
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 | FY2017 |
|---|---|---|---|---|---|---|---|---|---|
| Total Revenues | $436.4M+1.1% | $431.7M+32.1% | $326.7M+22.9% | $265.8M-23.6% | $347.7M-21.1% | $440.8M+9.3% | $403.4M+109.2% | $192.8M+25.0% | $154.3M |
| Compensation and benefits | $907.0M+6.7% | $850.3M+2.6% | $828.6M+10.0% | $753.1M-10.0% | $837.0M-2.3% | $856.5M-4.7% | $898.7M+33.7% | $672.2M+19.2% | $563.9M |
| Technology | $283.2M+10.7% | $255.8M+17.0% | $218.7M+16.0% | $188.6M-2.1% | $192.6M-3.0% | $198.5M-1.5% | $201.5M+71.9% | $117.2M+15.4% | $101.6M |
| Professional fees and outside services | $150.5M+13.4% | $132.7M-8.1% | $144.4M+5.1% | $137.4M-9.4% | $151.7M-20.7% | $191.3M+9.9% | $174.1M+4.8% | $166.1M+41.2% | $117.6M |
| Amortization of purchased intangibles | $223.4M+0.8% | $221.7M-2.2% | $226.6M-0.5% | $227.7M-4.2% | $237.6M-23.7% | $311.2M-1.1% | $314.7M+142.1% | $130.0M+36.1% | $95.5M |
| Depreciation and amortization | $107.5M-6.6% | $115.1M-8.7% | $126.0M-6.6% | $134.9M-8.7% | $147.8M-3.5% | $153.2M-3.4% | $158.6M+33.6% | $118.7M+5.0% | $113.0M |
| Licensing and other fee agreements | $371.0M+4.4% | $355.4M+10.1% | $322.8M+0.9% | $320.0M+35.1% | $236.9M-3.3% | $244.9M+42.2% | $172.2M+0.9% | $170.6M+16.6% | $146.3M |
| Other | $248.5M-7.1% | $267.6M-3.1% | $276.1M+14.2% | $241.8M+0.4% | $240.9M-17.1% | $290.6M-19.4% | $360.4M+10.2% | $327.0M+66.7% | $196.2M |
| Total Expenses | $2.29B+4.2% | $2.20B+2.6% | $2.14B+7.0% | $2.00B-2.0% | $2.04B-9.0% | $2.25B-1.5% | $2.28B+34.0% | $1.70B+27.6% | $1.33B |
| Operating Income | $4.23B+7.6% | $3.93B+14.4% | $3.44B+13.9% | $3.02B+14.0% | $2.65B+0.3% | $2.64B+1.9% | $2.59B-0.8% | $2.61B+12.9% | $2.31B |
| Investment income | $5.74B+40.6% | $4.08B-22.7% | $5.28B+140.0% | $2.20B+616.3% | $306.9M+68.0% | $182.7M-71.4% | $637.9M-14.4% | $745.1M+40.1% | $531.7M |
| Interest and other borrowing costs | -$173.4M-7.8% | -$160.9M-0.9% | -$159.4M+2.0% | -$162.7M+2.5% | -$166.9M-0.4% | -$166.2M+6.6% | -$178.0M-12.9% | -$157.7M-34.8% | -$117.0M |
| Equity in net earnings (losses) of unconsolidated subsidiaries | $371.7M+5.9% | $350.9M+18.2% | $296.9M-1.4% | $301.1M+22.5% | $245.8M+29.0% | $190.6M+7.8% | $176.8M+15.7% | $152.8M+18.3% | $129.2M |
| Other income (expense) | -$4.83B-32.1% | -$3.66B+22.1% | -$4.69B-152.1% | -$1.86B-643.6% | $342.6M+379.9% | -$122.4M+77.1% | -$534.9M+6.2% | -$570.0M-73.7% | -$328.2M |
| Total Non-Operating | $1.10B+80.5% | $609.9M-15.0% | $717.9M+51.3% | $474.4M-34.9% | $728.4M+760.0% | $84.7M-16.8% | $101.8M-40.2% | $170.2M-21.1% | $215.7M |
| Income before Income Taxes | $5.33B+17.4% | $4.54B+9.3% | $4.15B+19.0% | $3.49B+3.5% | $3.37B+23.9% | $2.72B+1.2% | $2.69B-3.2% | $2.78B | — |
| Income tax provision | $1.26B+23.9% | $1.02B+9.5% | $927.4M+16.0% | $799.3M+8.5% | $736.7M+19.7% | $615.7M+7.3% | $573.8M-29.5% | $814.1M+153.0% | -$1.54B |
| Net income | $4.07B+15.5% | $3.53B+9.3% | $3.23B+19.9% | $2.69B+2.1% | $2.64B+25.2% | $2.11B-0.4% | $2.12B+7.7% | $1.96B-51.7% | $4.06B |
| Net income attributable to CME Group | $4.07B+15.5% | $3.53B+9.3% | $3.23B | — | $2.64B+25.2% | $2.11B-0.5% | $2.12B+7.9% | $1.96B-51.7% | $4.06B |
| Net Income Attributable to Common Shareholders of CME Group | $4.02B+15.5% | $3.48B+9.3% | $3.19B+19.9% | $2.66B+1.5% | $2.62B+24.3% | $2.11B-0.5% | $2.12B | — | — |
| Basic | $359.65B+0.1% | $359.39B+0.1% | $359.02B+0.1% | $358.71B+0.1% | $358.34B+0.2% | $357.76B+0.2% | $357.15B+4.3% | $342.34B+1.1% | $338.71B |
| Diluted | $360.31B+0.1% | $359.94B+0.1% | $359.50B+0.1% | $359.18B+0.1% | $358.93B+0.1% | $358.52B+0.1% | $358.24B+4.2% | $343.74B+1.0% | $340.23B |
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Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.