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S&P Global Inc. SPGI NYSE

NYSE • Financial Services • Financial - Data & Stock Exchanges • US • USD

SharesGrow Score
79/100
5/7 Pass
SharesGrow Intrinsic Value
$514.71
+21%
Analyst Price Target
$548.11
+28.9%

S&P Global Inc. (SPGI) is a Financial - Data & Stock Exchanges company in the Financial Services sector, currently trading at $425.24. It has a SharesGrow Score of 79/100, indicating a strong investment profile with 5 out of 7 criteria passed.

SharesGrow calculates the intrinsic value of SPGI = $514.71 (+21% from the current price, the stock appears undervalued). Analyst consensus target is SPGI = $548 (+28.9% upside).

Valuation: SPGI trades at a trailing Price-to-Earnings (P/E) of 28.9 (S&P 500 average ~25) with a forward Price/Earnings-to-Growth (PEG) of 2.32.

Financials: revenue is $15.3B, +11.1%/yr average growth. Net income is $4.5B, growing at +14.5%/yr. Net profit margin is 29.2% (strong). Gross margin is 70.2% (+3.9 pp trend).

Balance sheet: total debt is $14.2B against $31.2B equity (Debt-to-Equity (D/E) ratio 0.45, conservative). Current ratio is 0.82 (tight liquidity). Debt-to-assets is 23.2%. Total assets: $61.2B.

Analyst outlook: 24 / 28 analysts rate SPGI as buy (86%) — strong consensus.

SharesGrow 7-Criteria breakdown: Value 45/100 (Partial), Growth 80/100 (Pass), Past 100/100 (Pass), Health 67/100 (Partial), Moat 90/100 (Pass), Future 88/100 (Pass), Income 85/100 (Pass).

$548.11
▲ 28.89% Upside
Average Price Target
Based on 28 Wall Street analysts offering 12-month price targets for S&P Global Inc., the average price target is $548.11, with a high forecast of $627.00, and a low forecast of $482.00.
Highest Price Target
$627.00
Average Price Target
$548.11
Lowest Price Target
$482.00

SPGI SharesGrow Score Overview

79/100
SharesGrow Score
Strong investment profile
View full scorecard →
VALUE 45/100
Valuation — P/E, PEG, Forward PEG
GROWTH 80/100
Financials — average growth
PAST 100/100
strong — trend
HEALTH 67/100
Balance sheet — Debt-to-Equity (D/E) ratio, Current ratio is
MOAT 90/100
Gross margin is + market cap
FUTURE 88/100
Analyst outlook — as buy
INCOME 85/100
Net profit margin is
Scores derived from financial statements, analyst ratings, and balance sheet data.

Score Breakdown — SPGI

~
VALUE Partial
45/100
SPGI trades at a trailing Price-to-Earnings (P/E) of 28.9 (S&P 500 average ~25). Forward PEG 2.32 — overvalued. Trailing PEG 4.37. Analyst consensus target is $548, implying +28.9% from the current price $425. Composite: Price-to-Earnings (20%) + Forward Price/Earnings-to-Growth (35%) + upside (25%) + trailing PEG (20%). ≥ 60 = Pass.
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GROWTH Pass
80/100
SPGI: +11.1%/yr revenue is, +14.5%/yr Net income is average growth. > 5%/yr — strong. Score: >20%/yr = 100, >10% = 80, >5% = 65, >0% = 45, < 0 = 15.
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PAST Pass
100/100
SPGI: 4 / 4 years profitable. strong — 100%. Score = 4 / 4 × 100. ≥ 80 = Pass.
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~
HEALTH Partial
67/100
Balance sheet SPGI: Debt-to-Equity (D/E) ratio 0.45 (conservative), Current ratio is 0.82 (tight liquidity). Debt-to-Equity < 0.5, Current Ratio > 1.5, Interest Coverage > 8x = ideal. ≥ 70 = Pass.
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MOAT Pass
90/100
SPGI: Gross margin is 70.2% (+3.9 pp trend), $127B market cap. Moat (0-100): margin (35%) + trend (15%) + market cap (30%) + revenue is (20%). Score 90/100. ≥ 70 = Pass.
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FUTURE Pass
88/100
Analyst outlook: 24 / 28 analysts rate SPGI as buy (86%). Analyst consensus target is $548 (+28.9% upside). Score: 60% buy consensus + 40% upside. ≥ 60 = Pass.
View details →
INCOME Pass
85/100
SPGI: Net profit margin is 29.2%. healthy (≥15%). Score: ≥30% = 100, ≥20% = 85, ≥15% = 70, ≥10% = 55, ≥5% = 45, ≥0% = 30, < 0 = 10.
View details →

Stock Chart & Stats

Market Data
52-Week Range381.61-579.05
Volume2.23M
Avg Volume (30D)2.68M
Market Cap$127.06B
Beta (1Y)1.20
Dividend Yield$3.8500
Share Statistics
EPS (TTM)14.67
Shares Outstanding$304.8M
IPO Date2016-04-28
Employees42,350
CEOMartina L. Cheung
Financial Highlights & Ratios
Revenue (TTM)$15.34B
Gross Profit$10.77B
EBITDA$7.69B
Net Income$4.47B
Operating Income$6.48B
Total Cash$1.8B
Total Debt$14.2B
Net Debt$12.46B
Total Assets$61.2B
Price / Earnings (P/E)29
Price / Sales (P/S)8.29
Analyst Forecast
1Y Price Target$550.00
Target High$627.00
Target Low$482.00
Upside+29.3%
Rating ConsensusBuy
Analysts Covering28
Buy 86% Hold 14% Sell 0%
Price Target Summary
Company Info
CountryUS
ExchangeNYSE
CurrencyUSD
ISINUS78409V1044

Price Chart

SPGI
S&P Global Inc.  ·  NYSE
Financial Services • Financial - Data & Stock Exchanges
381.61 52WK RANGE 579.05
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