mco stock: Moody's Corporation (MCO) Overview
MCO (Moody’s Corporation)
mco stock most commonly refers to Moody’s Corporation listed on the New York Stock Exchange under the ticker MCO. This entry explains what mco stock represents, summarizes Moody’s core businesses in credit ratings and analytics, and points to sources where investors and researchers can find live quotes and historical data.
Overview
Moody’s is a provider of credit ratings, research, and risk-management analytics. The company’s revenues come primarily from credit ratings and related research services plus subscription-based analytics software. The performance of mco stock is closely tied to global capital markets activity, especially bond issuance and demand for credit risk information.
History
Founded in the early 20th century as a credit-rating publisher, Moody’s evolved into a leading ratings agency and analytics firm. The modern corporate structure and public listing (NYSE: MCO) followed reorganizations that separated rating activities from other analytics and information services. Historic events and regulatory changes have shaped investor perception of mco stock over time.
Business segments
Moody’s Investors Service (MIS)
MIS is the credit-ratings arm that issues corporate, structured finance, and public finance ratings. MIS ratings are widely used by fixed-income market participants and are a direct driver of fee revenue linked to issuance. Demand for ratings affects mco stock performance through fee cyclicality.
Moody’s Analytics (MA)
MA delivers data, software, and subscription analytics for risk management, models, and research. Recurring revenue from MA adds stability to Moody’s overall profile and complements the ratings business — a factor studied by analysts when valuing mco stock.
Corporate structure and management
Headquartered in New York, Moody’s is led by an executive team and board responsible for oversight, strategy, and compliance. Organizational governance and leadership decisions can influence investor sentiment toward mco stock.
Products and services
Moody’s offers credit ratings, data feeds, SaaS platforms, research reports, and consulting. Typical customers include issuers, investors, and financial institutions that rely on ratings and analytics when assessing credit risk — usage that supports revenue for mco stock.
Market position and competition
Moody’s is one of the largest credit-rating agencies globally. Competitors include other major rating agencies and financial-data firms. Market share and competitive dynamics are key inputs in valuation models for mco stock.
Financial profile
Moody’s generates revenue from fees tied to issuance and from recurring analytics subscriptions. Investors tracking mco stock typically monitor revenue growth, operating margins, and EPS trends; these metrics reflect cyclicality tied to capital markets activity.
Stock information
Exchange: NYSE; Ticker: MCO. Traders and long-term investors follow mco stock for liquidity, index inclusion, and historical returns. As of January 25, 2026, according to Benzinga, mco stock had a market capitalization of $94.60 billion, and a reported intraday price near $517.11 (figures referenced to Benzinga data published January 25, 2026).
Historical performance
Benzinga reports that Moody’s has outperformed the market over the past 10 years with an average annualized return of 19.33%. For example, a $1,000 investment in mco stock made 10 years ago would be worth approximately $5,962.54 based on the cited price history (Benzinga, Jan 25, 2026).
Dividends and shareholder returns
Moody’s has paid dividends and executed share-repurchase programs; dividend yields and buyback activity are part of the total-return picture for mco stock.
Analysts, valuation, and investor coverage
mco stock receives coverage from sell-side and independent analysts. Common valuation metrics include P/E and EV/EBITDA, with subscription multiples used for the analytics segment.
Risks and controversies
Key risks include regulatory oversight of ratings, conflict-of-interest concerns, and revenue cyclicality when bond issuance declines. Historical controversies and regulatory actions have periodically affected sentiment around mco stock.
Regulation and legal environment
Credit rating agencies operate under regulatory frameworks in multiple jurisdictions. Compliance and legal outcomes are material to Moody’s operations and can influence mco stock.
Corporate actions and notable events
Mergers, acquisitions, platform launches, and material litigation have shaped Moody’s strategy and can move mco stock when disclosed.
Trading instruments and derivatives
mco stock is available via shares, options, and ETFs that include Moody’s. Retail investors may access fractional-share trading through brokers and platforms; for trading and market access, consider using Bitget’s trading services and Bitget Wallet for custody and related tools.
See also
Credit rating agencies; fixed-income markets; financial data providers; S&P Global; Fitch Ratings.
References
- Benzinga market report and data (published Jan 25, 2026) — cited for 10-year return, market capitalization, and example price history.
- Moody’s investor relations materials (company filings and reports).
- Historical price datasets (Macrotrends, Nasdaq, Morningstar) for long-term performance analysis.
External links
- Moody’s investor relations (official site)
- NYSE quote page for MCO
- Major financial-data pages (Yahoo Finance, Morningstar, CNBC)
Further exploration: to track live quotes, historical charts, and filings for mco stock, use real-time market data pages and Moody’s own investor materials. To access trading tools and custody solutions for equities exposure, explore Bitget’s platform and Bitget Wallet for secure account setup and market access.





















