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HALAL TRADING ROOM Sharia-screened signals
TERMINAL
SP

SPGIStockS&P Global Inc

New York Stock Exchange · Financials · US

$386.27
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Alert

Verdicts genuinely change. Free email alert the moment SPGI's does — no target price to set, unlike "Alert" above.

Sharia status
COMPLIANT
Per our secondary compliance provider · assessed 2026-07-31
7 of 7 pass our own screen — all 7 agree here
HTR non-permissible income 0.30%
🕌Open research, not a fatwa — verify with your own scholar.

Trade setup

Whether the technical picture shows an edge right now. Separate from the Sharia verdict, which this side never overrides.

SEPARATE FROM SHARIAH
🟠 NOT YET
The main driver: lagging the market by 14.1%. More negatives than positives right now. The setup isn't ready — check...
Scores: 1 bullish / 2 bearish
40
of 100
Setup confidence — system conviction, not win probabilityD

Trade plan

Posted with a stop, a target and the level that invalidates it. It resolves into the public record either way.

MEAN_REVERSION
Entry
$385.97
Stop
$381.01
Target
$394.86
Risk : Reward 1.8R

Why this signal?

The factors behind the read, each shown with the figure it rests on, including the ones pointing the other way.

Structure2 of 5 timeframes bullish · 87.0% aligned
VWAPPrice below VWAP ($391.42)
VolumeRelative volume 4.7× the 20-day average
Momentum10-day rate of change -4.8%
Overall readNOT YET

S&P Global Inc (SPGI) is currently considered halal (Sharia-compliant), per our secondary compliance provider (last assessed 2026-07-31). See the full ratio breakdown and business-activity screen below for the reasoning.

This sits among 48 compliant Financials stocks we track. See compliant Financials stocks →

Market & analysts
Wall Street consensus
BUY
34 analysts
Institutional own.
91.0%
of shares
Momentum (10d)
-4.8%
rate of change
SMC grade
D · 40
87.0% aligned
0.30%
Non-permissible income — HTR, from filings (2026-03-31)
D · 40
SMC grade — 87.0% timeframe alignment
-4.8%
Rate of change (10d)
BUY
Wall Street consensus (34)
91.0%
Institutional ownership

🕌 In-house Compliance Research

Computed from published company financials, balance sheet as of 2026-03-31. SPGI files no SEC reports, so these ratios come from the issuer's own published statements rather than XBRL.

Business activity: cleared (no excluded categories detected)

AAOIFI Pass

RatioValueThresholdResult
Interest-bearing debt 10.63% 30.00% Pass
Interest-bearing investments 1.43% 30.00% Pass
Non-permissible income 0.30% 5.00% Pass

Usmani Pass

RatioValueThresholdResult
Interest-bearing debt 22.86% 33.00% Pass
Interest-bearing investments 3.07% 33.00% Pass
Non-liquid assets 91.18% at least 20.00% Pass
Non-permissible income 0.30% 5.00% Pass

MSCI Pass

RatioValueThresholdResult
Interest-bearing debt 22.86% 33.33% Pass
Cash + interest-bearing securities 3.07% 33.33% Pass
Accounts receivable 8.82% 33.33% Pass
Non-permissible income 0.30% 5.00% Pass

FTSE Pass

RatioValueThresholdResult
Interest-bearing debt 21.91% 33.33% Pass
Cash + interest-bearing securities 3.07% 33.33% Pass
Accounts receivable 8.82% 50.00% Pass
Non-permissible income 0.30% 5.00% Pass

Dow Jones Islamic Market Pass

Scored against a trailing-average market cap (24-month), share-weighted by the issuer's own reported share counts — not today's market cap.

RatioValueThresholdResult
Interest-bearing debt 9.03% 33.00% Pass
Cash + interest-bearing securities 1.21% 33.00% Pass
Accounts receivable 2.27% 33.00% Pass
Non-permissible income 0.30% 5.00% Pass

S&P Shariah Pass

Scored against a trailing-average market cap (36-month), share-weighted by the issuer's own reported share counts — not today's market cap.

RatioValueThresholdResult
Interest-bearing debt 9.37% 33.00% Pass
Cash + interest-bearing securities 1.26% 49.00% Pass
Accounts receivable 2.35% 49.00% Pass
Non-permissible income 0.30% 5.00% Pass

MSCI M-Series Pass

Scored against a trailing-average market cap (36-month), share-weighted by the issuer's own reported share counts — not today's market cap.

