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DateIndicatorDetails
Jul 11▲ Above MA150+0.8% from MA150, price crossed above
Jul 10▼ Below MA2000.5% below MA200
About S&P Global Inc.
Part of the financial services sector, S&P Global Inc. (SPGI) is listed under Financial Data & Stock Exchanges. The company carries a $135.38B market cap, placing it firmly in the large-cap category. It operates through four segments: S&P Global Market Intelligence, S&P Global Ratings, S&P Global Energy, and S&P Dow Jones Indices.
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S&P Global Inc. carries $13.90B in total debt against $1.81B in cash reserves — debt is roughly 7.7x the cash position. Managing this leverage effectively will be important for long-term financial stability. Free cash flow comes in at $5.30B, providing flexibility for reinvestment, buybacks, or dividends. Consistent free cash flow generation is often considered a sign of operational health. Return on equity stands at 13.9%, which is decent for the sector. ROE measures how effectively a company uses shareholder capital to generate profits. An ROA of 6.9% suggests reasonable efficiency in deploying the company's asset base. Revenue has grown from $11.18B (2022) to $15.34B (2025), reflecting a 37% increase over the period.
The debt-to-cash ratio suggests meaningful leverage on the balance sheet, a factor worth monitoring if credit conditions tighten. Understanding these risk dimensions helps frame what to watch going forward as conditions evolve for S&P Global Inc. and its sector.