S&P Global Inc
S&P Global Inc., together with its subsidiaries, provides ratings, benchmarks, analytics, and data to the capital and commodity markets worldwide. The company operates through four segments: S&P Global Ratings (Ratings), S&P Global Market Intelligence (Market Intelligence), S&P Global Platts (Platts), and S&P Dow Jones Indices (Indices). The Ratings segment offers credit ratings, research, and analytics to investors, corporations, governments, municipalities, commercial and investment banks, insurance companies, asset managers, and other debt issuers. The Market Intelligence segment provides multi-asset-class data, research, and analytical capabilities, which integrate cross-asset analytics and desktop services to investment managers, investment banks, private equity firms, insurance companies, commercial banks, corporations, professional services firms, government agencies, and regulators. The Platts segment offers essential price data, analytics, and industry insights for the commodity and energy markets. It serves producers, traders, and intermediaries within the energy, petrochemicals, metals, and agriculture markets. The Indices segment provides index that maintains various valuation and index benchmarks for investment advisors, wealth managers, and institutional investors. The company also offers analytics, artificial intelligence, machine learning, and data visualization systems to Wall Street's premier global banks and investment institutions, as well as the National Security community; subscription and custom reports on bank deposits, loans, fees and other product data to the financial services industry; and insights on global supply chains. The company was formerly known as McGraw Hill Financial, Inc. and changed its name to S&P Global Inc. in April 2016. S&P Global Inc. was founded in 1860 and is headquartered in New York, New York. Show More...
-
Website http://www.spglobal.com
-
Sector Financial Services
-
Industry Financial Data & Stock Exchanges
-
Dividend Yield 0.90 %
-
Last Quote 342.42 USD
-
Last Updated 20-05-2022
-
External Links Yahoo Finance Morningstar Ratios
-
-
Dividend Distributions
Ex-Dividend Amount 09-02-2022 0.770 24-11-2021 0.770 25-08-2021 0.770 25-05-2021 0.770 23-02-2021 0.770 24-11-2020 0.670 25-08-2020 0.670 26-05-2020 0.670 25-02-2020 0.670 25-11-2019 0.570 26-08-2019 0.570 28-05-2019 0.570 25-02-2019 0.570 27-11-2018 0.500 27-08-2018 0.500 25-05-2018 0.500 23-02-2018 0.500 27-11-2017 0.410 24-08-2017 0.410 24-05-2017 0.410 22-02-2017 0.410 23-11-2016 0.360 24-08-2016 0.360 24-05-2016 0.360 23-02-2016 0.360 23-11-2015 0.330 24-08-2015 0.330 22-05-2015 0.330 23-02-2015 0.330 21-11-2014 0.300 22-08-2014 0.300 23-05-2014 0.300 24-02-2014 0.300 22-11-2013 0.280 23-08-2013 0.280 24-05-2013 0.280 22-02-2013 0.280 14-12-2012 2.500 26-11-2012 0.255 24-08-2012 0.255 24-05-2012 0.255 23-02-2012 0.255 23-11-2011 0.250 24-08-2011 0.250 24-05-2011 0.250 22-02-2011 0.250 23-11-2010 0.235 24-08-2010 0.235 24-05-2010 0.235 22-02-2010 0.235 23-11-2009 0.225 24-08-2009 0.225 22-05-2009 0.225 23-02-2009 0.225 21-11-2008 0.220 22-08-2008 0.220 23-05-2008 0.220 25-02-2008 0.220 26-11-2007 0.205 24-08-2007 0.205 24-05-2007 0.205 22-02-2007 0.205 24-11-2006 0.182 24-08-2006 0.182 24-05-2006 0.182 22-02-2006 0.182 23-11-2005 0.165 24-08-2005 0.165 24-05-2005 0.165 22-02-2005 0.165 23-11-2004 0.150 24-08-2004 0.150 24-05-2004 0.150 23-02-2004 0.150 21-11-2003 0.135 22-08-2003 0.135 23-05-2003 0.135 24-02-2003 0.135 22-11-2002 0.128 23-08-2002 0.128 24-05-2002 0.128 22-02-2002 0.128 26-11-2001 0.123 24-08-2001 0.123 24-05-2001 0.123 22-02-2001 0.123 24-11-2000 0.118 24-08-2000 0.118 24-05-2000 0.118 23-02-2000 0.118 23-11-1999 0.108 24-08-1999 0.108 24-05-1999 0.108 22-02-1999 0.098 23-11-1998 0.098 24-08-1998 0.098 12-08-1998 0.098 22-05-1998 0.098 23-02-1998 0.098 21-11-1997 0.090 22-08-1997 0.090 23-05-1997 0.090 24-02-1997 0.090 22-11-1996 0.083 23-08-1996 0.083 24-05-1996 0.083 23-02-1996 0.083 24-11-1995 0.075 24-08-1995 0.075 22-05-1995 0.075 17-02-1995 0.075 21-11-1994 0.073 22-08-1994 0.073 20-05-1994 0.073 17-02-1994 0.073 19-11-1993 0.071 20-08-1993 0.071 20-05-1993 0.071 18-02-1993 0.071 19-11-1992 0.070 20-08-1992 0.070 20-05-1992 0.070 20-02-1992 0.070 20-11-1991 0.069 21-08-1991 0.069 22-05-1991 0.069 20-02-1991 0.069 21-11-1990 0.068 22-08-1990 0.068 22-05-1990 0.068 20-02-1990 0.068 21-11-1989 0.063 31-10-1989 0.006 22-08-1989 0.063 22-05-1989 0.063 17-02-1989 0.063 21-11-1988 0.058 22-08-1988 0.058 20-05-1988 0.058 19-02-1988 0.058 19-11-1987 0.053 20-08-1987 0.053 20-05-1987 0.053 19-02-1987 0.053 18-11-1986 0.048 20-08-1986 0.048 21-05-1986 0.048 20-02-1986 0.048 20-11-1985 0.044 21-08-1985 0.044