Morningstar® Stock Report™

S&P Global Inc SPGI

Último Precio
411.58
Cambio del día
-1.69|-0.41%

a 24/04/2024
10:19:52 EDT | USD  Retraso mínimo: 15 minutos

Bid/OffersRango del DíaVolumen90d Ave VolCapitalización
411.47 - 411.69410.60 - 414.30483,0281,379,647132.30Bil
Último Cierre52 Week RangeP/UDividendo %ISIN
413.26338.92 - 461.1650.210.87US78409V1044

Cotización S&P Global Inc

Mr. Lee Davidson, Head of Quantitative Research
The conduct of Morningstar's analysts is governed by Morningstar's Code of Ethics, Securities Trading and Disclosure Policy, and Investment Research Integrity Policy. For information regarding conflicts of interest, please click here.
Fair Value is derived from a detailed projection of a company’s future cash flows. Analysts create custom industry and company assumptions to feed income statement, balance sheet, and capital investment assumptions into a proprietary discounted cash flow modeling template. Scenario analysis, in-depth competitive advantage analysis, and a variety of other analytical tools are used to augment the discounted cash flow process. Combining analysts’ financial forecasts with the firm’s economic moat helps us assess how long returns on invested capital are likely to exceed the firm’s cost of capital. Because we are modeling free cash flow to the firm—representing cash available to provide a return to all capital providers—we discount future cash flows using the weighted average of the costs of equity, debt, and preferred stock (and any other funding sources), using expected future proportionate long-term, market-value weights. If our base-case assumptions are true the market price will converge on our fair value estimate over time, generally within three years. Investments in securities are subject to market and other risks. Past performance of a security may or may not be sustained in future and is no indication of future performance. For detail information about the Qualitative Fair Value, please click here.
Cuentas Financieras
202120222023
Más...
Cuenta de Resultados
Ingresos8,297.0011,181.0012,497.00
Resultado Operativo4,210.003,019.004,054.00
Resultado Neto3,024.003,248.002,626.00
Beneficio Básico por Acción12.5610.258.25
Num Medio Acciones diluidas en circulación242319319
Balance
Activo Corriente8,810.005,667.005,143.00
Activos no corrientes6,216.0055,271.0055,446.00
Total Activo 15,026.0061,784.0060,589.00
Pasivo corriente3,815.005,999.006,125.00
Total Pasivo---
Capital Total2,032.0036,388.0034,200.00
Flujo de Caja
Flujo de caja operativo3,598.002,603.003,710.00
Inversiones de Capital-35.00-89.00-143.00
Flujo de Caja Libre3,563.002,514.003,567.00

En millones, excepto "EPS básico". La moneda es USD.

Perfil de la compañía

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. S&P's largest segment by revenue is market intelligence, which provides desktop, data and advisory solutions, enterprise solutions, and credit/risk solutions mostly in the financial-services industry. S&P’s other segments include commodity insights (Platts and other data), mobility (Carfax), and indexes.

Sector

Servicios financieros

Industria

Datos Financieros y Bolsas

Estilo de acciones

Grande-Mixto

Fin Ejercicio Fiscal

diciembre

Empleados

40,450
Principales Características
Más...
Precio/Beneficio 12 m50.09
Precio/Valor contable3.87
Precio/Ventas TTM10.55
Crec Ingresos (media 3 a)18.86
Crec BPA (media 3 a)-
Margen operativo32.44
Margen neto21.01
ROE 12 m7.44
Deuda/Fondos propios0.35
Dividendos
AntÚltimo
Fecha declarada27/09/2323/01/24
Ex-Div27/11/2326/02/24
Pagado12/12/2312/03/24
Cantidad0.900.91
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