MetaCap

Moody's (MCO) vs S&P Global (SPGI)

Head-to-head comparison of performance, valuation, growth, profitability and dividends. Prices delayed 15 minutes; data as of Oct 7, 2026.

Summary

Moody's (MCO) has outperformed S&P Global (SPGI) over the past year, losing 7.9% versus a loss of 13.4%. Over five years, MCO leads with a +21.1% price change compared with -5.9% for SPGI. S&P Global is the larger company by market cap ($116.50 billion vs $77.87 billion), about 1.5 times the size, while Moody's is growing revenue faster (+8.9% vs +7.9%).

On valuation, S&P Global trades at a lower forward P/E (19.6x vs 23.8x for Moody's). S&P Global offers the higher dividend yield (0.98% vs 0.88%). Moody's converts more of its revenue into profit, with a net margin of 31.9% versus 29.2%.

Summary generated from market data by MetaCap's automated system. Methodology

Relative performance

MCO-7.94%SPGI-13.40%
+15%-3%-20%
Oct 7, 20251 yearOct 7, 2026
MCO+24.11%SPGI-2.80%
+53%+7%-39%
Oct 4, 20215 yearsOct 5, 2026

Percent change in share price from the first common trading day shown; excludes dividends.

Head-to-head

MCO versus SPGI key metrics
MetricMCOSPGI
Share price$449.63$395.18
Market cap$77.87B$116.50B
1-day change-0.59%-0.24%
YTD return-11.98%-20.25%
1-year return-7.94%-13.40%
5-year return+21.14%-5.91%
P/E ratio (TTM)28.5324.05
Forward P/E23.7519.58
EPS (TTM)$15.76$16.43
Dividend yield0.88%0.98%
Annual dividend$3.94$3.86
Revenue (latest FY)$7.72B$15.34B
Revenue growth (YoY)+8.89%+7.94%
Net income (latest FY)$2.46B$4.47B
Gross margin74.44%70.25%
Operating margin43.42%42.24%
Net margin31.86%29.15%
52-week high$546.88$522.47
52-week low$402.28$361.03
Distance from 52-week high-17.78%-24.36%
Analyst consensusbuystrong_buy
Avg. price target upside+24.52%+31.21%
Average volume791.99K1.92M
Shares outstanding173.18M294.80M
Employees16,00044,500
SectorFinanceFinance
IndustryFinance: Consumer ServicesFinance: Consumer Services

Highlighted cells mark the higher value for growth, returns, margins and yield, and the lower value for P/E ratios. Highlighting is a mechanical comparison, not a recommendation.

About Moody's

MCO stock →

Moody's Corporation, together with its subsidiaries, operates as an integrated risk assessment firm in the United States, the rest of the Americas, Europe, the Middle East, Africa, and the Asia Pacific. It operates through two segments, Moody's Analytics (MA) and Moody's Investors Service (MIS).

Finance · Finance: Consumer Services · 16,000 employees

About S&P Global

SPGI stock →

S&P Global Inc., together with its subsidiaries, provides benchmarks, data, analytics, and workflow solutions in the global capital, energy and commodity, and automotive markets. It operates through four segments: S&P Global Market Intelligence, S&P Global Ratings, S&P Global Energy, and S&P Dow Jones Indices.

Finance · Finance: Consumer Services · 44,500 employees

MCO vs SPGI FAQ

Which is bigger, Moody's or S&P Global?

S&P Global (SPGI) is larger, with a market capitalization of $116.50B compared with $77.87B for Moody's (MCO).

Which stock has performed better over the past year, MCO or SPGI?

MCO returned -7.94% over the past 12 months, compared with -13.40% for SPGI (price return, excluding dividends). Past performance does not predict future results.

Which has the lower P/E ratio, MCO or SPGI?

SPGI has the lower trailing P/E at 24.1, versus 28.5 for MCO. A lower P/E is not by itself a sign of a better investment; it can reflect slower expected growth or higher risk.

Which pays a higher dividend, Moody's or S&P Global?

S&P Global has the higher yield at 0.98%, compared with 0.88% for Moody's.

Are Moody's and S&P Global in the same industry?

Yes. Both are classified in the Finance: Consumer Services industry within the Finance sector.

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