MSCI Inc. (MSCI): price, analyst ratings, earnings and fundamentals

Updated 16 September 2026, 08:02 ET

MSCI Inc. (MSCI) closed at $544.60 on 15 September 2026, down 1.6%. The stock is down 4.3% over one month and down 6.6% over one year. It trades 15.5% below its 52-week high of $644.77. Analysts recorded 8 actions in the last 90 days; the median price target of $724 is 33.0% above the last close. The company last reported on 21 July 2026 for Q2 2026: EPS of $4.94 against an estimate of $4.86, a beat of 1.7%, on revenue of $867.0 million.

Price and performance

Last close$544.60
Day change-1.63%
1 week-1.23%
1 month-4.31%
3 months-10.89%
6 months-0.98%
Year to date-5.08%
1 year-6.63%
52-week high$644.77
52-week low$501.08
Volume524,400
Average volume, 3 months677,588
Market cap$40.3B

Performance figures use dividend and split adjusted closes over trading sessions, so a one-year move compares the last close with the close 252 sessions earlier. The 52-week range uses the adjusted daily highs and lows of the same window. Read the guide: Momentum, trend and technical indicators.

The live chart with technical indicators is in the app: open MSCI in FundSpec.

Analyst ratings

Over the last 90 days FundSpec recorded 8 analyst actions on MSCI from 7 firms: 7 maintained or reiterated a view and 1 initiation. Price targets were 4 raised and 3 lowered. The most recent targets from 10 firms range from $655 to $760, with a median of $724, 33.0% above the last close.

Actions, 90 days8
Firms7
Median target$724
Target range$655 to $760
Median vs close+33.03%
DateFirmActionPrice target
22 Jul 2026Wells FargoMaintains Overweight$700.00 to $690.00
22 Jul 2026Evercore ISI GroupMaintains Outperform$746.00 to $722.00
22 Jul 2026JP MorganMaintains Overweight$742.00 to $700.00
20 Jul 2026JP MorganMaintains Overweight$700.00 to $742.00
17 Jul 2026JefferiesInitiates Coverage On Buy$760.00
10 Jul 2026BarclaysMaintains Overweight$700.00 to $735.00
10 Jul 2026B of A SecuritiesMaintains Buy$715.00 to $730.00
8 Jul 2026Raymond JamesMaintains Strong Buy$730.00 to $760.00
27 May 2026Wells FargoUpgrades to Overweight from Equal-Weight$650.00 to $700.00
22 Apr 2026UBSMaintains Buy$710.00 to $720.00

A price target is one firm's twelve-month view, and the median across firms is a steadier reading than any single call. Upgrades and downgrades matter more when they change a rating, not only a target. Read the guide: What analyst ratings and price targets actually tell you.

Every action with the firm's history is in Analyst Ratings.

Earnings

The next report is scheduled for 20 October 2026 before the open for Q3 2026, with EPS expected at $5.02 on revenue of $883.8 million. MSCI Inc. beat the EPS estimate in 8 of its last 8 reported quarters.

PeriodReportedEPS estimateEPS actualSurpriseRevenue
Q2 202621 Jul 2026$4.86$4.94+1.65%$867.0M
Q1 202621 Apr 2026$4.43$4.55+2.71%$850.8M
Q4 202528 Jan 2026$4.60$4.66+1.30%$822.5M
Q3 202528 Oct 2025$4.37$4.47+2.29%$793.4M
Q2 202522 Jul 2025$4.12$4.17+1.21%$772.7M
Q1 202522 Apr 2025$3.91$4.00+2.30%$745.8M
Q4 202429 Jan 2025$3.95$4.18+5.82%$743.5M
Q3 202429 Oct 2024$3.77$3.86+2.39%$724.7M

An earnings surprise is the reported EPS against the consensus estimate on the day. The price reaction depends as much on guidance and on what was already priced in as on the surprise itself. Read the guide: Earnings season: estimates, surprises and price reaction.

Estimates, confirmed dates and alerts for every company are in Earnings.

Fundamentals

For the period ended 30 June 2026, MSCI Inc. reported revenue of $867.0 million and net income of $342.0 million. On a trailing twelve month basis the company shows revenue growth of 11.62%, a gross margin of 82.98%, an operating margin of 55.66% and a return on equity of N.A..

