$240.00
Closed
-(-)

At close

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About

CME Group, Inc. operates a derivatives marketplace, which offers a range of futures and options products for risk management. The company is headquartered in Chicago, Illinois and currently employs 3,875 full-time employees. The company went IPO on 2002-12-06. The firm enables clients to trade futures, options, cash and over the counter (OTC) markets, optimize portfolios, and analyze data. The company exchanges offer a range of global benchmark products across all major asset classes based on interest rates, equity indexes, foreign exchange (FX), energy, agricultural products and metals. The company offers futures and options on futures trading through the CME Globex platform, fixed income trading via BrokerTec and FX trading on the EBS platform. In addition, it operates central counterparty clearing provider, CME Clearing. Its products provide a means for hedging, speculation and asset allocation related to the risks associated with, among other things, interest rate sensitive instruments, and changes in the prices of agricultural, energy and metal commodities. The company provides clearing and settlement services for a range of exchange-traded futures and options on futures contracts and OTC derivatives.
Country

US

CEO

Hon. Terrence Duffy

IPO date

2002

Employees

3,875

ISIN

US12572Q1058

Key stats

Open

$240.10

Volume

3.41M

Market cap

$88.08B

Prev. close

$239.71

Impl / hst vl

-

Open interest

$0.00

$240.00

Day’s Range

$240.15

$218.31

52W Range

$322.57

Valuation

38
Valuation score
Overvalued
P/E
20.95
P/S
7.05
P/B
3.36
Current ratio
1.02
Debt / Equity
0.04
ROE
15.35%
Gross margin
-
Income growth
-
FCF growth
12.41

Jun

25

Dividends

The last payment date was Jun 25, 2026

Div. per Share

$1.30

Div. Yield

0.53%

Payout Ratio

-

Div. Growth YoY

-82.55%

Analysts estimates

Consensus rating
Buy

The average rating from top 10 analysts indicates that stock is expected to perform in line with the market

Str. Sell
Sell
Hold
Buy
Str. Buy
Avg. price target
$309.21
The top 17 analysts forecasts that 12-month price may increase by 28.84%, with a low of $232.30 and a high of $370.65
$232.30
Low
$309.21
Avg
$370.65
High
Current price

Earnings

Q1 ‘26 revenue
$3.27B
Q1 ‘26 net income
$1.17B
Revenue
Net income
Previous EPS
$3.36
Estimate EPS
$3.02
Actual EPS
Estimate EPS
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