RatioValueThresholdResult
Interest-bearing debt 9.37% 33.33% Pass
Cash + interest-bearing securities 1.26% 33.33% Pass
Accounts receivable 3.61% 49.00% Pass
Non-permissible income 0.30% 5.00% Pass

Research only, not investment advice. Thresholds are each standard-setter's published limits; a ratio marked “at least” is a floor, not a ceiling.

The numbers the ratios are built from

Read from SPGI's own filings. Every percentage on this page is one of these lines divided by another, so the inputs are shown rather than asserted.

LineFigureAs reportedRead from
RevenueTotal revenue for the period $15.3B 2026-03-31 RevenueFromContractWithCustomerExcludingAssessedTax
Interest-bearing debtShort and long-term borrowings $13.3B 2026-03-31 LongTermDebtNoncurrent, DebtCurrent
Cash and interest-bearing securitiesCash, equivalents and marketable securities $1.9B 2026-03-31 CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents, ShortTermInvestments
Total assetsBalance sheet total $60.8B 2026-03-31 Assets
Market capDenominator for AAOIFI $130.7B live quote price x shares
36-month average market capDenominator for S&P Shariah and MSCI M-Series $142.2B 756 trading days closes x shares
24-month average market capDenominator for Dow Jones Islamic Market $147.5B 504 trading days closes x shares
Non-permissible revenueInterest and excluded income $46.0M 2026-03-31 10-K text (no XBRL tag available)

Two dates, not one: a balance-sheet line and an income-statement line cover different windows by design, so each figure carries its own.

What changed, and when

Verdict history for SPGI. A verdict that never moved is recorded too, so a quiet history reads as measured rather than missing.

  • 2026-09-07 No change recorded No verdict change for SPGI has been recorded since tracking began. The scan ledger records that the compliance detectors ran, not which symbols each pass covered.

Tracked since 2026-09-07.

Tracked investors holding SPGI
InvestorFirmPositionWeightAs of
Ray Dalio Bridgewater Associates $39M 0.2% 2026-06-30
Ken Fisher Fisher Asset Management $4M 0.0% 2026-06-30
Azzad Asset Management Azzad Asset Management $3M 0.2% 2026-06-30
Dodge & Cox Dodge & Cox $2M 0.0% 2026-06-30

From the most recent 13F on file. A 13F reports long US equity positions quarterly and in arrears — it is what a manager held on the report date, not what they hold today.

513.34476.79440.24403.70367.152025-10-062026-04-072026-10-02

Pinch or scroll to zoom · drag to pan — both axes move · double-click to reset

Support & Resistance
S3
367.49
S2
376.68
S1
382.42
PIVOT
391.61
R1
397.35
R2
406.54
R3
412.28

Classic floor-trader pivots from the last completed daily bar. Highlighted pills are the levels bracketing the current price.

Price Forecast

The range is measured volatility (ATR over the horizon), not a target — a wider band means a more volatile asset, not a stronger view. The direction is the indicator tally below. Every forecast is recorded when made and scored against the real price when it comes due, including the wrong ones. Not a recommendation, and not a fatwa.

7-day expected range
378.66 – 427.94
±6.11% from 403.30, made 2026-09-26 · resolves 2026-10-03
STRONG SELL
from 19 indicators
61.5% of our last 5668 forecasts landed inside their stated range, and 49.8% called the direction correctly.

Technical Summary

Standard indicator thresholds (RSI 30/70, Stochastic 20/80, CCI ±100, Williams %R −80/−20, MACD histogram sign, price vs. average) computed on daily bars. A summary of what common indicators say — not a recommendation, and not this site's own trading verdict.

STRONG SELL
19 indicators
OscillatorsNEUTRAL
3 buy · 1 neutral · 3 sell
Moving averagesSTRONG SELL
0 buy · 0 neutral · 12 sell
Every indicator, and what it reads
IndicatorValueSignal
RSI (14)31.90NEUTRAL
Stochastic %K (14)11.81BUY
CCI (20)-148.66BUY
Williams %R (14)-88.19BUY
MACD (12,26,9)-2.09SELL
ROC (10)-4.70SELL
Momentum (10)-19.05SELL
EMA (10)396.85SELL
SMA (10)397.72SELL
EMA (20)404.64SELL
SMA (20)406.84SELL
EMA (30)409.05SELL
SMA (30)416.89SELL
EMA (50)412.55SELL
SMA (50)416.72SELL
EMA (100)415.20SELL
SMA (100)411.21SELL
EMA (200)426.42SELL
SMA (200)422.48SELL

