MSCI (MSCI) Osake Kurssi
MSCI Kurssi
Liikevaihto on kasvanut 12,9 % vuodessa viimeisten 19 vuoden aikana 3,13 Mrd. USD:een. Osakekohtainen tulos on kasvanut 16,5 % vuodessa viimeisten 19 vuoden aikana. MSCIn nettomarginaali on nyt 38,4 %, noussut 35,5 %:sta muutama vuosi sitten. MSCIn osinkotuotto on tällä hetkellä noin 1,34 %. Jakosuhde on noin 46 % tuloksesta. Osinko on kasvanut 39,8 % vuodessa viimeisten 11 vuoden aikana. Analyytikoiden mediaanitavoitehinta on 700,00 USD, eli yli nykyhintaa 30,6 %. 26 analyytikosta 21 suosittaa ostoa — kokonaiskonsensus on Osta.
MSCI osakekurssi
MSCI liiketoimintamalli ja osakeanalyysi
Usein kysytyt kysymykset MSCI -osakkeesta
The business model of MSCI Inc. is centered around providing investment decision support tools, including research and analytics, to institutional investors worldwide. They offer a wide range of products and services that help clients assess and manage investment risks, as well as evaluate performance and make informed investment decisions. MSCI Inc. specializes in index products, such as equity indices, fixed income indices, and multi-asset class indices, which are widely used by investors to benchmark market performance and design investment portfolios. By delivering innovative solutions and insights, MSCI Inc. aims to empower investors with actionable intelligence for more successful investment outcomes.
MSCI Inc is primarily active in the financial services industry.
Some of the main competitors of MSCI Inc in the market include S&P Dow Jones Indices LLC, FTSE Russell, and Bloomberg.
MSCI Inc is a leading provider of investment decision support tools and services. Established in 1969, MSCI has a rich history of over 50 years in the financial industry. The company started as a research project at Morgan Stanley and later spun off as an independent entity. Over the years, MSCI has expanded its expertise and global presence, offering a wide range of indices, analytics, and data solutions to institutional investors worldwide. MSCI's innovative offerings enable investors to better understand and assess market risks and opportunities, supporting informed investment decisions. With its strong track record and well-established reputation, MSCI Inc continues to play a pivotal role in shaping the investment landscape.
Some significant milestones achieved by MSCI Inc include becoming a leading provider of investment decision support tools, offering a range of indexes and analytics that are widely used by investors. The company has established itself as a trusted partner in the global investment community and continues to expand its presence in emerging markets. MSCI Inc has also successfully introduced ESG (Environmental, Social, and Governance) ratings, helping investors align their investments with sustainable and responsible practices. Through technological advancements and strategic partnerships, MSCI Inc has continuously enhanced its offerings, empowering investors to make informed decisions based on accurate and reliable data.
MSCI Inc is primarily present in various countries and regions worldwide. With a global reach, the company operates in key financial centers including the United States, Europe, Asia Pacific, and the Middle East. MSCI Inc's presence spans across major regions such as North America, Europe, and Asia, with a strong foothold in countries like the United States, United Kingdom, Japan, and China. As a leading provider of critical investment decision-support tools, MSCI Inc's global presence enables it to cater to a diverse range of clients and investors looking to leverage their expertise in the international financial markets.
MSCI Inc is a prominent investment research and advisory firm that operates globally. The company values integrity, transparency, and excellence in serving its clients. With a strong corporate philosophy centered on innovation and delivering quality solutions, MSCI Inc strives to empower investors with reliable data and analytics to make informed investment decisions. By offering various indices and risk management tools, MSCI Inc provides investors with comprehensive insights into the financial markets. The company's commitment to driving sustainable investing and promoting ESG (Environmental, Social, and Governance) considerations further reinforces its dedication to responsible and impactful investment practices.
Analyytikot asettavat tällä hetkellä MSCI-osakkeelle keskimääräisen tavoitehinnan 701,71 USD (mediaani: 700,00 USD), mikä merkitsee +30,9 % viimeisimpään hintaan verrattuna. Konsensus perustuu 26 analyytikkoarvioon.
26 analyytikkoa arvioi tällä hetkellä MSCI-osaketta: 21 suosittaa ostoa, 4 pitoa ja 1 myyntiä. Vuodelle 2026 analyytikot odottavat MSCI-yhtiöltä 3,51 Mrd. USD liikevaihtoa ja 18,74 USD osakekohtaista tulosta.
Nykyisellä valuuttakurssilla MSCI-osake noteerataan hintaan 476,40 EUR (535,95 USD).
