S&p Global dividend yield calculator – Investors: Uncovering the Meaning Behind S&P Global’s 1% Dividend Yield

June 12, 2023

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S&P ($NYSE:SPGI) Global is an American financial services company that provides independent ratings, benchmarks, analytics and data to the global capital and commodity markets. The company’s stock is traded on the New York Stock Exchange under the symbol SPGI. For investors, one of the most important metrics to look into is the dividend yield, and S&P Global‘s 1% dividend yield stands out. While this is a relatively low yield compared to other stocks, the significance of it should not be overlooked.

Additionally, the company’s dividend payout ratio is relatively low in comparison to other stocks. This indicates that there is room for growth for future dividend increases. The 1% dividend yield may not seem like a lot at first glance, but it should be taken into consideration when investors are deciding whether or not to invest in S&P Global. The steady increases in dividend yields, coupled with the low payout ratios, make S&P Global an attractive stock for income-oriented investors. For those looking for a reliable and steady source of income, S&P Global could be a good option.

Dividends – S&p Global dividend yield calculator

Investing in S&P Global can be an attractive option for investors due to its 1% dividend yield. The company has issued dividends per share annually over the last three years – 3.45 USD, 3.32 USD, and 3.08 USD – and is projected to maintain that level of payouts going forward, with dividend yields estimated at 1.0%, 0.94%, and 0.81% in 2021, 2022, and 2023, respectively. The average dividend yield is estimated to be 0.92%. Therefore, investors should be aware of the consistent dividend payouts that S&P Global can provide as part of a balanced investment portfolio.

About the Company

  • Industry Classification
  • Key Executives
  • Ownership (Institutional/ Fund Holdings)
  • News Feed
  • Income Snapshot

    Below shows the total revenue, net income and net margin for S&p Global. More…

    Total Revenues Net Income Net Margin
    11.95k 2.81k 19.4%
  • Income Statement Reports (Yearly/ Quarterly/ LTM)
  • Income Supplement
  • Growth Performance
  • Cash Flow Snapshot

    Below shows the cash from operations, investing and financing for S&p Global. More…

    Operations Investing Financing
    2.98k 474 -6.35k
  • Cash Flow Statement (Yearly/ Quarterly/ LTM)
  • Cash Flow Supplement
  • Balance Sheet Snapshot

    Below shows the total assets, liabilities and book value per share for S&p Global. More…

    Total Assets Total Liabilities Book Value Per Share
    62.02k 22.25k 113.08
  • Balance Sheet (Yearly/ Quarterly)
  • Balance Sheet Supplement
  • Key Ratios Snapshot

    Some of the financial key ratios for S&p Global are shown below. More…

    3Y Rev Growth 3Y Operating Profit Growth Operating Margin
    20.0% 1.7% 35.3%
    FCF Margin ROE ROA
    24.0% 7.3% 4.2%
  • Income Statement Ratios
  • Balance Sheet Ratios
  • Cash Flow Ratios
  • Valuation Ratios
  • Other Ratios
  • Other Supplementary Items
  • Analysis – S&p Global Intrinsic Value Calculation

    At GoodWhale, we have conducted an analysis of S&P GLOBAL‘s wellbeing. Our proprietary Valuation Line has come up with an estimated fair value of the S&P GLOBAL share at around $428.5. However, the stock is currently being traded at $382.2, which is a fair price that is undervalued by 10.8%. This presents an opportunity for investors to buy the stock at a bargain. More…

  • Risk Rating Analysis
  • Star Chart Analysis
  • Valuation Analysis
  • Peers

    In the world of financial analysis and investment, there are a few major players that everyone knows. S&P Global Inc is one of these companies, and they frequently compete with others such as OTC Markets Group Inc, Euromoney Institutional Investor PLC, and Nasdaq Inc. All of these companies provide essential services to their clients, and all are leaders in their field. Though they may compete with each other, they also frequently collaborate in order to provide the best possible service to their clients.

    – OTC Markets Group Inc ($OTCPK:OTCM)

    OTC Markets Group Inc is a United States financial market providing price and liquidity information for almost 10,000 over-the-counter securities. The company has a market capitalization of 664.01 million as of 2022 and a return on equity of 76.45%. The company operates three markets: the OTCQX Best Market, the OTCQB Venture Market, and the Pink Open Market. The company also provides a range of services for broker-dealers, including trade reporting, regulatory compliance, and market data.

    – Euromoney Institutional Investor PLC ($LSE:ERM)

    Euromoney Institutional Investor PLC is a provider of business information and capital markets intelligence. The company has a market cap of 1.58B as of 2022 and a return on equity of 2.93%. The company provides analysis and data on the global financial markets, including capital markets, banking, and asset management. The company also offers conferences, training, and publications.

    – Nasdaq Inc ($NASDAQ:NDAQ)

    Nasdaq is a leading global provider of trading, clearing, exchange technology, listing, information and public company services. It offers a wide range of products and services for businesses of all sizes, from startups to large enterprises. Nasdaq is home to some of the world’s most innovative companies, including Tesla, Microsoft, and Apple. It is also one of the largest exchanges in the world, with a market capitalization of over $30 billion. Nasdaq’s return on equity is an impressive 16.97%. This means that for every $1 invested in the company, shareholders can expect to receive $0.17 in return. Nasdaq’s strong market position and profitability make it an attractive investment for many investors.

    Summary

    S&P Global offers an attractive dividend yield of 1%. For investors, this could be an attractive way to earn income on a long-term investment.

    However, they should consider the company’s financial stability and risk appetite when deciding to invest. Investors should also conduct due diligence to ensure the S&P Global dividend is sustainable and the company is in a good position to pay out annual dividends. This includes analyzing the company’s current financials, business model, and future outlook. Analysts should also research the dividend history of the company and whether it has been able to increase its payouts over time. The risks of investing in S&P Global should also be taken into consideration such as market volatility, economic downturn, and industry forces. By understanding these risks and conducting proper analysis, investors can determine if S&P Global is a suitable investment for their portfolio.

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