C
S&P Global Inc. SPGI
$432.29 $3.080.72%
Recommendation
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Volume
Avg Vol (90D)
Market Cap
Dividend & Yield
52-Week Range
P/E (TTM)
EPS (TTM)
C
Hold 4/26/2024Upgraded
S&P Global Inc. (SPGI) was upgraded to C+ from C on 4/26/2024 due to a substantial increase in the growth index, volatility index and valuation index. Earnings per share increased from $1.8271 to $3.16, EBIT increased 34.28% from $1.09B to $1.46B, and total revenue increased 10.76% from $3.15B to $3.49B.
C
Hold 5/1/2023Downgrade
S&P Global Inc. (SPGI) was downgraded to C from C+ on 5/1/2023 due to a noticeable decline in the valuation index, growth index and efficiency index. Operating cash flow declined 46.63% from $1.11B to $594M.
C
Hold 4/19/2023Upgraded
S&P Global Inc. (SPGI) was upgraded to C+ from C on 4/19/2023 due to an increase in the volatility index and total return index.
C
Hold 4/3/2023Downgrade
S&P Global Inc. (SPGI) was downgraded to C from C+ on 4/3/2023 due to a decline in the volatility index and valuation index.
C
Hold 3/16/2023Upgraded
S&P Global Inc. (SPGI) was upgraded to C+ from C on 3/16/2023 due to an increase in the valuation index, volatility index and dividend index.
C
Hold 2/13/2023Downgrade
S&P Global Inc. (SPGI) was downgraded to C from C+ on 2/13/2023 due to a noticeable decline in the valuation index, growth index and efficiency index. Net income declined 28.78% from $608M to $433M, earnings per share declined from $1.84 to $1.3368, and EBIT declined 26.76% from $1.11B to $813M.
C
Hold 1/17/2023Upgraded
S&P Global Inc. (SPGI) was upgraded to C+ from C on 1/17/2023 due to an increase in the volatility index, total return index and efficiency index.
C
Hold 10/13/2022Downgrade
S&P Global Inc. (SPGI) was downgraded to C from C+ on 10/13/2022 due to a noticeable decline in the total return index, volatility index and solvency index.
C
Hold 6/1/2022Downgrade
S&P Global Inc. (SPGI) was downgraded to C+ from B- on 6/1/2022 due to a decline in the volatility index, growth index and efficiency index. Operating cash flow declined 76.38% from $940M to $222M, and EBIT declined 14.49% from $1.03B to $879M.
B
Buy 5/4/2022Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 5/4/2022 due to a significant decline in the total return index, volatility index and growth index. Earnings per share declined from $3.3 to $2.7906, EBIT declined 10.22% from $1.15B to $1.03B, and operating cash flow declined 2.79% from $967M to $940M.
B
Buy 12/27/2021Downgrade
S&P Global Inc. (SPGI) was downgraded to B from B+ on 12/27/2021 due to a noticeable decline in the total return index, valuation index and dividend index.
B
Buy 12/9/2021Upgraded
S&P Global Inc. (SPGI) was upgraded to B+ from B on 12/9/2021 due to a large increase in the total return index and volatility index.
B
Buy 11/3/2021Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 11/3/2021 due to a large increase in the total return index, valuation index and volatility index.
B
Buy 10/13/2021Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 10/13/2021 due to a noticeable decline in the total return index.
B
Buy 9/28/2021Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 9/28/2021 due to a noticeable increase in the total return index and volatility index.
B
Buy 7/1/2021Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 7/1/2021 due to a decline in the total return index and valuation index.
B
Buy 6/16/2021Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 6/16/2021 due to an increase in the total return index.
B
Buy 5/19/2021Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 5/19/2021 due to a decline in the total return index.
B
Buy 5/4/2021Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 5/4/2021 due to a large increase in the total return index, growth index and solvency index. Earnings per share increased from $1.8767 to $3.12, debt to equity declined from 8.27 to 4.08, and EBIT increased 30.85% from $872M to $1.14B.
B
Buy 3/22/2021Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 3/22/2021 due to a decline in the volatility index, valuation index and dividend index.
B
Buy 3/5/2021Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 3/5/2021 due to an increase in the volatility index, valuation index and dividend index.
B
Buy 2/18/2021Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 2/18/2021 due to a substantial decline in the total return index.
B
Buy 2/12/2020Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 2/12/2020 due to a large increase in the solvency index. Debt to equity declined from 10.92 to 8.48.
B
Buy 11/5/2019Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 11/5/2019 due to a substantial decline in the solvency index and growth index. Debt to equity increased from 7.37 to 10.92, and total revenue declined 0.88% from $1.7B to $1.69B.
B
Buy 8/2/2019Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 8/2/2019 due to a substantial increase in the solvency index, growth index and total return index. Operating cash flow increased 144.71% from $293M to $717M, EBIT increased 39.74% from $609M to $851M, and debt to equity declined from 11.54 to 7.37.
B
Buy 6/13/2019Upgraded
S&P Global Inc. (SPGI) was upgraded to B- from C+ on 6/13/2019 due to an increase in the total return index.
C
Hold 5/15/2019Downgrade
S&P Global Inc. (SPGI) was downgraded to C+ from B- on 5/15/2019 due to a decline in the total return index.
B
Buy 5/7/2019Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 5/7/2019 due to a significant decline in the solvency index, growth index and valuation index. Debt to equity increased from 5.83 to 13.43, operating cash flow declined 55.81% from $663M to $293M, and earnings per share declined from $2.0324 to $1.65.
B
Buy 3/29/2019Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 3/29/2019 due to a substantial increase in the total return index, growth index and volatility index. Operating cash flow increased 33.13% from $498M to $663M, and earnings per share increased from $1.95 to $2.0324.
