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S&P Global Inc. (SPGI) Net Profit Margin: 30.37%

Is S&P Global Inc.’s net profit margin high or low?

S&P Global Inc.'s net profit margin of 30.37% is in line with its 5-year average of 29.03%, around the middle of its 5-year range (21.01%–36.45%).

As of Thursday, June 11, 2026. 7.96% above its 12-month average of 28.13%.

SPGI Net Profit Margin Chart

SPGI Net Profit Margin
29.15%+7.52% 1Y
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SPGI Average Net Profit Margin Chart

SPGI Current vs Average Net Profit Margin Chart

SPGI Net Profit Margin Metrics

NET PROFIT MARGIN

30.37%

NET PROFIT MARGIN AVG TTM

28.13%

NET PROFIT MARGIN AVG 3Y

26.58%

NET PROFIT MARGIN AVG 5Y

29.03%

NET PROFIT MARGIN AVG 10Y

29.16%

NET PROFIT MARGIN AVG 15Y

24.04%

NET PROFIT MARGIN AVG 20Y

21.55%

CURRENT VS TTM AVG

+7.96%

CURRENT VS 3Y AVG

+14.26%

CURRENT VS 5Y AVG

+4.60%

CURRENT VS 10Y AVG

+4.13%

CURRENT VS 15Y AVG

+26.35%

CURRENT VS 20Y AVG

+40.92%

SPGI Competitors' Net Profit Margin

NAMEMARKET CAPNET PROFIT MARGINTTM3Y5Y
S&P Global Inc. (SPGI)$122.45B30.37%28.13%26.58%29.03%
The Progressive Corporation (PGR)$119.38B12.93%12.08%7.98%8.72%
Chubb Limited (CB)$128.22B18.48%16.88%16.00%15.78%
CME Group Inc. (CME)$96.38B62.77%59.77%57.75%55.05%
Marsh & McLennan Companies, Inc. (MMC)$89.82B14.26%16.01%15.82%15.14%
The Charles Schwab Corporation (SCHW)$155.20B33.26%27.42%26.72%27.49%
BlackRock, Inc. (BLK)$156.08B24.33%27.07%28.48%29.14%
Robinhood Markets, Inc. (HOOD)$80.54B41.12%44.95%-3.70%-36.20%
Intercontinental Exchange, Inc. (ICE)$79.15B29.98%24.78%22.12%26.35%
iShares Russell 2000 ETF (IWM)$78.16BN/AN/AN/AN/A

Margin Comparison

Operating Margin

43.9%

Net Profit Margin

30.4%

S&P Global Inc. Net Profit Margin Formula & Definition

Net Profit Margin = Net Income / Revenue

Net profit margin is the percentage of revenue that becomes net income after all expenses, taxes, and interest.

Expanded definitions: Investopedia, Wikipedia, Corporate Finance Institute

S&P Global Inc. Net Profit Margin FAQ

What is the net profit margin for S&P Global Inc. (SPGI)?
The net profit margin for SPGI stock is 30.37%.
Is S&P Global Inc.'s net profit margin high or low?
S&P Global Inc.'s net profit margin of 30.37% is in line with its 5-year average of 29.03%, around the middle of its 5-year range (21.01%–36.45%).
What is the TTM average net profit margin for S&P Global Inc. (SPGI)?
The TTM average net profit margin for SPGI stock is 28.13%.
What is the 3Y average net profit margin for S&P Global Inc. (SPGI)?
The 3Y average net profit margin for SPGI stock is 26.58%.
What is the 5Y average net profit margin for S&P Global Inc. (SPGI)?
The 5Y average net profit margin for SPGI stock is 29.03%.
What is the 10Y average net profit margin for S&P Global Inc. (SPGI)?
The 10Y average net profit margin for SPGI stock is 29.16%.
What is the 15Y average net profit margin for S&P Global Inc. (SPGI)?
The 15Y average net profit margin for SPGI stock is 24.04%.
What is the 20Y average net profit margin for S&P Global Inc. (SPGI)?
The 20Y average net profit margin for SPGI stock is 21.55%.

S&P Global Inc. Net Profit Margin History

DATENET PROFIT MARGIN
2025-12-3129.15%
2024-12-3127.11%
2023-12-3121.01%
2022-12-3129.05%
2021-12-3136.45%
2020-12-3131.43%
2019-12-3131.69%
2018-12-3131.29%
2017-12-3124.67%
2016-12-3137.20%
2015-12-3121.76%
2014-12-31-2.28%
2013-12-3128.23%
2012-12-319.82%
2011-12-3114.59%
2010-12-3113.42%
2009-12-3112.27%
2008-12-3112.58%
2007-12-3114.97%
2006-12-3114.10%
2005-12-3114.06%
2004-12-3114.40%
2003-12-3114.24%
2002-12-3112.05%
2001-12-318.12%
2000-12-319.43%
1999-12-3110.67%
1998-12-318.94%
1997-12-318.23%
1996-12-3116.12%

About S&P Global Inc.

S&P Global Inc., through its affiliated entities, delivers crucial services like credit assessments, market benchmarks, advanced analytics, and comprehensive workflow tools. Their reach extends across the worldwide capital, commodity, and automotive industries. The company is structured into six key operating segments: S&P Global Ratings, S&P Dow Jones Indices, S&P Global Commodity Insights, S&P Global Market Intelligence, S&P Global Mobility, and S&P Global Engineering Solutions. S&P Global Ratings functions as an independent authority, supplying credit assessments, research, and analytical insights. It equips investors and other market players with essential data, ratings, and comparative metrics. S&P Dow Jones Indices specializes in crafting and upholding diverse valuation and index benchmarks. These are vital resources for investment advisors, wealth managers, and large institutional investors. S&P Global Commodity Insights delivers critical data and intelligence pertaining to global energy and commodity markets, empowering clients to make informed decisions. S&P Global Market Intelligence provides advanced data and technological tools, furnishing customers with insights crucial for strategic choices. Its extensive portfolio encompasses end-to-end workflow solutions, addressing areas such as capital structuring, data dissemination, ESG practices, leveraged finance, private equity, industry-specific analysis, supply chain management, issuer support, and comprehensive credit, risk, and regulatory compliance solutions. S&P Global Mobility leverages unparalleled automotive data to generate foresight, helping clients foresee market shifts and execute sound business decisions. S&P Global Engineering Solutions supplies specialized engineering knowledge and remedies across various sectors, including aerospace, defense, energy, architecture, construction, and transportation. Its offerings enable both business and technical leaders to optimize processes and make effective determinations. Established in 1860, S&P Global Inc. maintains its primary corporate offices in New York, New York.

New York City, NY
42,350 employees
Financial Services / Financial - Data & Stock Exchanges
Sector
Financial Services
Industry
Financial - Data & Stock Exchanges
CEO
Martina L. Cheung