
S&p Global (SPGI) Stock
Global financial data and credit ratings provider. Here's the price, business snapshot, and what's worth knowing about S&p Global in June 2026.
S&P Global (ticker: SPGI) is a provider of financial information, analytics, credit ratings, benchmarks and data services used by investors, corporates and governments worldwide. Key divisions include Ratings, Market Intelligence, S&P Dow Jones Indices and Commodities & Commercial (Platts). The business benefits from recurring, subscription-style revenues and licensing fees for indices, which can lead to predictable cash flows and high margins. As of the data provided, its market capitalisation sits around $147.7 billion. Investors often focus on long-term trends such as demand for data-driven decision-making, growth in passive funds that track indices, and increased use of ESG analytics. Risks include economic cycles that affect capital markets activity, regulatory scrutiny of ratings and indices, and competition from other data providers. This is general information for educational purposes only and not personalised investment advice—values can rise and fall, and past performance is not a reliable guide to future results.
Why It’s Moving

SPGI is drawing bullish attention as analysts see earnings power and recurring data demand supporting a re-rating.
- Analysts remain broadly positive on SPGI, reinforcing the view that the company’s recurring revenue model can keep earnings moving higher even in a choppy macro backdrop.
- The stock’s appeal is tied to its mix of ratings, benchmarks, and data products, which investors often view as more durable than cyclical financial businesses.
- Recent forecast updates still point to meaningful upside versus the current share price, keeping SPGI in focus as a steady-growth name rather than a pure market-timing trade.

SPGI is drawing bullish attention as analysts see earnings power and recurring data demand supporting a re-rating.
- Analysts remain broadly positive on SPGI, reinforcing the view that the company’s recurring revenue model can keep earnings moving higher even in a choppy macro backdrop.
- The stock’s appeal is tied to its mix of ratings, benchmarks, and data products, which investors often view as more durable than cyclical financial businesses.
- Recent forecast updates still point to meaningful upside versus the current share price, keeping SPGI in focus as a steady-growth name rather than a pure market-timing trade.
When is the next earnings date for S&P GLOBAL INC (SPGI)?
S&P Global’s next earnings date is expected on July 30, 2026, with the company not yet formally confirming the release date. The report should cover Q2 2026 financial results. This timing is based on the company’s historical reporting pattern and current earnings-calendar estimates.
Stock Performance Snapshot
Analyst Rating
Analysts recommend buying S&P Global's stock with a target price of $537.15, indicating growth potential.
Financial Health
S&P Global is generating strong revenue and profits while maintaining healthy cash flow levels.
Dividend
S&P Global's low dividend yield of 0.92% may not attract dividend-seeking investors. If you invested $1000 you would be paid $9.20 a year in dividends (based on the last 12 months).
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Explore BasketWhy You’ll Want to Watch This Stock
Recurring revenue strength
Subscriptions and index licences create predictable cash flows and high margins, though performance can vary with market conditions.
Global market presence
A broad client base across regions and sectors supports resilience, but regulatory scrutiny and local competition remain considerations.
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