Financhill
Buy
68

MSCI Quote, Financials, Valuation and Earnings

Last price:
$576.91
Seasonality move :
5.86%
Day range:
$568.14 - $577.50
52-week range:
$478.33 - $642.45
Dividend yield:
1.18%
P/E ratio:
39.62x
P/S ratio:
15.49x
P/B ratio:
--
Volume:
879.9K
Avg. volume:
495.4K
1-year change:
18.41%
Market cap:
$44.6B
Revenue:
$2.9B
EPS (TTM):
$14.55

Price Performance History

Performance vs. Valuation Benchmarks

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Competitors

Company Revenue Forecast Earnings Forecast Revenue Growth Forecast Earnings Growth Forecast Analyst Price Target Median
MSCI
MSCI
$773.2M $4.26 7.64% 21.53% $614.53
CME
CME Group
$1.6B $2.79 9.35% 22.71% $271.59
MCO
Moodys
$1.9B $3.44 0.15% 8.83% $502.90
MORN
Morningstar
$607.5M $2.35 5.94% 38.29% $338.33
NDAQ
Nasdaq
$1.2B $0.78 -29.86% 107.64% $84.83
VALU
Value Line
-- -- -- -- --
Company Price Analyst Target Market Cap P/E Ratio Dividend per Share Dividend Yield Price / LTM Sales
MSCI
MSCI
$576.41 $614.53 $44.6B 39.62x $1.80 1.18% 15.49x
CME
CME Group
$274.76 $271.59 $99B 27.64x $1.25 3.86% 15.74x
MCO
Moodys
$488.03 $502.90 $87.8B 42.14x $0.94 0.73% 12.29x
MORN
Morningstar
$313.01 $338.33 $13.2B 35.17x $0.46 0.55% 5.83x
NDAQ
Nasdaq
$89.08 $84.83 $51.1B 40.49x $0.27 1.11% 6.61x
VALU
Value Line
$38.26 -- $360.2M 16.78x $0.33 3.2% 10.10x
Company Total Debt / Total Capital Beta Debt to Equity Quick Ratio
MSCI
MSCI
126.71% 0.784 10.36% 0.75x
CME
CME Group
11.23% -0.019 3.58% 0.02x
MCO
Moodys
64.84% 1.456 8.14% 1.39x
MORN
Morningstar
33.31% 1.101 6.31% 1.00x
NDAQ
Nasdaq
44.68% 1.585 21.42% 0.44x
VALU
Value Line
-- 0.046 0.76% 3.39x
Company Gross Profit Operating Income Return on Invested Capital Return on Common Equity EBIT Margin Free Cash Flow
MSCI
MSCI
$609M $377M 30.82% -- 50.62% $268.9M
CME
CME Group
$1.4B $1.1B 11.8% 13.28% 78.34% $1.1B
MCO
Moodys
$1.4B $881M 19.14% 54.49% 46.21% $672M
MORN
Morningstar
$350.5M $114.1M 16.24% 25.24% 20.18% $58.8M
NDAQ
Nasdaq
$816M $576M 6.14% 11.5% 27.75% $614M
VALU
Value Line
$5.3M $1.6M 22.91% 22.91% 17.44% $6.7M

MSCI vs. Competitors

  • Which has Higher Returns MSCI or CME?

    CME Group has a net margin of 38.7% compared to MSCI's net margin of 58.22%. MSCI's return on equity of -- beat CME Group's return on equity of 13.28%.

    Company Gross Margin Earnings Per Share Invested Capital
    MSCI
    MSCI
    81.66% $3.71 $3.6B
    CME
    CME Group
    87.41% $2.62 $30.5B
  • What do Analysts Say About MSCI or CME?

    MSCI has a consensus price target of $614.53, signalling upside risk potential of 6.61%. On the other hand CME Group has an analysts' consensus of $271.59 which suggests that it could fall by -1.15%. Given that MSCI has higher upside potential than CME Group, analysts believe MSCI is more attractive than CME Group.

    Company Buy Ratings Hold Ratings Sell Ratings
    MSCI
    MSCI
    7 6 0
    CME
    CME Group
    4 7 0
  • Is MSCI or CME More Risky?

    MSCI has a beta of 1.328, which suggesting that the stock is 32.817% more volatile than S&P 500. In comparison CME Group has a beta of 0.451, suggesting its less volatile than the S&P 500 by 54.901%.

  • Which is a Better Dividend Stock MSCI or CME?

