Synergy Asset Management在2025年第三季度将标普全球持股增加103.5%,受益于强劲的财报和分析师普遍的“买入”共识。
Synergy Asset Management increased its S&P Global stake by 103.5% in Q3 2025 amid strong earnings and a "Buy" analyst consensus.
Synergy Asset Management LLC在2025年第三季度增持了103.5%的S&P Global(SPGI),持有25,693股,市值1,350万美元;而Pictet North America Advisors SA持股比例增加9.8%,至29,277股,价值1,425万美元。
Synergy Asset Management LLC boosted its stake in S&P Global (SPGI) by 103.5% in Q3 2025, owning 25,693 shares valued at $13.5 million, while Pictet North America Advisors SA increased its holding by 9.8% to 29,277 shares, worth $14.25 million.
该公司报告该季度的每股233美元收入和18.7亿美元收入,净利润为28.1%,股本回报率为15.9%。
The company reported $2.33 earnings per share and $1.87 billion in revenue for the quarter, with a 28.1% net margin and 15.9% return on equity.
分析员维持“Buy”共识,目标为614.93美元,股票交易额为512.69美元,接近50天移动平均数501.09美元。
Analysts maintain a "Buy" consensus with a $614.93 target, and the stock traded at $512.69, near its 50-day moving average of $501.09.