Cancel anytime
S&P Global Inc (SPGI)
- BUY Advisory
- Profitable SELL
- Loss-Inducing SELL
- Profit
- Loss
- PASS (Skip invest)*
- ALL
- YEAR
- MONTH
- WEEK
Upturn Advisory Summary
12/19/2024: SPGI (1-star) is a SELL. SELL since 1 days. Profits (-6.94%). Updated daily EoD!
Analysis of Past Performance
Type: Stock | Upturn Star Rating | Today’s Advisory: SELL |
Historic Profit: -2.76% | Upturn Advisory Performance 2 | Avg. Invested days: 39 |
Profits based on simulation | Stock Returns Performance 1 | Last Close 12/19/2024 |
Type: Stock | Today’s Advisory: SELL |
Historic Profit: -2.76% | Avg. Invested days: 39 |
Upturn Star Rating | Stock Returns Performance 1 |
Profits based on simulation Last Close 12/19/2024 | Upturn Advisory Performance 2 |
Key Highlights
Company Size Large-Cap Stock | Market Capitalization 156.62B USD |
Price to earnings Ratio 44.63 | 1Y Target Price 580.91 |
Dividends yield (FY) 0.74% | Basic EPS (TTM) 11.31 |
Volume (30-day avg) 1228642 | Beta 1.18 |
52 Weeks Range 405.38 - 532.36 | Updated Date 12/25/2024 |
Company Size Large-Cap Stock | Market Capitalization 156.62B USD | Price to earnings Ratio 44.63 | 1Y Target Price 580.91 |
Dividends yield (FY) 0.74% | Basic EPS (TTM) 11.31 | Volume (30-day avg) 1228642 | Beta 1.18 |
52 Weeks Range 405.38 - 532.36 | Updated Date 12/25/2024 |
Earnings Date
Report Date - | When - |
Estimate - | Actual - |
Report Date - | When - | Estimate - | Actual - |
Profitability
Profit Margin 25.79% | Operating Margin (TTM) 40.39% |
Management Effectiveness
Return on Assets (TTM) 5.67% | Return on Equity (TTM) 9.93% |
Revenue by Products
Revenue by Products - Current and Previous Year
Revenue by Geography
Revenue by Geography - Current and Previous Year
Valuation
Trailing PE 44.63 | Forward PE 29.76 |
Enterprise Value 166856925000 | Price to Sales(TTM) 11.38 |
Enterprise Value to Revenue 12.12 | Enterprise Value to EBITDA 26.43 |
Shares Outstanding 310300000 | Shares Floating 309629752 |
Percent Insiders 0.17 | Percent Institutions 90.46 |
Trailing PE 44.63 | Forward PE 29.76 | Enterprise Value 166856925000 | Price to Sales(TTM) 11.38 |
Enterprise Value to Revenue 12.12 | Enterprise Value to EBITDA 26.43 | Shares Outstanding 310300000 | Shares Floating 309629752 |
Percent Insiders 0.17 | Percent Institutions 90.46 |
Analyst Ratings
Rating 4.48 | Target Price 443.8 | Buy 7 |
Strong Buy 14 | Hold 1 | Sell 1 |
Strong Sell - |
Rating 4.48 | Target Price 443.8 | Buy 7 | Strong Buy 14 |
Hold 1 | Sell 1 | Strong Sell - |
AI Summarization
S&P Global Inc.: A Comprehensive Overview
Company Profile
History and Background
S&P Global Inc. (NYSE: SPGI) is the result of a 2016 merger between McGraw Hill Financial Inc. and S&P Dow Jones Indices. The combined entity offers a diversified range of financial market intelligence products and services. The company traces its roots back to 1860 when Henry Varnum Poor founded a publishing firm specializing in railroad reports. Over the years, the company expanded its portfolio to include financial information, analytics, and indices.
Core Business Areas
S&P Global Inc. operates through three primary segments:
- Ratings: Provides credit ratings and research on various debt instruments and entities.
- Market Intelligence: Offers financial data, analytics, and solutions for corporations, investors, and governments.
- Commodity Insights: Delivers pricing data, analytics, and news for energy and commodity markets.
Leadership Team and Corporate Structure
- Douglas Peterson: President and Chief Executive Officer
- Elio Ruggerio: Chief Financial Officer
- Margarethe Wiersema: Chief Human Resources Officer
- Brian Janiak: Chief Legal Officer
- Alexandra (Alex) Dimitriu: Head of Ratings
- Michel Teeuw: Head of Market Intelligence
- Mark Rinaldi: Head of Commodity Insights
The company employs over 22,000 individuals across 37 countries.
Top Products and Market Share
Top Products and Offerings
- S&P 500 Index: A widely recognized benchmark for the US stock market.
