30 Sep 196,5012,0931,2610
30 Jun 196,3571,9721,3310
31 Mar 196,2621,8771,3440
31 Dec 186,2581,9581,2530
30 Sep 186,3091,7091,4460
30 Jun 186,2771,6271,4780
31 Mar 186,1771,5881,4760
31 Dec 176,0631,4961,4380
30 Sep 175,8741,7711,4480
30 Jun 175,8002,2491,4290
31 Mar 175,7732,2111,4300
31 Dec 165,6612,1061,4180
30 Sep 165,6371,8161,4040
30 Jun 165,5211,1771,3910
31 Mar 165,3811,1471,3900
31 Dec 155,3131,1561,3850
30 Sep 155,228-1001,4070

Kaliteli Kazançlar: SPGI yüksek kaliteli kazançlar sağlıyor.

Büyüyen Kar Marjı: SPGI 'nin mevcut net kar marjları (30.4%) geçen yılın (27.3%) sinden daha yüksektir.


Serbest Nakit Akışı ve Kazanç Analizi


Geçmiş Kazanç Büyüme Analizi

Kazanç Eğilimi: SPGI şirketinin kazancı son 5 yılda yılda 10% oranında arttı.

Büyüme Hızlandırma: SPGI 'un son bir yıldaki kazanç büyümesi ( 20.9% ) 5 yıllık ortalamasını (yıllık 10% ) aşıyor.

Kazançlar vs. Sektör: SPGI geçen yılki kazanç büyümesi ( 20.9% ) Capital Markets sektörünün 38.3% performansını geride bırakmadı.


Özkaynak Getirisi

Yüksek ROE: SPGI 'nin Özsermaye Getirisi ( 14.2% ) düşük olarak değerlendiriliyor.


Varlık Getirisi


Kullanılan Sermaye Getirisi


Geçmişte güçlü performans gösteren şirketleri keşfedin

Şirket Analizi ve Finansal Veri Durumu

VeriSon Güncelleme (UTC saati)
Şirket Analizi2026/07/13 04:04
Gün Sonu Hisse Fiyatı2026/07/13 00:00
Kazançlar2026/03/31
Yıllık Kazançlar2025/12/31

Veri Kaynakları

Şirket analizimizde kullanılan veriler S&P Global Market Intelligence LLC'den alınmıştır. Bu raporu oluşturmak için analiz modelimizde aşağıdaki veriler kullanılmıştır. Veriler normalize edilmiştir, bu da kaynağın mevcut olmasından kaynaklanan bir gecikmeye neden olabilir.

PaketVeriZaman ÇerçevesiÖrnek ABD Kaynağı *
Şirket Finansalları10 yıl
  • Gelir tablosu
  • Nakit akış tablosu
  • Bilanço
Analist Konsensüs Tahminleri+3 yıl
  • Finansal tahminler
  • Analist fiyat hedefleri
Piyasa Fiyatları30 yıl
  • Hisse senedi fiyatları
  • Temettüler, Bölünmeler ve Eylemler
Sahiplik10 yıl
  • En büyük hissedarlar
  • İçeriden öğrenenlerin ticareti
Yönetim10 yıl
  • Liderlik ekibi
  • Yönetim Kurulu
Önemli Gelişmeler10 yıl
  • Şirket duyuruları

* ABD menkul kıymetleri için örnek, ABD dışı için eşdeğer düzenleyici formlar ve kaynaklar kullanılmıştır.

Belirtilmediği sürece tüm finansal veriler yıllık bir döneme dayanmaktadır ancak üç ayda bir güncellenmektedir. Bu, İzleyen On İki Ay (TTM) veya Son On İki Ay (LTM) Verileri olarak bilinir. Daha fazla bilgi edinin.

Analiz Modeli ve Kar Tanesi

Bu raporu oluşturmak için kullanılan analiz modelinin ayrıntılarına Github sayfamızdan ulaşabilirsiniz; ayrıca raporlarımızı nasıl kullanacağınıza dair kılavuzlarımız ve YouTube’da eğitim videolarımız da bulunmaktadır.

Simply Wall St analiz modelini tasarlayan ve oluşturan dünya standartlarındaki ekip hakkında bilgi edinin.

Endüstri ve Sektör Metrikleri

Sektör ve bölüm metriklerimiz Simply Wall St tarafından her 6 saatte bir hesaplanmaktadır, sürecimizin ayrıntıları Github'da mevcuttur.

Analist Kaynakları

S&P Global Inc. 33 Bu analistlerden 13, raporumuzun girdisi olarak kullanılan gelir veya kazanç tahminlerini sunmuştur. Analistlerin gönderimleri gün boyunca güncellenmektedir.

AnalistKurum
null nullArgus Research Company
Jeffrey MeulerBaird
Manav PatnaikBarclays