    MSCI has a quarterly dividend of $1.80 per share corresponding to a yield of 1.18%. CME Group offers a yield of 3.86% to investors and pays a quarterly dividend of $1.25 per share. MSCI pays 45.9% of its earnings as a dividend. CME Group pays out 101.66% of its earnings as a dividend. MSCI's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future, but CME Group's is not.

  • Which has Better Financial Ratios MSCI or CME?

    MSCI quarterly revenues are $745.8M, which are smaller than CME Group quarterly revenues of $1.6B. MSCI's net income of $288.6M is lower than CME Group's net income of $956.2M. Notably, MSCI's price-to-earnings ratio is 39.62x while CME Group's PE ratio is 27.64x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for MSCI is 15.49x versus 15.74x for CME Group. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    MSCI
    MSCI
    15.49x 39.62x $745.8M $288.6M
    CME
    CME Group
    15.74x 27.64x $1.6B $956.2M
  • Which has Higher Returns MSCI or MCO?

    Moodys has a net margin of 38.7% compared to MSCI's net margin of 32.48%. MSCI's return on equity of -- beat Moodys's return on equity of 54.49%.

    Company Gross Margin Earnings Per Share Invested Capital
    MSCI
    MSCI
    81.66% $3.71 $3.6B
    MCO
    Moodys
    74.48% $3.46 $10.7B
  • What do Analysts Say About MSCI or MCO?

    MSCI has a consensus price target of $614.53, signalling upside risk potential of 6.61%. On the other hand Moodys has an analysts' consensus of $502.90 which suggests that it could grow by 3.05%. Given that MSCI has higher upside potential than Moodys, analysts believe MSCI is more attractive than Moodys.

    Company Buy Ratings Hold Ratings Sell Ratings
    MSCI
    MSCI
    7 6 0
    MCO
    Moodys
    10 11 0
  • Is MSCI or MCO More Risky?

    MSCI has a beta of 1.328, which suggesting that the stock is 32.817% more volatile than S&P 500. In comparison Moodys has a beta of 1.385, suggesting its more volatile than the S&P 500 by 38.473%.

  • Which is a Better Dividend Stock MSCI or MCO?

    MSCI has a quarterly dividend of $1.80 per share corresponding to a yield of 1.18%. Moodys offers a yield of 0.73% to investors and pays a quarterly dividend of $0.94 per share. MSCI pays 45.9% of its earnings as a dividend. Moodys pays out 30.13% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios MSCI or MCO?

    MSCI quarterly revenues are $745.8M, which are smaller than Moodys quarterly revenues of $1.9B. MSCI's net income of $288.6M is lower than Moodys's net income of $625M. Notably, MSCI's price-to-earnings ratio is 39.62x while Moodys's PE ratio is 42.14x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for MSCI is 15.49x versus 12.29x for Moodys. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    MSCI
    MSCI
    15.49x 39.62x $745.8M $288.6M
    MCO
    Moodys
    12.29x 42.14x $1.9B $625M
  • Which has Higher Returns MSCI or MORN?

    Morningstar has a net margin of 38.7% compared to MSCI's net margin of 13.49%. MSCI's return on equity of -- beat Morningstar's return on equity of 25.24%.

    Company Gross Margin Earnings Per Share Invested Capital
    MSCI
    MSCI
    81.66% $3.71 $3.6B
    MORN
    Morningstar
    60.23% $1.82 $2.4B
  • What do Analysts Say About MSCI or MORN?

    MSCI has a consensus price target of $614.53, signalling upside risk potential of 6.61%. On the other hand Morningstar has an analysts' consensus of $338.33 which suggests that it could grow by 8.09%. Given that Morningstar has higher upside potential than MSCI, analysts believe Morningstar is more attractive than MSCI.

    Company Buy Ratings Hold Ratings Sell Ratings
    MSCI
    MSCI
    7 6 0
    MORN
    Morningstar
    1 1 0
  • Is MSCI or MORN More Risky?

    MSCI has a beta of 1.328, which suggesting that the stock is 32.817% more volatile than S&P 500. In comparison Morningstar has a beta of 1.019, suggesting its more volatile than the S&P 500 by 1.868%.

  • Which is a Better Dividend Stock MSCI or MORN?

    MSCI has a quarterly dividend of $1.80 per share corresponding to a yield of 1.18%. Morningstar offers a yield of 0.55% to investors and pays a quarterly dividend of $0.46 per share. MSCI pays 45.9% of its earnings as a dividend. Morningstar pays out 18.74% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios MSCI or MORN?

