SPGI

SPGI

S&P Global Inc
Financial Services
$395.92 -1.83% As of Sep 29, 3:12 AM
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Trade Idea

Strategy
Bull Call
Strikes
$405/410
Expiration
Jun 26
Target ROI
100.0%
Trade Reasoning
The current stock price of $408.98 positions us favorably for a Bull Call Spread with strikes at $405 and $410, as it is at-the-money and shows strong potential for upside movement. With no identified technical risk factors, this entry point capitalizes on the likelihood of SPGI reaching or exceeding the higher strike price, providing an attractive risk/reward profile. The ATM spread structure allows for a defined profit zone while limiting risk, aligning perfectly with Maya's strategy for maximizing ROI. Maya's edge comes from disciplined trade management—knowing when to exit is just as important as when to enter. Subscribe to get real-time open and close alerts that take the guesswork out of trading.

Technical Analysis

SPGI Breaks Down Through EMAs to $395.92

Bearish
Sep 29, 2026 at 3:12 AM • $395.92 (-1.83%)

The stock of S&P Global Inc (SPGI) dropped 1.83% to close at $395.92 on September 29.

Chart analysis reveals a bearish configuration:

Moving Averages Bearish EMA structure persists with price below the 9-day ($404.84) and 21-day ($412.36).
Momentum RSI at 35.5 is neutral but weakening. MACD is bearish (-6.87 vs signal -4.92).
Volatility Bollinger Band width at 15.0% indicates normal volatility.

The $385.37-$448.01 range defines near-term boundaries.

SPGI Sinks Below Technical Support to $395.92

Bearish
Sep 28, 2026 at 9:06 PM • $395.92 (-1.83%)

SPGI Stalls at $403.30 Amid Bearish EMAs

Bearish
Sep 27, 2026 at 12:43 AM • $403.30 (+0.02%)

Technical Damage Mounts for SPGI at $403.30

Bearish
Sep 26, 2026 at 12:26 AM • $403.30 (+0.02%)

Downtrend Intact: SPGI Rejected at EMAs, Trades $403.30

Bearish
Sep 25, 2026 at 9:02 PM • $403.30 (+0.02%)
Systematic technical analysis • Updated daily after market close

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Key Stats

Entry Price $2.50
Max Profit $2.50
Max Loss $2.50
Days to Exp -95
Trade Date May 26, 2026
Disclaimer: This analysis is for educational purposes only. Options trading involves substantial risk. Past performance does not guarantee future results.