Overall verdict
Neutral
6.4/10
1-year performance
-1.82%
Score breakdown
Down 1.8% over 1 year, 34% of the 52-week range.
Strongest: Shareholder return 7.0/10. Weakest: Valuation 4.5/10.
18 analysts, target +0.3% vs the price.
MSCI Inc., together with its subsidiaries, provides research-based data, analytics, and indexes, supported by advanced technology worldwide. The Index segment provides indexes for use in various areas of the investment process, including indexed financial products, such as ETFs, mutual funds, annuities, futures, options, structured products, and over-the-counter derivatives ; performance benchmarking ;
portfolio construction and rebalancing ; and asset allocation, as well as licenses GICS and GICS Direct. The Analytics segment offers risk management, performance attribution and portfolio management content, application, an integrated view of risk and return service, and an analysis of market, credit, liquidity, counterparty, and climate risk across asset classes ; managed services, including consolidation of client portfolio data, review and reconciliation of input data and results, and customized reporting ;
and HedgePlatform to measure, evaluate, and monitor the risk of hedge fund investments. The Sustainability and Climate segment provides products and services that help institutional investors understand how ESG impacts the long-term risk and return of their portfolio and individual security-level investments; and data, ratings, research, and tools to assist investors navigate increasing regulation.
The All Other Private Assets segment comprises private credit, real estate and infrastructure data, benchmarks, return-analytics, climate assessments and market insights; business intelligence to real estate owners, managers, developers, and brokers; and offers investment decision support tools for private capital. The Private Capital Solutions segment offers tools to help private asset investors across mission-critical workflows, such as sourcing terms and conditions, evaluating operating performance, managing risk and other activities supporting private capital investment. MSCI Inc. was incorporated in 1998 and is based in New York, New York.
Sector
Financials
Industry
Capital Markets
Primary listing
Nyse
United States
CEO
Henry Fernandez
Founded
1998
Employees
6 268
Revenue / employee
500 073 USD
Next earnings
October 20, 2026
Institutional holders
- BlackRock, Inc.7.44%
- VANGUARD CAPITAL MANAGEMENT LLC6.32%
- VANGUARD PORTFOLIO MANAGEMENT LLC5.67%
- BAMCO INC /NY/4.37%
- STATE STREET CORP4.35%
- MORGAN STANLEY2.90%
- T. Rowe Price Investment Management, Inc.2.79%
- GEODE CAPITAL MANAGEMENT, LLC2.65%
- VIKING GLOBAL INVESTORS LP1.58%
- Other institutions53.51%
- Rest of the register8.40%
1078 13F filings as of June 30, 2026: US managers above $100M, filed up to 45 days after quarter end. No insiders, no retail. A share on loan is declared by its lender and by whoever bought it from the short seller, so the total can exceed 100%.
Research uses the underlying stock’s market history. The purchase quote is calculated separately when you review your order.
52-week high
644.77 USD
52-week low
501.08 USD
1-year performance
-1.82%
Declining
Year-to-date performance
-2.78%
Declining
Drawdown
-14.70%
Mild pullback
Position in the 52-week range
34% of range
Against the world ETF
Over 17 years, from September 2009 to August 2026, the share did not do better than the world ETF once risk is accounted for. It earned more, but shaking 2.1 times harder: for the risk taken, the ETF paid better.
10,000 € placed at the end of September 2009 are worth today
| MSCI | 277 674 € |
| World ETF | 74 620 € |
| S&P 500 | 123 025 € |
| Risk-free placement | 11 288 € |
The risk
- Shaking:the share moves 2.1 times as much as the world ETF.
- Worst fall:-40 % between November 2021 and May 2022. 10,000 € placed at the top fell to 6 038 €. The world ETF, at worst: -34 %. Back to its high in 30 months.
MSCI earned 4 times as much as the world ETF since 2009
Value of 10,000 euros placed at the end of September 2009, dividends reinvested, in euros
- MSCI: 277 674 €
- World ETF: 74 620 €
- S&P 500: 123 025 €
- Risk-free placement: 11 288 €
Based on past performance. This is not a recommendation.
Range: 369.66 USD - 421.29 USD (2 methods agree)
The price implies growth of 8.23% per year; the company grows at 17.11%.
Gross margin 77.2%, net margin 40.7%, ROIC 35.9%, ROE -76.0%.
Net margin
40.74%
Exceptional
Sector 26.90%|S&P 12.97%
Gross margin
77.19%
Fair
Return on equity (ROE)
-75.96%
Negative
Sector 17.34%|S&P 16.52%
Return on invested capital (ROIC)
35.87%
Exceptional
Free cash flow margin (FCF)
47.33%
Exceptional
Profit-to-cash conversion (FCF conversion)
1.16x
High
Margin stability
6.5 pts
Uneven
Revenue to net income
Growth
6.6/10Revenue up 12.2% over 1 year, 13.1% a year over 5, EPS 17.1% a year over 5.
