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SP
S&P Global Inc.
SPGI
Mkt Cap
$119.48B
Volume
1.22M
Next Earnings
October 29th
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SP
SPGI
SP
S&P Global Inc.
SPGI
News
·
CME vs. Morningstar: Which Financial Stock Is a Better Buy in 2026?
Mkt Cap
$119.49B
Volume
1.22M
Next Earnings
October 29th
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CME vs. Morningstar: Which Financial Stock Is a Better Buy in 2026?
CME Group and Morningstar are compared as financial infrastructure plays. CME dominates derivatives trading with an impressive 62% net margin and $6.5B revenue, but trades at a premium valuation (forward P/E 22.5). Morningstar offers investment research with lower margins (15.3%) but more attractive valuation (forward P/E 15.5). The author leans toward CME despite valuation concerns due to its superior profitability and dividend, though both stocks have underperformed the S&P 500 over longer periods.
The Motley Fool · Sep 16, 2026
Top Research Reports for S&P Global, Cloudflare & Canadian Natural
Zacks analysts published research on 16 major stocks and 2 microcaps on September 15, 2026. Key reports include S&P Global (neutral outlook despite strong recurring revenues and AI adoption), Cloudflare (balanced risk-reward with strong enterprise demand but valuation concerns), and Canadian Natural Resources (neutral stance due to commodity volatility and regulatory risks). Additional coverage includes Exelon, Nordson, Lamar Advertising, and others with mixed outlooks reflecting both growth opportunities and operational challenges.
Zacks Investment Research · Sep 15, 2026
Fewer Than 30 Companies in the S&P 500 Have Raised Their Dividend for 50 Straight Years. This Financial Stock Is One of Them.
S&P Global is highlighted as one of fewer than 30 S&P 500 companies that have raised dividends for 50+ consecutive years, achieving 54 years of increases. The company has delivered over 15% annualized returns over three decades, outperforming the S&P 500's 10.4%. Despite earlier concerns about AI disruption and disappointing Q4 results, S&P Global's dominant 50% market share in credit ratings, asset-light business model with 54% operating margins, and recent earnings guidance raise make it an attractive buy at current valuations of 26.4x earnings.
The Motley Fool · Sep 4, 2026
The Biggest Risk Facing Tesla Stock Right Now
Tesla faces significant near-term risk from heavy capital spending on Cybercab/robotaxis and Optimus robots, with Wall Street projecting negative free cash flow from 2026-2028. While the company's strong balance sheet ($23B net cash expected by 2026) mitigates funding concerns, any delays in these ventures could pressure the stock and drain liquidity. Tesla remains attractive long-term but requires investor patience for near-term volatility.
The Motley Fool · Aug 30, 2026
Bill Ackman Just Bought Visa, Mastercard, and S&P Global Stock. Each One Collects a Toll on Somebody Else's Sale.
Bill Ackman's Pershing Square hedge fund made three major new investments of approximately $1.1 billion each in Visa, Mastercard, and S&P Global during Q2 2026. These three positions combined represent about 17% of the fund's $19.5 billion U.S. stock portfolio. The common thread among these companies is their business model of collecting fees on transactions they don't originate, fund, or take risk on. All three are trading at premium valuations, reflecting their durable, recession-resistant revenue streams.
The Motley Fool · Aug 29, 2026
S&P Global (SPGI) Up 4% Since Last Earnings Report: Can It Continue?
S&P Global (SPGI) reported strong Q2 2026 results with earnings of $4.83 per share (up 23% YoY) and revenues of $3.68 billion (up 11% YoY), both beating consensus estimates. However, since the earnings release, analyst estimates have shifted downward by 6.25%, leading to a Zacks Rank #4 (Sell) rating with a subpar VGM Score of F. The company's Ratings and Indices segments drove performance, though Energy growth remained modest.
Zacks Investment Research · Aug 27, 2026
This Mining Stock Is Quietly One of the Best Trades in Energy
Freeport-McMoRan, the largest U.S. copper producer, is positioned to benefit from rising copper demand driven by the energy transition, electric vehicles, renewable energy infrastructure, and AI data centers. With copper prices near all-time highs and industrywide supply constraints due to declining ore grades and permitting challenges, the company's expansion plans through low-cost leaching and brownfield projects could make it an attractive investment for energy bulls.
The Motley Fool · Aug 22, 2026
If a Recession Is Coming, 100 Years of History Says This Is the Best Move Investors Can Make
Historical data from 100 years of S&P 500 performance shows that the best strategy during recessions is to do nothing and hold investments. Despite 15 recessions including the Great Depression and Great Recession, the S&P 500 has delivered approximately 10% average annual returns. Even investors who bought at market peaks recovered their investments if they remained patient and didn't panic sell.
The Motley Fool · Aug 19, 2026
Bill Ackman’s Pershing Square Just Bought Netflix and 5 Other Stocks. Here’s What Investors Need to Know.
Bill Ackman's Pershing Square deployed 85% of its $5 billion capital raise by purchasing Netflix, Visa, Mastercard, S&P Global, Intercontinental Exchange, and Alcon. The fund targeted stocks that have sold off due to AI disruption concerns, believing these companies have competitive advantages that will allow them to thrive despite AI-related headwinds.
The Motley Fool · Aug 13, 2026
S&P Global Trades at 25 Times Earnings After the Post-Earnings Drop. Is the Ratings Moat Worth It?
S&P Global stock has declined 16% year-to-date and 6% in the past month, driven by concerns about higher interest rates impacting its ratings business. However, the company reported solid Q2 earnings with 10-11% revenue growth and 18-23% earnings growth, with record revenues in ratings and indexes. After spinning off its Mobility business, the company now trades at a P/E of 25, its lowest since 2022, presenting a potential buying opportunity for investors.
The Motley Fool · Aug 6, 2026
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Earnings
Dividends
Last · Aug 26
Quarterly
Amount
$0.97
Yield
0.95%
Annual
$3.88