MSCI Inc Current Ratio 2008-2018 | MSCI

Current and historical current ratio for MSCI Inc (MSCI) from 2008 to 2018. Current ratio can be defined as a liquidity ratio that measures a company's ability to pay short-term obligations. MSCI Inc current ratio for the three months ending September 30, 2018 was 2.75.
MSCI Inc Current Ratio Historical Data
Date Current Assets Current Liabilities Current Ratio
2018-09-30 $1.86B $0.68B 2.75
2018-06-30 $1.82B $0.69B 2.65
2018-03-31 $1.35B $0.66B 2.06
2017-12-31 $1.27B $0.61B 2.09
2017-09-30 $1.15B $0.56B 2.05
2017-06-30 $1.08B $0.55B 1.96
2017-03-31 $0.99B $0.50B 1.99
2016-12-31 $1.06B $0.54B 1.97
2016-09-30 $1.26B $0.52B 2.44
2016-06-30 $0.74B $0.51B 1.45
2016-03-31 $0.76B $0.47B 1.63
2015-12-31 $1.06B $0.50B 2.14
2015-09-30 $1.29B $0.49B 2.62
2015-06-30 $0.78B $0.46B 1.69
2015-03-31 $0.79B $0.45B 1.75
2014-12-31 $0.77B $0.47B 1.63
2014-09-30 $0.76B $0.50B 1.52
2014-06-30 $1.01B $0.48B 2.12
2014-03-31 $0.99B $0.55B 1.81
2013-12-31 $0.62B $0.50B 1.24
2013-09-30 $0.59B $0.53B 1.11
2013-06-30 $0.62B $0.50B 1.24
2013-03-31 $0.52B $0.48B 1.08
2012-12-31 $0.52B $0.51B 1.01
2012-09-30 $0.67B $0.49B 1.36
2012-06-30 $0.61B $0.48B 1.25
2012-03-31 $0.71B $0.42B 1.69
2011-12-31 $0.68B $0.45B 1.50
2011-09-30 $0.63B $0.43B 1.46
2011-06-30 $0.56B $0.42B 1.33
2011-03-31 $0.45B $0.38B 1.19
2010-12-31 $0.58B $0.47B 1.23
2010-11-30 $0.54B $0.47B 1.15
2010-08-31 $0.45B $0.41B 1.09
2010-05-31 $0.36B $0.25B 1.45
2010-02-28 $0.60B $0.26B 2.29
2009-11-30 $0.60B $0.29B 2.06
2009-08-31 $0.48B $0.31B 1.54
2009-05-31 $0.45B $0.31B 1.47
2009-02-28 $0.41B $0.29B 1.42
2008-11-30 $0.39B $0.29B 1.35
2008-08-31 $0.37B $0.28B 1.30
2008-05-31 $0.38B $0.31B 1.25
2008-02-29 $0.35B $0.29B 1.20
2007-12-31 $0.28B $0.25B 1.15
2007-11-30 $0.28B $0.25B 1.15
2007-08-31 $0.00B $0.00B 0.00
2007-05-31 $0.00B $0.00B 0.00
2007-02-28 $0.00B $0.00B 0.00
Sector Industry Market Cap Revenue
Computer and Technology Business Software Services $13.186B $1.274B
MSCI Inc. is an independent provider of research-driven insights and tools for institutional investors. They have deep expertise in the areas of risk and performance measurement that is based on more than 40 years of academic research, real-world experience and collaboration with their clients. Their broad product line supports clients' needs across all major asset classes and provides them with a consistent way of looking at risk and performance from front to middle office. They have a highly flexible business model that enables clients to select the individual products and services they need and integrate them into their own investment processes and methodologies.
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