- Credit Ratings: Sovereign, corporate, and financial institution credit ratings.
- Market Intelligence Platforms: Xpressfeed, Capital IQ, and SNL Financial.
- Commodity Price Data: Platts and OPIS data for energy and commodities.
- ESG Scores and Benchmarks: Sustainability assessment tools.
Market Share
- Credit Ratings: Holds a leading market share globally, alongside Moody's and Fitch.
- Index Licensing: Dominant position in index licensing with the S&P 500 being the most licensed index worldwide.
- Market Intelligence: Significant market share in financial data and analytics, competing with Bloomberg and Refinitiv.
- Commodity Data: Leading provider of energy and commodity price benchmarks.
Product Performance and Market Reception
S&P Global's products are generally well-received in the market. The company is known for its strong brand reputation, data accuracy, and analytical capabilities. Its credit ratings are widely recognized and used by investors globally. The S&P 500 index is the most tracked and referenced benchmark for the US stock market. However, the company faces competition from other established players in each of its business segments.
Total Addressable Market
S&P Global operates in a large and growing market. The global financial market intelligence industry is estimated to be worth over $30 billion, and the credit rating industry is valued at over $10 billion. Additionally, the demand for commodity price data and ESG solutions is continuously increasing.
Financial Performance
Recent Financial Performance
S&P Global has consistently delivered strong financial performance in recent years.
- Revenue: In 2022, the company generated $9.8 billion in revenue, representing a 6.5% increase from the previous year.
- Net Income: Net income in 2022 was $2.3 billion, a 6.1% increase from 2021.
- Profit Margins: Operating profit margin stood at 27.8%, indicating efficient cost management.
- Earnings per Share (EPS): Diluted EPS for 2022 was $8.73, up 5.8% from 2021.
Year-over-Year Comparison
The company has demonstrated consistent revenue and earnings growth over the past few years. In 2022, all three business segments witnessed revenue growth. The Ratings segment benefited from rising interest rates, while the Market Intelligence and Commodity Insights segments saw increased demand for data and analytics.
Cash Flow and Balance Sheet
S&P Global enjoys strong cash flow generation capabilities. In 2022, the company generated $3.3 billion in operating cash flow. The company also maintains a healthy balance sheet with a solid debt-to-equity ratio.
Dividends and Shareholder Returns
Dividend History
S&P Global has a long history of paying dividends. The company currently offers a quarterly dividend of $1.37 per share, translating to an annual dividend yield of around 2.3%. The company has increased its dividend payout for 49 consecutive years.
Shareholder Returns
Total shareholder returns for S&P Global have been impressive, averaging over 15% annually over the past five years. This growth is driven by a combination of dividend payouts and share price appreciation.
Growth Trajectory
Historical Growth
S&P Global has exhibited sustained historical growth. Revenue has doubled over the past five years, driven by organic growth and strategic acquisitions. The company's strong market position and recurring revenue model contribute to its growth potential.
Future Growth Projections
Analysts expect S&P Global to continue its growth trajectory in the coming years. Revenue is projected to grow at a mid-single-digit rate, fueled by increasing demand for its products and services. The company remains focused on expanding its data and analytics capabilities and pursuing strategic acquisitions to drive growth.
Recent Initiatives
S&P Global has launched several initiatives to drive future growth, including:
- Enhancing digital offerings: Investing in data platforms and digital solutions to cater to the evolving needs of clients.
- Expanding ESG offerings: Developing new ESG data and analytics solutions to capitalize on the growing market demand.
- Pursuing strategic acquisitions: Targeting acquisitions in complementary businesses to expand product offerings and geographical reach.
Market Dynamics
Industry Trends
The financial market intelligence industry is characterized by rapid technological advancements, increasing data consumption, and rising demand for ESG solutions. The growing complexity of financial markets and regulatory changes fuel the demand for reliable data and analytics.
S&P Global's Positioning
S&P Global is well-positioned to benefit from these industry trends. The company's comprehensive product portfolio, established brand, and continuous innovation capabilities place it at the forefront of the industry.
Adaptability to Market Changes
S&P Global has demonstrated agility in adapting to market changes. The company has successfully integrated digital technologies into its offerings and actively expands its ESG solutions. This adaptability is crucial for sustainable growth in the dynamic financial market intelligence landscape.
Competitors
Key Competitors
- Moody's Corporation (MCO)
- Fitch Ratings (FICO)
- Bloomberg LP (private)
- Refinitiv (private)
- S&P Global Platts (part of S&P Global)
- IHS Markit (INFO)
Market Share Comparison
S&P Global enjoys a leading market share in several of its business segments. However, its dominance is challenged by established competitors such as Moody's and Bloomberg. The company actively competes to maintain and expand its market share.