Income statement

LineAmount
Revenue$867,000,000
Gross Profit$717,100,000
Research and Development$46,000,000
Selling, General & Administrative Expenses$133,600,000
Depreciation & Amortization$50,000,000
Total Operating Expenses$379,500,000
Operating Profit$487,500,000
Interest Expense$71,000,000
Pre-tax Income$417,300,000
Income Tax Expense$75,300,000
Net Income$342,000,000

Cash flow

LineAmount
Cash from Operating Activities$370,800,000
Stock-based Compensation$25,400,000
Cash from Investing Activities-$61,500,000
Capital Expenditures$11,000,000
Cash from Financing Activities-$339,400,000
Dividends Paid$149,500,000
Share Repurchases$168,400,000
Free Cash Flow$359,800,000

Assets

LineAmount
Cash & Cash Equivalents$356,400,000
Restricted Cash$3,700,000
Prepaid Expenses$91,400,000
Total Current Assets$1,436,200,000
Plant, Property & Equipment, Net$93,200,000
Operating Lease Right-of-Use Assets$141,500,000
Goodwill Intangible Assets, Net$3,830,100,000
Deferred Tax Asset$189,763,000
Other Long-term Assets$55,800,000
Total Assets$5,602,500,000

Liabilities and equity

LineAmount
Accounts Payable & Accrued Expenses$17,200,000
Operating Lease Liabilities, Current$24,900,000
Income Taxes Payable$40,300,000
Deferred Liability Charges$1,136,900,000
Total Current Liabilities$1,605,700,000
Long-term Debt$6,380,400,000
Operating Lease Liabilities, Long-term$138,900,000
Long-term Deferred Liability Charges$32,600,000
Deferred Income Taxes$28,200,000
Pension Post Retirement Obligation$40,100,000
Other Liabilities$138,800,000
Total Liabilities$8,292,000,000
Common Stock$1,300,000
Retained Earnings$5,876,700,000
Treasury Stock-$10,400,000,000
Other Accumulated Comprehensive Income-$57,400,000
Total Stockholders Equity-$2,689,500,000
Total Liability & Stockholders Equity$5,602,500,000

Figures as filed with the SEC for the period ended 30 June 2026, in US dollars.

FundSpec fundamental metrics

Each metric is computed from the company's filings and ranked against every company FundSpec covers; the percentile is the share of covered companies with a lower value.

Liquidity

MetricValuePercentileWhat it measures
Cash Ratio0.2247thCalculated as the ratio of Cash and cash equivalents / Current liabilities. This metric calculates the company's ability to repay its short-term debt
Current Ratio0.8941stCalculated as the ratio of Current Assets / Current Liabilities. The higher the current ratio, the more capable the company is of paying its obligations

Leverage

MetricValuePercentileWhat it measures
Debt/Assets1.1496thCalculated as the ratio of Short-Term Debt + Long-Term Debt / Total Assets. The higher the ratio, the higher the degree of leverage, and consequently, financial risk
Degree of Combined Leverage1.5362ndThis ratio summarizes the combined effect that the degree of operating leverage (DOL) and the degree of financial leverage have on earnings per share (EPS), given a particular change in sales
Degree of Financial Leverage1.1671stCalculated as the ratio of Percentage change in EPS / Percentage change in EBIT. A higher degree of financial leverage means that the company has more volatile EPS.
Degree of Operational Leverage1.3263rdCalculated as the ratio of Percentage change in EBIT / Percentage change in revenue. It is a measure of how earnings for the company is impacted by its sales activity.
Long Term Debt/Long Term Capital1.7396thCalculated as Long-Term Debt / (Long-Term Debt + Shareholders' Equity). The ratio is an indicator of the company's leverage

Earnings Growth (EBIT)

MetricValuePercentileWhat it measures
EBIT Pct Growth15.3%51stThe EBIT growth rate over the trailing twelve months (TTM)
EBIT Pct Growth 3 year CAGR13.2%52ndThe EBIT compound annual growth rate (CAGR) over the past 3 years
EBIT Pct Growth 5 year CAGR13.8%62ndThe Adjusted EBIT compound annual growth rate (CAGR) over the past 5 years

