Critical Insights From S&P Global Analyst Ratings: What You Need To Know

5 analysts have expressed a variety of opinions on S&P Global SPGI over the past quarter, offering a diverse set of opinions from bullish to bearish.

Summarizing their recent assessments, the table below illustrates the evolving sentiments in the past 30 days and compares them to the preceding months.

Bullish Somewhat Bullish Indifferent Somewhat Bearish Bearish
Total Ratings 0 5 0 0 0
Last 30D 0 1 0 0 0
1M Ago 0 1 0 0 0
2M Ago 0 2 0 0 0
3M Ago 0 1 0 0 0

The 12-month price targets assessed by analysts reveal further insights, featuring an average target of $483.0, a high estimate of $500.00, and a low estimate of $452.00. Surpassing the previous average price target of $451.00, the current average has increased by 7.1%.

price target chart

Interpreting Analyst Ratings: A Closer Look

The analysis of recent analyst actions sheds light on the perception of S&P Global by financial experts. The following summary presents key analysts, their recent evaluations, and adjustments to ratings and price targets.

Analyst Analyst Firm Action Taken Rating Current Price Target Prior Price Target
Owen Lau Oppenheimer Maintains Outperform $480.00 -
Jeffrey Silber BMO Capital Raises Outperform $483.00 $480.00
Ashish Sabadra RBC Capital Maintains Outperform $500.00 -
Ashish Sabadra RBC Capital Maintains Outperform $500.00 -
Patrick O'Shaughnessy Raymond James Raises Outperform $452.00 $422.00

Key Insights:

  • Action Taken: Analysts respond to changes in market conditions and company performance, frequently updating their recommendations. Whether they 'Maintain', 'Raise' or 'Lower' their stance, it reflects their reaction to recent developments related to S&P Global. This information offers a snapshot of how analysts perceive the current state of the company.
  • Rating: Unveiling insights, analysts deliver qualitative insights into stock performance, from 'Outperform' to 'Underperform'. These ratings convey expectations for the relative performance of S&P Global compared to the broader market.
  • Price Targets: Analysts predict movements in price targets, offering estimates for S&P Global's future value. Examining the current and prior targets offers insights into analysts' evolving expectations.

Understanding these analyst evaluations alongside key financial indicators can offer valuable insights into S&P Global's market standing. Stay informed and make well-considered decisions with our Ratings Table.

Stay up to date on S&P Global analyst ratings.

Delving into S&P Global's Background

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.

S&P Global: A Financial Overview

Market Capitalization Analysis: Above industry benchmarks, the company's market capitalization emphasizes a noteworthy size, indicative of a strong market presence.

Revenue Growth: S&P Global's remarkable performance in 3 months is evident. As of 31 December, 2023, the company achieved an impressive revenue growth rate of 7.32%. This signifies a substantial increase in the company's top-line earnings. When compared to others in the Financials sector, the company faces challenges, achieving a growth rate lower than the average among peers.

Net Margin: S&P Global's net margin falls below industry averages, indicating challenges in achieving strong profitability. With a net margin of 18.37%, the company may face hurdles in effective cost management.

Return on Equity (ROE): S&P Global's financial strength is reflected in its exceptional ROE, which exceeds industry averages. With a remarkable ROE of 1.66%, the company showcases efficient use of equity capital and strong financial health.

Return on Assets (ROA): S&P Global's ROA lags behind industry averages, suggesting challenges in maximizing returns from its assets. With an ROA of 0.96%, the company may face hurdles in achieving optimal financial performance.

Debt Management: With a below-average debt-to-equity ratio of 0.35, S&P Global adopts a prudent financial strategy, indicating a balanced approach to debt management.

What Are Analyst Ratings?

Ratings come from analysts, or specialists within banking and financial systems that report for specific stocks or defined sectors (typically once per quarter for each stock). Analysts usually derive their information from company conference calls and meetings, financial statements, and conversations with important insiders to reach their decisions.

Analysts may enhance their evaluations by incorporating forecasts for metrics like growth estimates, earnings, and revenue, delivering additional guidance to investors. It is vital to acknowledge that, although experts in stocks and sectors, analysts are human and express their opinions when providing insights.

This article was generated by Benzinga's automated content engine and reviewed by an editor.

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