Revenue (trailing 12 months)
3.3Md USD
Revenue growth (1y)
12.21%
Solid
Revenue growth (3y)
39.40%
Solid
EPS growth (1y)
19.73%
Solid
EPS CAGR (5y)
17.11%
Exceptional
EPS revisions (3 months)
0.27%
Revised up
Valuation
4.5/10P/E 30.1x, forward P/E 27.5x, EV/EBITDA 24.7x, PEG 1.76. The multiple sits in the 8th percentile of its own 5-year history.
P/E (TTM)
30.1x
Expensive
Sector 24.2x|S&P 23.0x
Forward P/E
27.5x
Expensive
EV / EBITDA
24.7x
Expensive
Sector 15.3x|S&P 14.5x
PEG
1.76
Expensive
Sector 1.12|S&P 0.86
Fair value (reverse DCF)
395.47 USD
Overvalued
P/E vs its own 5-year history
among the 8% lowest valuations
Far cheaper than usual
Market cap
40.4Md USD
Financial strength
4.9/10Cash covers 5.4% of the debt, net debt/EBITDA 3.0x.
Net debt / EBITDA
3.0x
Stretched
Gearing (net debt / equity)
—
Cash
356M USD
Cash / market cap
0.88%
Stretched
Cash / total debt
5.45%
Stretched
Interest coverage
7.2x
Solid
Net debt
6.2Md USD
Equity
-2.7Md USD
Closed daily candles, 2 years
Last close on September 24, 2026: 556.08 USD
- MM20557.55
- MM50567.00
- MM200572.85
- RSI 1448.2
Top panel: closed candles, 20, 50 and 200-day moving averages, with volume in grey. Bottom panel: 14-day RSI with dashed 30 and 70 levels.
200-day average slope, 1 month
-0.09%
200-day average slope, 3 months
+0.59%
50-day average slope, 1 month
-2.45%
Price structure
Lower lows
Bullish RSI divergence
No
20-day volatility
1.40 % per day
Volatility change
-22.93%
Forecasts by fiscal year
| Fiscal year | EPS | Normalised EPS | Revenue | EBITDA | Net income |
|---|---|---|---|---|---|
| 2026 | 19.96 (9) | 19.74 (18) | 3 516 (15) | 2 168 (16) | 1 446 (10) |
| 2027 | 21.70 (9) | 22.50 (18) | 3 823 (15) | 2 382 (15) | 1 547 (10) |
Amounts in millions of USD, EPS in USD per share. In brackets, the number of analysts. Consensus as of September 23, 2026.
Same sub-industry: 56 companies behind the medians.
| # | Company | Code | Country | Overall / 10 | Fundamentals / 10 | Mkt cap | P/E | Net margin | Revenue growth | ROIC | Net debt / EBITDA | FCF yield | 1-year perf. |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 | DB1 | 7.2 | 7.1 | 57.1Md USD | 24.4x | 27.2 % | 149.8 % | 12.7 % | -2.8x | 5.8 % | 28.4 % | ||
| 2 | 388 | 7.1 | 7.8 | 63.8Md USD | 25.2x | 62.3 % | 17.7 % | 33.3 % | -12.5x | — | -11.1 % | ||
| 3 | MCO | 6.4 | 6.1 | 82.1Md USD | 30.0x | 34.3 % | 15.1 % | 26.6 % | 1.2x | 3.6 % | -1.3 % | ||
| 4 | MSCI | 6.4 | 5.8 | 40.4Md USD | 30.1x | 40.7 % | 12.2 % | 35.9 % | 3.0x | 3.9 % | -1.8 % | ||
| 5 | CME | 6.0 | 6.2 | 97.4Md USD | 23.0x | 63.3 % | 0.8 % | 13.9 % | -0.2x | 4.3 % | 2.6 % | ||
| 6 | SPGI | 6.0 | 5.7 | 120Md USD | 24.8x | 30.5 % | 10.4 % | 11.0 % | 1.6x | 4.7 % | -13.4 % | ||
| 7 | ICE | 5.5 | 5.0 | 87.8Md USD | 22.1x | 30.7 % | 6.8 % | 8.5 % | 2.7x | 5.8 % | -6.3 % | ||
| 8 | NDAQ | 5.2 | 4.8 | 53.3Md USD | 27.8x | 22.6 % | 20.5 % | 9.4 % | 2.8x | 3.7 % | 6.9 % | ||
| 9 | COIN | 4.2 | 2.8 | 53.0Md USD | Not meaningful (loss) | -20.6 % | -60.9 % | -5.7 % | -3.7x | 3.2 % | -38.5 % |