Earnings Growth (EBITDA)

MetricValuePercentileWhat it measures
EBITDA Pct Growth15.6%52ndThe EBITDA growth rate over the trailing twelve months (TTM)
EBITDA Pct Growth 3 year CAGR44.4%52ndThe EBITDA compound annual growth rate (CAGR) over the past 3 years
EBITDA Pct Growth 5 year CAGR77.1%51stThe EBITDA compound annual growth rate (CAGR) over the past 5 years

Profitability

MetricValuePercentileWhat it measures
Free Cashflow Margin Pct47.9%96thCalculated as the ratio of Free Cashflow from Operating Activities / Net Sales. It measures how much per dollar of revenue the company is able to convert into free cash flow.
Gross Margin Pct83.0%92ndCalculated as the ratio of Revenue - Cost of Goods Sold (COGS) / Revenue. The gross margin represents the percent of total sales revenue that the company retains after incurring the direct costs associated with producing the goods and services sold by a company.
Operating Margin Pct55.7%98thCalculated as the ratio of (Revenue - (Cost of Goods Sold + Labour + Sales, General & Administrative)) / Revenue. Operating margins are important because they measure efficiency. The higher the operating margin, the more profitable a company's core business is.
Operating Profit Pct Growth15.3%58thThe Operating Profit growth rate over the trailing twelve months (TTM)
Operating Profit Pct Growth 3 year CAGR (FY)13.2%64thThe Operating Profit compound annual growth rate (CAGR) over the past 3 years
Operating Profit Pct Growth 5 year CAGR (FY)13.8%72ndThe Operating Profit compound annual growth rate (CAGR) over the past 5 years
PreTax Margin Pct47.7%94thCalculated as the ratio of (Gross profit - (Operating Expense + Interest Expense)) / Revenue. The pretax profit margin enables profitability to be compared across companies with significant differences in size, scale, capital structure and tax rates.
Return on Assets Pct24.7%97thCalculated as the ratio of Net Income / Total Assets. It is an indicator of how efficient the company is at using its assets to generate earnings.
Return on Invested Capital Pct34.5%96thCalculated as the ratio of (Net Income - Dividends) / (Debt + Equity). It is a measure of how efficient the company is at allocating the capital under its control to profitable investments.

Cashflow

MetricValuePercentileWhat it measures
FCF Pct Growth10.5%52ndThe Free Cash Flow growth rate over the trailing twelve months (TTM)
FCF Pct Growth 3 year CAGR36.6%59thThe Free Cash Flow compound annual growth rate (CAGR) over the past 3 years
FCF Pct Growth 5 year CAGR85.9%66thThe Free Cash Flow compound annual growth rate (CAGR) over the past 5 years
FCF Return on Assets Pct29.1%99thCalculated as the ratio of Cashflow from Operations / Total Assets. A high cash return on assets means a company is generating more cash flow from every asset dollar
Operating Cashflow Pct Growth9.3%53rdThe Operating Cashflow growth rate over the trailing twelve months (TTM)
Operating Cashflow Pct Growth 3 year CAGR (FY)10.9%61stThe Operating Cashflow compound annual growth rate (CAGR) over the past 3 years
Operating Cashflow Pct Growth 5 year CAGR (FY)13.2%73rdThe Operating Cashflow compound annual growth rate (CAGR) over the past 5 years

Earnings Growth (Net Income)

MetricValuePercentileWhat it measures
Net Income Pct Growth15.2%54thThe Net Income growth rate over the trailing twelve months (TTM)
Net Income Pct Growth 3 year CAGR14.0%67thThe Net Income compound annual growth rate (CAGR) over the past 3 years
Net Income Pct Growth 5 year CAGR14.1%73rdThe Net Income compound annual growth rate (CAGR) over the past 5 years

Top Line Growth

MetricValuePercentileWhat it measures
Revenue Pct Growth11.6%65thThe Revenue (Sales) growth rate over the trailing twelve months (TTM)
Revenue Pct Growth 3 year CAGR12.4%71stThe Revenue (Sales) compound annual growth rate (CAGR) over the past 3 years
Revenue Pct Growth 5 year CAGR12.6%68thThe Revenue (Sales) compound annual growth rate (CAGR) over the past 5 years

Taxes

MetricValuePercentileWhat it measures
Effective Tax Rate Pct14.7%57thThe effective tax rate of the company over the trailing twelve months (TTM).

