SPGI
★★☆☆☆ PasstemplateS&P Global Inc.
Financial Services
Session move
$402.73
Vol 0.86× avg
52/100 quant · tgt $518.52
ADV$ 765.1M
session 2026-10-08 · Snapshot — not live tape
Since last scan
2026-10-08 → 2026-10-09
Context only — not a buy/sell signal. Built from scan history and cached news/filings.
Snapshot quote
session 2026-10-08 · scan 2026-10-09 · pushed 10-09 06:15 ET · Pre-market (stale)
Show quote fundamentalsHide quote fundamentals
- Last (scan/close)
- $402.73
- Previous close
- $395.18
- Pushed last
- $402.73 (stale) · 10-09 06:15 ET · Pre-market
- Session open
- $396.42
- Last session range
- $393.88 – $403.39
- 52-week range
- $382.21 – $454.92
- Session volume
- 1,647,917
- Avg volume (20d)
- 1,914,096
- Market cap
- $118.72B
- PE (TTM)
- 24.51
- Forward PE
- 19.94
- Dividend yield
- 0.98%
- 1y target est.
- $518.52
- Next earnings
- 2026-10-27
Snapshot quote — last daily session bars and scan fundamentals. Not live bid/ask or intraday quotes. Pre/after-hours quotes are thinner and may differ from the regular session.
Market briefing
Curated digest — not a trade signal. Headlines and links as provided by the producer.
- S&P Global: Investors Await Clarification In A Higher Rate Environment
S&P Global stock is down 17% post-Mobility spin-off; valuation is cheaper at 9x sales/25x earnings.
SeekingAlpha · 2026-08-25
Price Chart
Daily prices from cache
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AI Analysis
- Bull Thesis — SPGI scores 51.58/100 (Pass) with revenue growth at 10.4% and a multi-factor profile supporting the current ranking.
- Risks — Key risks for SPGI include valuation compression, sector rotation, and any deterioration in earnings momentum or balance-sheet leverage. Context: cached next earnings 2026-10-27; disclosure reasons form4_single_ambiguous.
- Target Upside — Consensus implied upside is 28.8%. Category 'Pass' suggests monitoring position sizing against the 100-point model thresholds.
Score History
30 days of scans. Daily batch adds the next weekday automatically while the API is running.
- DatePriceChgScoreRating
- 2026-10-09$402.73+$4.8451.6Pass
- 2026-10-08$397.89+$6.4348.1Pass
- 2026-10-07$391.46−$6.2647.3Pass
- 2026-10-06$397.72+$10.5548.1Pass
- 2026-10-05$387.17+$2.2247.1Pass
- 2026-10-02$384.95−$8.9947.1Pass
- 2026-10-01$393.94−$3.6847.1Pass
- 2026-09-30$397.62+$6.3349.5Pass
- 2026-09-29$391.29−$8.4451.8Pass
- 2026-09-28$399.73−$4.5552.5Pass
- 2026-09-25$404.28−$0.8553.0Pass
- 2026-09-24$405.13−$2.3953.8Pass
- 2026-09-23$407.52+$1.3154.2Pass
- 2026-09-22$406.21+$1.5954.1Pass
- 2026-09-21$404.62+$2.0553.2Pass
- 2026-09-18$402.57−$2.4552.6Pass
- 2026-09-17$405.02−$7.4452.1Pass
- 2026-09-16$412.46−$2.5351.4Pass
- 2026-09-15$414.99−$5.8152.5Pass
- 2026-09-14$420.80+$10.0753.6Pass
- 2026-09-11$410.72−$6.3253.2Pass
- 2026-09-10$417.04−$5.2152.5Pass
- 2026-09-09$422.25−$21.2653.2Pass
- 2026-09-08$443.51$0.0055.4Pass
- 2026-09-07$443.51−$7.0755.4Pass
- 2026-09-04$450.58+$18.8756.5Pass
- 2026-09-03$431.71−$6.2155.5Pass
- 2026-09-02$437.92+$2.0856.1Pass
- 2026-09-01$435.84−$7.0554.2Pass
- 2026-08-31$442.89—55.3Pass
Quant Breakdown
Short volume (FINRA)
Off-exchange short sale volume ratio vs recent sessions — not a squeeze forecast.
- Short / total
- 58.6%
- vs 20d (z)
- 0.07
- Short vol
- 345,056
- Status
- ok
Squeeze pressure score
full48/100
- Short leg
- 37
- Call leg
- 79
- Activity
- 1.4
- Call vol share
- 68.8%
- PCR (vol)
- 0.45
- Call OI share
- 100.0%
- ATM IV
- 3.1%
FINRA off-exchange short volume (TRF/ADF consolidated). Not short interest as % of float. Squeeze pressure score (0–100) — free composite of off-exchange short volume and (when available) call-side options activity. Not a probability that a squeeze will occur.
Disclosure score
Rule-based News / Insider / Earnings legs from cached SEC filings — context only, not beat/miss or a buy signal.
Disclosure score
0
- News
- 0
- Insider
- 0
- Earnings
- 0
Signals below are rule hits from cached filings — Risk / Constructive / Attention. Attention is not a bullish call. Linked chips open the SEC original when available.
Attention (~)
Disclosure event score — rule-based view of recent SEC filings and earnings calendar. Not a prediction that price will move, and not earnings beat/miss.
Earnings surprise (quant context)
From Yahoo/public fundamentals cached on the last quant scan — not part of the disclosure event score, and not a buy signal. Figure can lag the latest print.
Last reported surprise +0.1%
Filings & events
Recent SEC disclosures and earnings dates — context only, not a trade signal.
- Next earnings
- 2026-10-27yahoo_calendar
- Last earnings
- —
- SEC ↗42026-10-05
FORM 4
- SEC ↗42026-08-04
FORM 4
- SEC ↗10-Q2026-07-28
10-Q
- SEC ↗8-K2026-07-28
8-K
- SEC ↗42026-07-06
FORM 4
- SEC ↗8-K2026-07-06
FORM 8-K
- SEC ↗8-K/A2026-07-06
FORM 8-K/A
- SEC ↗8-K2026-07-02
FORM 8-K
- SEC ↗8-K2026-05-26
8-K
- SEC ↗8-K2026-05-21
8-K
SEC filings as reported; earnings dates may come from Yahoo calendar. Context only — not investment advice and not a prediction that price will move on a filing or event.