B
Buy 2/4/2019Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 2/4/2019 due to a significant decline in the total return index, volatility index and growth index. Operating cash flow declined 8.29% from $543M to $498M, total revenue declined 3.92% from $1.61B to $1.55B, and EBIT declined 1.85% from $757M to $743M.
B
Buy 7/27/2018Upgraded
S&P Global Inc. (SPGI) was upgraded to B from C on 7/27/2018 due to a significant increase in the solvency index, volatility index and growth index. Debt to equity declined from 510 to 6.28, operating cash flow increased 50.83% from $360M to $543M, and EBIT increased 6.47% from $711M to $757M.
C
Hold 4/30/2018Downgrade
S&P Global Inc. (SPGI) was downgraded to C from B on 4/30/2018 due to a significant decline in the solvency index, valuation index and dividend index. Debt to equity increased from 5.02 to 510.
B
Buy 4/28/2017Upgraded
S&P Global Inc. (SPGI) was upgraded to B from B- on 4/28/2017 due to an increase in the total return index, solvency index and growth index. EBIT increased 27.88% from $520M to $665M, operating cash flow increased 20.48% from $293M to $353M, and debt to equity declined from 5.48 to 4.52.
B
Buy 4/10/2017Downgrade
S&P Global Inc. (SPGI) was downgraded to B- from B on 4/10/2017 due to a significant decline in the growth index, volatility index and total return index. Operating cash flow declined 51.17% from $600M to $293M, earnings per share declined from $3.36 to $2.0512, and EBIT declined 14.75% from $610M to $520M.
B
Buy 11/25/2016Downgrade
S&P Global, Inc. (SPGI) was downgraded to B from B+ on 11/25/2016 due to a decline in the total return index and volatility index.
B
Buy 11/4/2016Upgraded
S&P Global, Inc. (SPGI) was upgraded to B+ from B on 11/4/2016 due to a major increase in the valuation index, solvency index and growth index. Earnings per share increased from $1.44 to $3.36, operating cash flow increased 36.99% from $438M to $600M, and debt to equity declined from 10.05 to 8.58.
B
Buy 11/1/2016Upgraded
S&P Global, Inc. (SPGI) was upgraded to B from B- on 11/1/2016 due to a noticeable increase in the total return index and volatility index.
B
Buy 8/25/2016Downgrade
S&P Global, Inc. (SPGI) was downgraded to B- from B on 8/25/2016 due to a noticeable decline in the total return index, valuation index and dividend index.
B
Buy 7/29/2016Upgraded
S&P Global, Inc. (SPGI) was upgraded to B from C+ on 7/29/2016 due to a major increase in the growth index, total return index and solvency index. Operating cash flow increased 229.32% from $133M to $438M, debt to equity declined from 17.75 to 10.05, and earnings per share increased from $1.1 to $1.44.
C
Hold 7/19/2016Upgraded
S&P Global, Inc. (SPGI) was upgraded to C+ from C on 7/19/2016 due to a significant increase in the valuation index, growth index and efficiency index. Earnings per share increased from $0.9087 to $1.1, net income increased 19.03% from $247M to $294M, and EBIT increased 11.73% from $469M to $524M.
C
Hold 2/13/2015Downgrade
McGraw Hill Financial, Inc. (MHFI) was downgraded to C from B+ on 2/13/2015 due to a significant decline in the valuation index, growth index and solvency index. Earnings per share declined from $0.6873 to -$3.1137, debt to equity increased from 0.52 to 1.64, and EBIT declined 6.57% from $472M to $441M.
B
Buy 12/15/2014Upgraded
McGraw Hill Financial, Inc. (MHFI) was upgraded to B+ from B on 12/15/2014 due to a major increase in the total return index and volatility index.
B
Buy 10/31/2014Downgrade
McGraw Hill Financial, Inc. (MHFI) was downgraded to B from B+ on 10/31/2014 due to a noticeable decline in the growth index, valuation index and dividend index. Earnings per share declined from $1.06 to $0.6873, total revenue declined 6.17% from $1.35B to $1.26B, and EBIT declined 4.65% from $495M to $472M.
B
Buy 10/22/2014Upgraded
McGraw Hill Financial, Inc. (MHFI) was upgraded to B+ from B on 10/22/2014 due to an increase in the valuation index, volatility index and dividend index.
B
Buy 10/7/2014Downgrade
McGraw Hill Financial, Inc. (MHFI) was downgraded to B from B+ on 10/7/2014 due to a decline in the total return index, valuation index and dividend index.
B
Buy 7/31/2014Upgraded
McGraw Hill Financial, Inc. (MHFI) was upgraded to B+ from B on 7/31/2014 due to a major increase in the growth index, volatility index and total return index. Operating cash flow increased 182.5% from $120M to $339M, earnings per share increased from $0.89 to $1.06, and EBIT increased 15.12% from $430M to $495M.
B
Buy 5/2/2014Downgrade
McGraw Hill Financial, Inc. (MHFI) was downgraded to B from A- on 5/2/2014 due to a major decline in the valuation index, growth index and volatility index. Operating cash flow declined 50.82% from $244M to $120M, and total revenue declined 1.12% from $1.25B to $1.24B.
A
Buy 4/21/2014Downgrade
McGraw Hill Financial, Inc. (MHFI) was downgraded to A- from A on 4/21/2014 due to a decline in the volatility index and total return index.
A
Buy 3/28/2014Upgraded
McGraw Hill Financial, Inc. (MHFI) was upgraded to A from B on 3/28/2014 due to a large increase in the valuation index.
B
Buy 3/26/2014Downgrade
McGraw Hill Financial, Inc. (MHFI) was downgraded to B from B+ on 3/26/2014 due to a large decline in the total return index, valuation index and volatility index.
Weiss Ratings