Margins and returns say how much of each dollar of sales becomes profit and how hard the balance sheet is working; leverage and liquidity say how much room the company has when conditions turn. Read the guide: A practical guide to discounted cash flow valuation.

Fair value, peer multiples and the full statement history are in the app: open MSCI in FundSpec.

Insider activity

In the last 90 days insiders filed 4 transactions: 4 acquisitions covering 1,802 shares. Acquisitions include awards and option exercises as well as open market purchases. The largest by value was an acquisition of 1,786 shares by Rajat Taneja, Director on 2 September 2026, worth about $1.0 million at the transaction price.

DateInsiderTitleTypeSharesPriceValue
2 Sep 2026Rajat TanejaDirectorAcquisition1,786$560.00$1.0M
28 Aug 2026Linda H RieflerDirectorAcquisition8
28 Aug 2026Robin MatlockDirectorAcquisition6
28 Aug 2026June YangDirectorAcquisition2
10 Jun 2026Andrew C. WiechmannChief Financial OfficerDisposal450$604.56$272K
2 Jun 2026Rajat TanejaDirectorAcquisition42
29 May 2026June YangDirectorAcquisition2
29 May 2026Linda H RieflerDirectorAcquisition7
29 May 2026Robin MatlockDirectorAcquisition6
15 May 2026Henry A FernandezDirector, Chairman and CEOAcquisition1,238$561.56$695K
15 May 2026Henry A FernandezDirector, Chairman and CEOAcquisition1,122$562.47$631K
15 May 2026Henry A FernandezDirector, Chairman and CEOAcquisition800$563.39$451K
15 May 2026Henry A FernandezDirector, Chairman and CEOAcquisition400$564.42$226K
15 May 2026Henry A FernandezDirector, Chairman and CEOAcquisition240$560.28$134K
15 May 2026Henry A FernandezDirector, Chairman and CEOAcquisition120$559.40$67K

Insider filings record what officers and directors did with their own shares. Disposals are often planned sales or tax related, so a pattern across several insiders says more than one filing.

SEC filings

The latest filing is a 10-Q from 21 July 2026.

FiledFormDocument
21 Jul 202610-QView on sec.gov
21 Apr 202610-QView on sec.gov
6 Feb 202610-KView on sec.gov
28 Oct 202510-QView on sec.gov
22 Jul 202510-QView on sec.gov
22 Apr 202510-QView on sec.gov
7 Feb 202510-KView on sec.gov
31 Oct 202410-QView on sec.gov
23 Jul 202410-QView on sec.gov
23 Apr 202410-QView on sec.gov

Company profile

Exchange
NYSE
Sector
Software and Business Services
Industry
Business Services
Headquarters
Wilmington, New York
Chief executive
Henry A. Fernandez
Employees
4,760
Website
msci.com
SEC CIK
0001408198

MSCI Inc. provides investment decision support tools for clients to manage their investment processes worldwide. It operates through four segments: Index, Analytics, ESG and Climate, and All Other – Private Assets. The Index segment provides indexes for use in various areas of the investment process. The Analytics segment offers risk management, performance attribution and portfolio management content, application, and service that provides an integrated view of risk and return.

Sector and peers

MSCI Inc. is part of the Software and Business Services sector, which FundSpec tracks across 462 companies.

Companies in the same industry by market capitalization:

V Visa Inc.MA Mastercard IncUBER Uber Technologies, IncACN Accenture plcMELI Mercadolibre Inc.DASH DoorDash, Inc.EBAY Ebay Inc.PYPL PayPal Holdings, Inc.

Put two of them side by side in Compare.

In FundSpec: the fair value estimate, the momentum reading, relative valuation against sector and industry peers, unusual options activity and AI model signals for MSCI are available to subscribers, with the same screen in the iOS and Android apps.

Open MSCI in FundSpec