S&p Global Intrinsic Value – S&P Global Director Sells Over $3.6 Million in Company Shares, Fueling Speculation Among Investors
September 15, 2024

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S&P ($NYSE:SPGI) Global Inc, also known as S&P Global, is a leading global provider of credit ratings, benchmarks, analytics, and data to the capital and commodity markets. This significant move has sparked speculation among investors about the company’s future performance. Insider trading activities, such as this sale, are closely monitored by investors as it can provide valuable insights into the potential direction of a stock. Insider trading refers to when company executives or employees buy or sell company stock based on their knowledge of non-public information. While this is perfectly legal, it can raise red flags for investors. In the case of S&P Global, the sale by Director KELLY ROBERT P may have caused some concern among investors as it is unlikely that an insider would sell their shares if they believed the stock was going to perform well in the future.
However, it is important to note that insider selling does not always indicate negative news or poor performance. There could be various reasons for an insider to sell their shares, such as diversifying their portfolio or personal financial needs. In fact, insider buying, where an insider purchases company stock, is seen as a positive sign as it shows confidence in the company’s future. S&P Global has been performing well in recent years, with its stock price steadily increasing. The company’s most recent financial report showed strong revenue and earnings growth, indicating a solid financial position.
Additionally, S&P Global has a diversified portfolio and a strong presence in the global market, making it a stable and reliable investment option. In conclusion, the recent sale of S&P Global shares by Director KELLY ROBERT P has sparked speculation among investors about the company’s future performance. While insider selling can raise concerns, it is important for investors to consider all factors and not make decisions based solely on this activity. With a strong track record and positive financial performance, S&P Global remains a reputable and attractive investment option in the global market.
Stock Price
On Friday, S&P Global stock opened at $522.0 and closed at $519.45, down by 0.11% from the prior closing price of 520.01. One possible interpretation of this sale is that Grundhofer may have lost confidence in S&P Global’s performance and decided to offload his shares while the stock price was still relatively high. This could be a cause for concern for other investors who may now question whether they should also sell their shares. On the other hand, this sale could also be seen as a positive sign. Grundhofer has been with S&P Global for several years and has likely seen the company go through various ups and downs. His decision to sell his shares could simply be a strategic move in order to diversify his investment portfolio.
However, regardless of the reasons behind this sale, it is clear that it has sparked speculation among investors. S&P Global is a highly respected and valuable company, but the fact that one of its own directors has sold such a significant amount of shares has caused some concern. It will be interesting to see how this news affects S&P Global’s stock value in the coming weeks. While a single stock sale by a director may not necessarily be indicative of the company’s overall performance, it could still have an impact on investor confidence. Only time will tell whether this sale will have any lasting effects on S&P Global’s stock price and the company’s future. Live Quote…
About the Company
Income Snapshot
Below shows the total revenue, net income and net margin for S&p Global. More…
| Total Revenues | Net Income | Net Margin |
| 12.5k | 2.63k | 21.5% |
Cash Flow Snapshot
Below shows the cash from operations, investing and financing for S&p Global. More…
| Operations | Investing | Financing |
| 3.71k | 562 | -4.28k |
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 |
| 60.59k | 22.49k | 108.88 |
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 |
| 18.9% | 4.0% | 32.0% |
| FCF Margin | ROE | ROA |
| 28.5% | 7.2% | 4.1% |
Analysis – S&p Global Intrinsic Value
In this analysis, I will be examining the financials of S&P GLOBAL, a leading financial intelligence company. It is important to understand the financial health of a company before investing in its stock, and that is what I aim to do in this report. After analyzing S&P GLOBAL’s financials, I have determined that the intrinsic value of its share is approximately $449.6. This value has been calculated using our proprietary Valuation Line, which takes into account various factors such as the company’s revenue, earnings, and cash flow. Currently, S&P GLOBAL’s stock is trading at $519.45. This indicates that the stock is overvalued by around 15.5% based on our valuation. This means that investors would be paying a premium for the stock at its current price. In conclusion, while S&P GLOBAL is a strong and reputable company in the financial industry, its stock is currently overvalued. As an investor, it is important to consider all factors and make an informed decision before investing in any stock. More…

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 Inc SPGI director KELLY ROBERT P recently sold 7,662 shares of the company, signaling potential changes in the stock’s future. Investors often look at insider buying and selling as a way to speculate on a stock’s trajectory. The shares were valued at $3,687,567, which could indicate a lack of confidence in the company’s performance. This selling buzz could potentially impact the stock’s value and should be taken into consideration by investors.
However, this information should not be the sole factor in making investment decisions, as other factors such as the company’s financial health and industry trends should also be considered for a well-rounded analysis.
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