NYSE · SPGI

S&P Global Inc.

$439.83 +$13.43 (+3.15%) 1D After hours

Key Metrics

$126.21B
Market cap
26.43×
P/E · TTM
$15.73B
Revenue · TTM
$4.78B
Net income
EPS · TTM $15.52
Dividend yield 0.9%
Free cash flow $5.56B
Beta · 1Y 0.35
EBITDA · TTM $7.82B
Gross margin

The Story So Far

LAST 6 MONTHS PRIMARY SOURCES ONLY
  • Jul 16
    Money rotated out of high-beta cohorts market-wide.

    High-beta names lagged the blue-chips by 18.6 points over ten sessions around this date. Stocks in that cohort weren't falling alone — they fell together.

    RECEIPT: ROTATION GAUGE, LIVE
  • Feb 11
    From its Jan 29 high, the share price fell 26%.

    Peak close $528.63 on Jan 29; trough close $390.76 on Feb 11. The drawdown is the fact — the chapters around it are the context.

    RECEIPT: PRICE SERIES, PEAK-TO-TROUGH -26%
  • Feb 10
    The stock moved -9.7% in a single session.

    Sessions this size usually pair with a chapter above or below — a filing, a headline, or the whole cohort moving together.

    RECEIPT: DAILY BAR, Feb 10
  • Feb 3
    The stock moved -11.3% in a single session.

    Sessions this size usually pair with a chapter above or below — a filing, a headline, or the whole cohort moving together.

    RECEIPT: DAILY BAR, Feb 3

The story updates itself as events post · The wolf reports; you decide

Snapshot

Market cap$126.21B
Enterprise value$137.72B
Shares outstanding296.0M
52-wk range$381.61 – $579.05
Avg volume · 20D1.6M
Net cash −$11.51B
Book value / share$101.31
IndustryServices-Consumer Credit Reporting, Collection Agencies
ExchangeNYSE
About S&P Global Inc.
IPO dateFeb 14, 1929
Employees44500

S&P Global provides data and benchmarks to capital and commodity market participants. Its ratings business is the largest credit rating agency in the world and S&P's largest segment by profitability.

Wolf Grade COMING SOON

The wolf is in training. Composite grades vs sector — profitability, health, value, momentum — arrive with the percentile engine. Methodology will be public.

Valuation

P/E26.43
P/S8.02
P/FCF22.72
EV/EBITDA17.60
EV/Sales8.76
Graham №$188.10

Profitability

Gross
Operating 42.2%
Net 30.4%
FCF 35.3%
ROE / ROIC 14.6% · 12.1%

Financial Health

Current ratio0.68
Quick ratio
Debt / equity0.43
Debt / EBITDA 1.70
Net cash −$11.51B
Working capital−$3.02B

Cash Flow · TTM

Operating CF $5.74B
Capex −$179.00M
Free cash flow $5.56B
Buybacks $5.35B
Dividends paid $1.16B
Shareholder yield 5.2%

Piotroski F-Score

5 / 9
Middling fundamentals · 5 of 9 signals passing

Altman Z-Score

4.2
Safe zone (> 2.99) · bankruptcy risk negligible

Graham Number vs Price

$188.10 vs $439.83
Trades 2.3× above classic defensive value — priced for growth
Fundamentals through 2026-03-31 · computed by TickerWolf from SEC filings