MSCI-osake (MSCI) on listattuna 8 pörssissä, muun muassa: NYSE (MSCI), London (0A8Y.L), SIX (Zürich) (3HM.SW), XETRA (3HM.DE), Frankfurt (3HM.F), München (3HM.MU), Düsseldorf (3HM.DU), Wien (MSCI.VI).
MSCI Inc is a leading provider of investment decision support tools that serve the investment management industry worldwide. The company offers a wide range of products and services that help investors improve their investment decisions and identify opportunities. MSCI is divided into four main business segments, namely Index, Analytics, ESG, and Real Estate. The Index segment includes indices used by investors to measure the performance of stocks, bonds, and other asset classes. MSCI calculates over 200,000 indices, including the MSCI World Index, MSCI Emerging Markets Index, and MSCI ACWI Index. These indices are used by investment managers worldwide as benchmarks and as a basis for portfolio construction. The Analytics segment of MSCI provides tools and data to help investors optimize their portfolios. MSCI's analytics software includes performance, risk, and portfolio analysis tools. The performance analysis tools help investors measure the return of their portfolios and identify the causes of return differences. The risk analysis tools help investors understand potential risks associated with their investments. And the portfolio analysis tools allow investors to construct and optimize their portfolios. The ESG segment of MSCI offers assessment analysis, product screening, and consulting services in the areas of Environmental, Social, and Governance (ESG). MSCI is a recognized expert in ESG issues and provides a wide range of ESG information to help investors consider the impact of ESG factors on their portfolio construction. Finally, in the Real Estate segment, MSCI provides data, analysis, and tools used by real estate investors worldwide to measure and improve the performance, risk, and performance of real estate investments. One of MSCI's key products is the Barra Risk Factor Model, a risk modeling technology used by investment managers worldwide to measure risks and construct portfolios. MSCI also offers a range of indices that are industry leaders, such as the MSCI ESG Leaders Index, which displays ESG ratings of companies in index form. MSCI also offers a range of analytical tools and data that the investment management industry uses to conduct integrated financial analysis, risk analysis, and portfolio optimization. MSCI's business model is based on a B2B model, where the company sells its products and services to investors, investment managers, government agencies, financial institutions, and other customers. MSCI also operates a range of websites and platforms where customers have access to tools and data, including msci.com, Barra.com, and riskmetrics.com. Overall, MSCI's wide range of products and services provides investors and investment managers with unparalleled transparency and decision support to ensure they operate optimally in the market. With a broad customer base worldwide, MSCI remains a key player in the global investment management industry.
odotettu liikevaihto MSCI on 3,51 Mrd. USD. Tämä luku perustuu nykyisiin talousarvoihin ja heijastaa yhtiön liiketoimintasuoritusta.
odotettu voitto MSCI on 1,45 Mrd. USD. Nettovoitto kuvastaa yhtiön kannattavuutta kaikkien kulujen vähentämisen jälkeen.
MSCI:n hinta-voitto-suhde (P/E) on tällä hetkellä 28,60. P/E-suhde vertaa nykyistä osakekurssia osakekohtaiseen tulokseen ja auttaa sijoittajia arvioimaan MSCI-osakkeen arvostusta.
MSCI:n hinta-myynti-suhde (P/S) on tällä hetkellä 11,79. P/S-suhde vertaa markkina-arvoa vuosittaisiin tuloihin ja toimii MSCI-osakkeen arvostuskennuslukuna.
MSCI:n Eulpool-laatuscore on 8/10.
MSCI:n ISIN on US55354G1004. ISIN (International Securities Identification Number) on maailmanlaajuisesti ainutlaatuinen arvopaperin tunnus.
MSCI:n WKN on A0M63R. WKN (Wertpapierkennnummer) on kuusinumeroinen saksalainen arvopaperin tunnus.
MSCI:n ticker on MSCI. Tämä pörssinoteeraus käytetään MSCI-osakkeiden kauppaan pörssissä.
MSCI osake
MSCI vertaisryhmä
MSCI Ticker
MSCI FIGI
Kaikki tunnusluvut ja syvällinen analyysi MSCI:sta
Meidän osakeanalyysimme MSCI-osakkeesta sisältää tärkeitä taloudellisia tunnuslukuja, kuten liikevaihdon, voiton, P/E-luvun, P/S-luvun, EBIT:n sekä tietoja osingosta. Lisäksi tarkastelemme asioita kuten osakkeet, markkina-arvo, velat, oma pääoma ja vastuut MSCI:n yhteydessä. Jos etsit yksityiskohtaisempaa tietoa näistä aiheista, tarjoamme alisivuillamme kattavia analyysejä: