bf/NYSE:SPGI_icon.png

COM:SPGLOBAL

S&P Global Inc.

  • Stock

Last Close

497.10

08/11 21:00

Market Cap

145.81B

Beta: -

Volume Today

1.30M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
903M
-
-191M
121.15%
1.27B
763.87%
2.23B
75.71%
1.64B
26.48%
2.12B
29.49%
2.30B
8.58%
2.53B
10.03%
3.26B
28.77%
3.52B
7.94%
2.89B
17.86%
depreciation and amortization
137M
-
134M
2.19%
157M
17.16%
181M
15.29%
180M
0.55%
206M
14.44%
204M
0.97%
206M
0.98%
178M
13.59%
1.01B
469.10%
1.14B
12.83%
deferred income tax
43M
-
-245M
669.77%
280M
214.29%
79M
71.79%
79M
0%
81M
2.53%
46M
43.21%
-31M
167.39%
13M
141.94%
-353M
2,815.38%
-381M
7.93%
stock based compensation
99M
-
100M
1.01%
78M
22%
76M
2.56%
99M
30.26%
94M
5.05%
78M
17.02%
90M
15.38%
122M
35.56%
214M
75.41%
171M
20.09%
change in working capital
-500M
-
-267M
46.60%
-1.76B
559.55%
-92M
94.78%
-68M
26.09%
-512M
652.94%
-1M
99.80%
247M
24,800%
-70M
128.34%
-74M
5.71%
-460M
521.62%
accounts receivables
-35M
-
-9M
74.29%
-118M
1,211.11%
-177M
50%
-196M
10.73%
-164M
16.33%
-135M
17.68%
18M
113.33%
-144M
900%
36M
125%
-291M
908.33%
inventory
128M
-
139M
8.59%
-1.41B
1,117.27%
53M
103.75%
117M
120.75%
162M
38.46%
62M
61.73%
-150M
341.94%
106M
170.67%
-762M
-
accounts payables
-93M
-
-130M
39.78%
-92M
29.23%
-26M
71.74%
75M
388.46%
-106M
241.33%
73M
168.87%
132M
80.82%
38M
71.21%
43M
13.16%
328M
662.79%
other working capital
-500M
-
-267M
46.60%
-137M
48.69%
58M
142.34%
-64M
210.34%
-404M
531.25%
-1M
99.75%
247M
24,800%
-70M
128.34%
-153M
118.57%
265M
273.20%
other non cash items
134M
-
1.68B
1,152.24%
173M
89.69%
-1.01B
682.66%
88M
108.73%
74M
15.91%
146M
97.30%
521M
256.85%
92M
82.34%
-1.72B
1,968.48%
344M
120.01%
net cash provided by operating activities
816M
-
1.21B
48.16%
195M
83.87%
1.46B
650.77%
2.02B
37.70%
2.06B
2.38%
2.78B
34.50%
3.57B
28.49%
3.60B
0.87%
2.60B
27.65%
3.71B
42.53%
investments in property plant and equipment
-117M
-
-92M
21.37%
-139M
51.09%
-115M
17.27%
-123M
6.96%
-113M
8.13%
-115M
1.77%
-76M
33.91%
-35M
53.95%
-89M
154.29%
-143M
60.67%
acquisitions net
4M
-
12M
200%
-2.38B
19,950%
1.32B
155.46%
-81M
106.13%
-395M
387.65%
-6M
98.48%
-183M
2,950%
-83M
54.64%
3.72B
4,580.72%
718M
80.69%
purchases of investments
-10M
-
-19M
90%
-2M
89.47%
-2M
0%
-13M
550%
sales maturities of investments
10M
-
19M
90%
2M
89.47%
2M
0%
13M
550%
other investing activites
-17M
-
15M
188.24%
-4M
126.67%
-1M
75%
-5M
400%
-5M
0%
-10M
100%
19M
290%
-2M
110.53%
-2M
0%
-13M
550%
net cash used for investing activites
-130M
-
-65M
50%
-2.52B
3,784.62%
1.21B
147.72%
-209M
117.34%
-513M
145.45%
-131M
74.46%
-240M
83.21%
-120M
50%
3.63B
3,123.33%
562M
84.51%
debt repayment
-421M
-
-403M
-
-868M
115.38%
-1.39B
60.60%
-43M
96.92%
-3.73B
8,574.42%
-188M
94.96%
common stock issued
440M
-
432M
-
1.06B
145.37%
1.23B
16.13%
13M
98.94%
7M
46.15%
757M
10,714.29%
common stock repurchased
-978M
-
-362M
62.99%
-974M
169.06%
-1.12B
15.30%
-1.00B
10.86%
-1.66B
65.83%
-1.24B
25.30%
-1.16B
6.13%
-56M
95.19%
-12.00B
21,335.71%
-3.30B
72.50%
dividends paid
-308M
-
-326M
5.84%
-363M
11.35%
-380M
4.68%
-421M
10.79%
-503M
19.48%
-560M
11.33%
-645M
15.18%
-743M
15.19%
-1.02B
37.82%
-1.15B
12.01%
other financing activites
-457M
-
226M
149.45%
2.85B
1,159.73%
-116M
104.07%
-85M
26.72%
-154M
81.18%
-143M
7.14%
-194M
35.66%
-184M
5.15%
5.42B
3,048.37%
-401M
107.39%
net cash used provided by financing activities
-1.74B
-
-462M
73.49%
1.51B
426.84%
-1.60B
205.96%
-1.51B
5.81%
-2.29B
51.82%
-1.75B
23.47%
-2.17B
23.70%
-1.01B
53.23%
-11.33B
1,018.07%
-4.28B
62.21%
effect of forex changes on cash
-1M
-
-65M
6,400%
-67M
3.08%
-158M
135.82%
87M
155.06%
-84M
196.55%
34M
140.48%
75M
120.59%
-82M
209.33%
-123M
50%
12M
109.76%
net change in cash
782M
-
955M
22.12%
-1.02B
206.39%
911M
189.67%
387M
57.52%
-821M
312.14%
928M
213.03%
1.24B
33.19%
2.38B
92.80%
-5.22B
318.97%
4M
100.08%
cash at beginning of period
760M
-
1.54B
102.89%
2.50B
61.93%
1.48B
40.69%
2.39B
61.51%
2.78B
16.18%
1.96B
29.54%
2.89B
47.40%
4.12B
42.83%
6.50B
57.81%
1.29B
80.22%
cash at end of period
1.54B
-
2.50B
61.93%
1.48B
40.69%
2.39B
61.51%
2.78B
16.18%
1.96B
29.54%
2.89B
47.40%
4.12B
42.83%
6.50B
57.81%
1.29B
80.22%
1.29B
0.31%
operating cash flow
816M
-
1.21B
48.16%
195M
83.87%
1.46B
650.77%
2.02B
37.70%
2.06B
2.38%
2.78B
34.50%
3.57B
28.49%
3.60B
0.87%
2.60B
27.65%
3.71B
42.53%
capital expenditure
-117M
-
-92M
21.37%
-139M
51.09%
-115M
17.27%
-123M
6.96%
-113M
8.13%
-115M
1.77%
-76M
33.91%
-35M
53.95%
-89M
154.29%
-143M
60.67%
free cash flow
699M
-
1.12B
59.80%
56M
94.99%
1.35B
2,308.93%
1.89B
40.33%
1.95B
3.06%
2.66B
36.39%
3.49B
31.19%
3.56B
2.06%
2.51B
29.44%
3.57B
41.89%

All numbers in (except ratios and percentages)