    MSCI quarterly revenues are $745.8M, which are larger than Morningstar quarterly revenues of $581.9M. MSCI's net income of $288.6M is higher than Morningstar's net income of $78.5M. Notably, MSCI's price-to-earnings ratio is 39.62x while Morningstar's PE ratio is 35.17x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for MSCI is 15.49x versus 5.83x for Morningstar. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    MSCI
    MSCI
    15.49x 39.62x $745.8M $288.6M
    MORN
    Morningstar
    5.83x 35.17x $581.9M $78.5M
  • Which has Higher Returns MSCI or NDAQ?

    Nasdaq has a net margin of 38.7% compared to MSCI's net margin of 18.9%. MSCI's return on equity of -- beat Nasdaq's return on equity of 11.5%.

    Company Gross Margin Earnings Per Share Invested Capital
    MSCI
    MSCI
    81.66% $3.71 $3.6B
    NDAQ
    Nasdaq
    39.04% $0.68 $20.9B
  • What do Analysts Say About MSCI or NDAQ?

    MSCI has a consensus price target of $614.53, signalling upside risk potential of 6.61%. On the other hand Nasdaq has an analysts' consensus of $84.83 which suggests that it could fall by -4.77%. Given that MSCI has higher upside potential than Nasdaq, analysts believe MSCI is more attractive than Nasdaq.

    Company Buy Ratings Hold Ratings Sell Ratings
    MSCI
    MSCI
    7 6 0
    NDAQ
    Nasdaq
    6 5 0
  • Is MSCI or NDAQ More Risky?

    MSCI has a beta of 1.328, which suggesting that the stock is 32.817% more volatile than S&P 500. In comparison Nasdaq has a beta of 1.004, suggesting its more volatile than the S&P 500 by 0.362%.

  • Which is a Better Dividend Stock MSCI or NDAQ?

    MSCI has a quarterly dividend of $1.80 per share corresponding to a yield of 1.18%. Nasdaq offers a yield of 1.11% to investors and pays a quarterly dividend of $0.27 per share. MSCI pays 45.9% of its earnings as a dividend. Nasdaq pays out 48.43% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios MSCI or NDAQ?

    MSCI quarterly revenues are $745.8M, which are smaller than Nasdaq quarterly revenues of $2.1B. MSCI's net income of $288.6M is lower than Nasdaq's net income of $395M. Notably, MSCI's price-to-earnings ratio is 39.62x while Nasdaq's PE ratio is 40.49x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for MSCI is 15.49x versus 6.61x for Nasdaq. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    MSCI
    MSCI
    15.49x 39.62x $745.8M $288.6M
    NDAQ
    Nasdaq
    6.61x 40.49x $2.1B $395M
  • Which has Higher Returns MSCI or VALU?

    Value Line has a net margin of 38.7% compared to MSCI's net margin of 57.58%. MSCI's return on equity of -- beat Value Line's return on equity of 22.91%.

    Company Gross Margin Earnings Per Share Invested Capital
    MSCI
    MSCI
    81.66% $3.71 $3.6B
    VALU
    Value Line
    59.6% $0.55 $99M
  • What do Analysts Say About MSCI or VALU?

    MSCI has a consensus price target of $614.53, signalling upside risk potential of 6.61%. On the other hand Value Line has an analysts' consensus of -- which suggests that it could fall by --. Given that MSCI has higher upside potential than Value Line, analysts believe MSCI is more attractive than Value Line.

    Company Buy Ratings Hold Ratings Sell Ratings
    MSCI
    MSCI
    7 6 0
    VALU
    Value Line
    0 0 0
  • Is MSCI or VALU More Risky?

    MSCI has a beta of 1.328, which suggesting that the stock is 32.817% more volatile than S&P 500. In comparison Value Line has a beta of 1.073, suggesting its more volatile than the S&P 500 by 7.341%.

  • Which is a Better Dividend Stock MSCI or VALU?

    MSCI has a quarterly dividend of $1.80 per share corresponding to a yield of 1.18%. Value Line offers a yield of 3.2% to investors and pays a quarterly dividend of $0.33 per share. MSCI pays 45.9% of its earnings as a dividend. Value Line pays out 55.54% of its earnings as a dividend. Both of these payout ratios are sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios MSCI or VALU?

    MSCI quarterly revenues are $745.8M, which are larger than Value Line quarterly revenues of $9M. MSCI's net income of $288.6M is higher than Value Line's net income of $5.2M. Notably, MSCI's price-to-earnings ratio is 39.62x while Value Line's PE ratio is 16.78x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for MSCI is 15.49x versus 10.10x for Value Line. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    MSCI
    MSCI
    15.49x 39.62x $745.8M $288.6M
    VALU
    Value Line
    10.10x 16.78x $9M $5.2M

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