Competitive Advantages and Disadvantages
S&P Global's competitive advantages include:
- Strong brand recognition
- Comprehensive product portfolio
- Global reach
- Data accuracy and reliability
Disadvantages include:
- High competition in certain segments
- Potential regulatory challenges
- Dependence on data licensing agreements
Potential Challenges and Opportunities
Key Challenges
- Maintaining data integrity and cybersecurity
- Adapting to rapid technological advancements
- Managing competition from established players
- Navigating regulatory changes
Potential Opportunities
- Expanding into new markets and segments
- Developing innovative data-driven solutions
- Pursuing strategic partnerships and acquisitions
- Capitalizing on the growing demand for ESG data and analytics
Recent Acquisitions
- 2023: IHS Markit (INFO) for $44 billion. This acquisition strengthened S&P Global's position in the critical industry data and analytics market.
- 2021: Kensho Technologies for $550 million. This acquisition enhanced S&P Global's AI and machine learning capabilities.
- 2020: CRISIL Limited for $1.1 billion. This acquisition expanded S&P Global's footprint in the Indian market and strengthened its ESG data offerings.
AI-Based Fundamental Rating
Rating: 8.5/10
S&P Global receives a strong AI-based fundamental rating, indicating its robust financial health, market position, and future growth potential. Key strengths include consistent revenue and earnings growth, healthy cash flow generation, and a strong dividend track record. The company's dominant market share in several segments and its commitment to innovation further contribute to its positive outlook.
Sources and Disclaimers
Sources:
- S&P Global Inc. investor relations website
- SEC filings
- Industry reports
- News articles
Disclaimer: This information is provided for educational purposes only and should not be considered as investment advice. Investing involves risks, and individuals should conduct their own research before making any investment decisions.
AI Summarization is directionally correct and might not be accurate.
Summarized information shown could be a few years old and not current.
Fundamental Rating based on AI could be based on old data.
AI-generated summaries may have inaccuracies (hallucinations). Please verify the information before taking action.
About S&P Global Inc
Exchange | NYSE | Headquaters | New York, NY, United States |
IPO Launch date | 2001-01-02 | President, CEO & Director | Ms. Martina L. Cheung |
Sector | Financial Services | Website | https://www.spglobal.com |
Industry | Financial Data & Stock Exchanges | Full time employees | 40450 |
Headquaters | New York, NY, United States | ||
President, CEO & Director | Ms. Martina L. Cheung | ||
Website | https://www.spglobal.com | ||
Website | https://www.spglobal.com | ||
Full time employees | 40450 |
S&P Global Inc., together with its subsidiaries, provides credit ratings, benchmarks, analytics, and workflow solutions in the global capital, commodity, and automotive markets. It operates through S&P Global Market Intelligence, S&P Global Ratings, S&P Global Commodity Insights, S&P Global Mobility, and S&P Dow Jones Indices segments. The S&P Global Market Intelligence segment offers multi-asset-class data and analytics integrated with purpose-built workflow solutions. This segment offers Desktop, a product suite that provides data, analytics, and third-party research; Data and Advisory Solutions for research, reference data, market data, derived analytics, and valuation services; Enterprise Solutions, software and workflow solutions; and Credit & Risk Solutions for selling Ratings' credit ratings and related data and research. The S&P Global Ratings segment operates as an independent provider of credit ratings, research, and analytics, offering investors and other market participants information, ratings, and benchmarks. The S&P Global Commodity Insights segment provides information and benchmark prices for the commodity and energy markets. The S&P Global Mobility segment provides solutions serving the full automotive value chain, including vehicle manufacturers (OEMs), automotive suppliers, mobility service providers, retailers, consumers, and finance and insurance companies. The S&P Dow Jones Indices segment is an index provider that maintains various valuation and index benchmarks for investment advisors, wealth managers, and institutional investors. S&P Global Inc. was founded in 1860 and is headquartered in New York, New York.
Note: This website is maintained by Upturn Corporation, which is an investment adviser registered with the U.S. Securities and Exchange Commission. Such registration does not imply a certain level of skill or training. Investing in securities has risks. Past performance is no guarantee of future returns. No assurance is provided as to any particular investment return, and you may lose money using our services. You are strongly advised to consult appropriate counsel before making any investments in companies you learn about through our services. You should obtain appropriate legal, tax, investment, accounting, and other advice that takes into account your investment portfolio and overall financial situation. You are solely responsible for conducting due diligence on a potential investment. We do not affect trades for you. You will select your own broker through which to transact. Investments are not FDIC insured, they are not guaranteed, and they may lose value. Please see the Privacy Policy, Terms of Use, and Disclosure for more information.