Costar Group, Inc (CSGP) is a publicly traded company listed on the NASD. It operates in the Real Estate Services industry, part of the broader Real Estate sector. The company has a market capitalization of 27.69B, generates annual revenue of 3.06B, and reports net income of 20.30M. As of the latest data, the stock is trading at 65.34 USD.
From a valuation and risk perspective, the stock presents the following profile: The stock is trading at a high valuation compared to the market average, suggesting investor optimism or growth expectations. The PEG ratio is within a normal range, suggesting the stock is fairly priced for its expected growth. The company has very low leverage, which may indicate conservative financial management or underutilization of debt. This stock does not currently pay a dividend. The stock has average market volatility, aligning with general market movement.
Analyst recommendation stands at Hold (3.92), indicating current market sentiment. Institutional ownership is reported at 99.86%, reflecting confidence from large investors. Over the last 12 months, the stock has shown a performance of -10.76%, trading within a 52-week range of 57.01 - 97.43.
| Index: | NDX, S&P 500 | P/E: | 1271.21 | EPS (ttm): | 0.05 | Insider Own: | 1.25% | Shs Outstand: | 424.30M | Perf Week: | 11.71% |
| Market Cap: | 27.69B | Forward P/E: | 49.09 | EPS next Y: | 1.33 | Insider Trans: | -1.05% | Shs Float: | 418.53M | Perf Month: | 2.70% |
| Income(ttm): | 20.30M | PEG: | 1.54 | EPS next Q: | 0.27 | Inst Own: | 99.86% | Short Float: | 3.89% | Perf Quarter: | -12.12% |
| Revenue(ttm): | 3.06B | P/S: | 9.06 | EPS this Y: | 4.59% | Inst Trans: | -1.42% | Short Ratio: | 3.46 | Perf Half Y: | -22.86% |
| Book/sh: | 20.31 | P/B: | 3.22 | EPS next Y: | 58.31% | ROA: | 0.20% | Short Interest: | 16.27M | Perf Year: | -10.76% |
| Cash/sh: | 4.80 | P/C: | 13.61 | EPS next 5Y: | 31.90% | ROE: | 0.25% | 52W Range: | 57.01 - 97.43 | Perf YTD: | -2.83% |
| Dividend Est.: | - | P/FCF: | 100.12 | EPS past 3/5Y: | -22.90% -16.93% | ROIC: | 0.21% | 52W High: | 97.43 -32.94% | Beta: | 0.84 |
| Dividend TTM: | - | Quick Ratio: | 3.11 | Sales past 3/5Y: | 12.07% 14.35% | Gross Margin: | 76.36% | 52W Low: | 57.01 14.61% | Perf 5Y: | -27.75% |
| Dividend Ex-Date: | - | Current Ratio: | 3.12 | EPS Y/Y TTM: | -87.93% | Oper. Margin: | -2.00% | RSI (14): | 51.07 | Volatility: | 4.96% 3.58% |
| Employees: | 6593 | Debt/Eq: | 0.13 | Sales Y/Y TTM: | 14.61% | Profit Margin: | 0.66% | Recom: | 1.91 | Target Price: | 80.76 |
| Option/Short: | Yes / Yes | LT Debt/Eq: | 0.13 | EPS Q/Q: | -156.66% | Payout: | 0.00% | Rel Volume: | 1.58 | Prev Close: | 63.38 |
| Sales Surprise: | 2.51% | EPS Surprise: | 26.37% | Sales Q/Q: | 20.36% | Earnings: | Oct 28 AMC | Avg Volume: | 4.71M | Price: | 65.34 |
| SMA20: | 0.95% | SMA50: | -1.55% | SMA200: | -16.41% | Undervalued: 23.6% | Volume: | 7,415,553 | Change: | 3.09% | |
CoStar Group, Inc. engages in the provision of online real estate marketplaces, information, and analytics in the commercial and residential property markets. It operates through the following segments: CoStar Portfolio, Information Services Portfolio, Multifamily Portfolio, LoopNet Portfolio, and Other Marketplaces Portfolio. The CoStar Portfolio segment consists of two classes of trade receivables based on geographical location: North America and International. The Information Services Portfolio segment includes four classes of trade receivables: CoStar Real Estate Manager, Hospitality, North America, Hospitality, International, and other Information Services. The Multifamily Portfolio, LoopNet Portfolio, and Other Marketplaces Portfolio segments focus on one class of trade receivables. The company was founded by Andrew C. Florance and Michael R. Klein in 1987 and is headquartered in Arlington, VA.
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