About S&P Global Inc

Financial Services · Financial Data & Stock Exchanges

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. The S&P Global Market Intelligence segment provides multi-asset-class data and analytics integrated with purpose-built workflow solutions. This segment offers Data, Analytics & Insights, a desktop product suite that provides data, analytics, and third-party research for global finance and corporate professionals; research, reference data, market data, derived analytics, and valuation services; enterprise solutions, such as software and workflow solutions; and credit and risk solutions for selling Ratings' credit ratings and related data and research, analytics, and financial risk solutions. The S&P Global Ratings segment operates as an independent provider of credit ratings, research, and analytics offering investors information and independent benchmarks for their investment and financial decisions as well as access to the capital markets. The S&P Global Energy segment provides information and benchmark prices for the energy and commodity markets. The S&P Dow Jones Indices segment operates as an index provider that maintains various valuation and index benchmarks for investment advisors, wealth managers, and institutional investors. It has operations in the United States, European region, Asia, and internationally. S&P Global Inc. was founded in 1860 and is headquartered in New York, New York.

spglobal.com ↗

Background via Yahoo Finance — informational, not part of the verdict.

Latest Signal — 2026-10-02

MEAN_REVERSION
Type
385.97
Entry
381.01
Stop
394.86
Target

Stop 381.01 Now 386.27 Target 394.86

Verdict

🟠 NOT YET

The main driver: lagging the market by 14.1%. More negatives than positives right now. The setup isn't ready — check back when the trend or RSI changes.

Scores: 1 bullish / 2 bearish

Grade verdict

Weak — low conviction, small size or skip

SMC — Top Down

Market structure by timeframe, read from real bars. A bias per timeframe rather than a forecast — timeframes disagreeing is information, not noise.

TimeframeBiasBars
📅 Daily BEARISH 64
⏰ 4H BEARISH 42
🕐 1H BEARISH 98
⏱ 15-Min BULLISH 130
⏲ 5-Min BULLISH 234

Momentum & Volume

Rate of change and relative volume against this symbol's own recent history. Momentum describes what price has done; it is not a claim about what it will do.

-4.8%
Rate of change (10d)
4.7×
Volume vs its 20-day average
-9.57
MACD (no fresh cross)

Peer Movement

How the rest of the sector moved over the same window. Context for a price move, never a cause of one.

Peer movement computing — it will appear here on its own.

Before you act on this

The questions worth asking about any verdict on this page, answered plainly.

Is this a fatwa?

No. HTR applies published screening standards to a company's own filings and shows the result under each one. It is research, not a religious ruling. For a ruling that applies to you, ask a qualified scholar.

Why can the standards disagree?

Because they measure different things. Some divide interest-bearing debt by market cap, others by total assets, and the thresholds differ too. The same filing can clear one line and cross another. HTR shows every verdict rather than averaging them into one label.

How often is this re-screened?

Ratios are recomputed when a new filing lands, and the whole watchlist is re-screened on a rolling basis. The date on the verdict above is the last time this symbol was actually recomputed, not the last time the page was built.

Do I need to purify dividends?

If a company earns some non-permissible income, many scholars hold that the same share of any dividend should be given away. The non-permissible income figure above is the number that calculation starts from — the purification calculator finishes it, showing the filing figures behind the ratio and both the proportional and the AAOIFI per-share convention.

Open research, not a fatwa. HTR applies published screening standards to filings and publishes what they say, including when they disagree. Nothing here is financial advice or a recommendation to buy or sell. Verdicts can change when new filings land.

Compare with

Same screen, different answers. Comparison is where the standards disagreeing becomes useful rather than confusing.

Peer screening computing — it will appear here on its own.

Insider Activity (90d)

Insider transactions reported in the last ninety days. Insiders sell for reasons that have nothing to do with a view, so a sale on its own is not a signal.

NEUTRAL   0 buys · 0 sells

COT Positioning — E-MINI S&P 500 - CHICAGO MERCANTILE EXCHANGE

The weekly CFTC Commitments of Traders report for the broad market it tracks, not for this symbol. Positioning context for the tape — it says nothing about this company.

NEUTRAL   report date 2026-09-29 · Asset managers net 904003 (-30452)

AI Summary

Plain-language summary of the evidence already on this page — the Sharia screen, structure, momentum, and order flow above. It explains the read; it doesn't make the call. Generated on demand (a live AI call), never run automatically.

Tell us what's working, what's confusing, or what you want to see next — read by a real person, not a form that goes nowhere.