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S&P Global Inc (SPGI)

NYSEFinancial Services

$416.28
+$5.87 (+1.4%)
Market closed

May 20, 2026 at 16:00 UTC

Interactive Chart

SP

22:48:51 UTC

About S&P Global Inc

Name
S&P Global Inc
CEO
Martina L. Cheung
Industry
Financial Services
Year Founded
1888
Employees
42,350

S&P Global Inc is an information services company that supplies financial markets with benchmarks, credit opinions, and decision tools. Its role is straightforward: turn complex data into signals that issuers, lenders, and investors can use in a consistent way. Ratings, indices, and sector research are delivered through governed workflows, so methods are documented and results can be traced. Clients embed these outputs in underwriting, portfolio management, and compliance, which makes the company part of everyday market infrastructure. Delivery favors open connections and managed platforms rather than one-off tools, keeping controls visible to audit and risk teams. Operations span major financial centers, yet the promise is uniform — clear methods, steady access, and content that travels cleanly across desks and jurisdictions. Within the financials and information services ecosystem, S&P Global sits where data becomes comparable insight.

Analyst Ratings

Consensus Recommendation
Analyst consensus: 1 Buy, 11 Hold, 12 Sell
Buy1
Hold11
Sell12

Fundamentals & Financials

Revenue (TTM)
$15.7B
Net Income (TTM)
$4.7B
EPS (TTM)
$15.81
ROA (TTM)
7.86%
Current Ratio
0.68
Dividend Yield
0.23%

TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.

Income Statement

ItemQ1 2026
Revenue$4,171M
Cost of Sales$1,235M
Gross Profit$2,936M
Operating Income$2,002M
Net Income$1,395M
EPS$4.69

Technical Indicators

S&P Global Inc's Technical Indicators Summary

SPGI displays a bearish alignment driven by negative momentum and price trading below most short- and medium-term averages as well as the longer-term EMAs, while a modest intraday lift leaves price slightly above VWAP. Momentum readings and MACD are negative and CCI is signaling selling pressure, and volume on balance is weak which supports the downside view. Trend strength is currently low, indicating limited conviction but persistent weakness across moving averages. Technical takeaway: bearish bias with negative momentum and weak volume beneath longer-term averages.

Buy
1 signal
Neutral
11 signals
Sell
12 signals
Overall: Bearish50% Bearish signals
IndicatorValue
RSI (14)
41.00
Stochastic %K (14, 3, 3)
30.85
CCI (20)
-111.47
WPR (14)
-75.58
Momentum (10)
-13.32
MFI
33.03
MACD Level (12, 26)
-6.04
Bollinger Bands
$400.41 - $445.08
ATR (14)
$11.71 (2.85%)
ADX (14)
10.57
OBV
-12,040,999
VWAP
$408.17
Classic Pivot Point
$413.91
Fibonacci Pivot Point
$413.91
Exponential Moving Averages
$414.38 - $472.83(5 indicators)
Simple Moving Averages
$414.56 - $425.44(5 indicators)
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Today's Snapshot

The day wrapped with SPGI preserving a mild 1.61% upside gap, closing near 417.00. By the final tick, sector performance was mildly positive (1.08%), giving a light assist to the overall tone. SPGI rose as AI-driven data platforms and a debt-issuance rebound highlight its expanding financial infrastructure role.

Price Change

from $416.28 close

+$0.68

Trading Volume

Below avg (2.1M)

1.6M

vs S&P 500 Today

Strong Outperformance

+5.55%

52-Week Position

Lower range

17.9%

Updated: May 20, 2026 at 20:02 UTC

Quote Summary

OpenPrevious Close
$408.15$409.34
Day Range52 Week Range
$403.8 - $411.26$381.61 - $579.05
VolumeAvg. Volume
260.8K2M
Market CapP/E Ratio
$121.2B26.0