⚠️ Not investment advice. This is a quantitative research tool; every decision is the user's own responsibility. Past performance does not guarantee future results.⚠️ Not investment advice. Past performance does not guarantee future results.
⚠️ Not investment advice. Past performance does not guarantee future results.
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CoStar Group CSGP

United States Real Estate
4.7/10
AI Analyst score
28.09 USD
Last price at analysis date · analyst target 37.30 (+32.8%)
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🟡 HOLD — Hold; wait for revenue growth deceleration to stabilize and for the price to better reflect interest rate risk before entering.

CoStar Group is a leading provider of information, analytics, and online marketing services for the commercial and residential real estate markets in the United States, United Kingdom, and Canada. P/E 156.1 · ROE 0.9% · operating margin 8.2% · net cash

Financial health
7.3
Quality / Moat
5.2
Valuation
4.3
Growth
8.5
Dividend
0.5
Momentum
0.3
Risk & Context
7.0

Detailed metrics

Market and fundamental data as of the analysis date.

💵 Valuation
P/E156.06
Fwd P/E15.84
EV/EBITDA28.64
P/B1.43
P/S3.20
PEG0.10
Market cap11.38 B USD
Enterprise value11.28 B USD
🏰 Quality and moat
ROIC (approx.)3.2%
Gross margin78.68%
FCF conversion105%
Operating margin8.22%
📈 Profitability and margins
ROE0.89%
ROA0.47%
Net margin2.08%
FCF412.7 M USD
FCF yield3.63%
🏦 Solvency and liquidity
Total debt1.16 B USD
Net debt-111.0 M USD
Cash1.27 B USD
EBITDA394.0 M USD
Net debt / EBITDA-0.28
D/E14.54
Current ratio2.21
Quick ratio2.06
🚀 Growth
Revenue growth18.40%
Earnings growth1261.00%
EPS (TTM)0.18 USD
EPS (Fwd)1.77 USD
💰 Dividend and risk
Dividend yield0.00%
Payout0.0%
Beta0.75
Analyst consensusBuy (20)
Target price37.30 USD
52-week range25.89 USD – 85.24 USD
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Full AI report

Generated automatically from the metrics, the macro context and the company's news.

CoStar Group is a leading provider of information, analytics, and online marketing services for the commercial and residential real estate markets in the United States, United Kingdom, and Canada. P/E 156.1 · ROE 0.9% · operating margin 8.2% · net cash

Score by category

CategoryScore
Financial health7.3
Quality / Moat5.2
Valuation4.3
Growth8.5
Dividend0.5
Momentum0.3
Risk & Context7.0

OVERALL SCORE: 4.7/10

Context and risks

The rise in 10-year Treasury yields (5.17%) affects CoStar as a long-duration company: its valuation depends on distant future cash flows and its implied P/E is high (EV/EBITDA 28.6). Additionally, the commercial real estate sector CoStar serves is directly hurt by higher financing costs, which may pressure demand for its information and marketing services.

News considered in the analysis

  • CoStar’s Revenue Growth Fell 9% in Two Quarters. Here’s What It Isn’t Saying — La desaceleración del crecimiento de ingresos es un hecho ya ocurrido y material, aunque el mercado ya lo ha descontado parcialmente tras la fuerte caída del precio.
  • CoStar (CSGP): Residential Strategy Unchanged Despite Persistent Market Skepticism — El escepticismo persistente del mercado sobre la estrategia residencial (apartments.com, Homes.com) añade presión, pero es una opinión en parte ya reflejada en el precio.
  • Astellas lists 431K sf Northbrook HQ in possible sale-leaseback play — Noticia del sector inmobiliario sin impacto directo en los fundamentales de CoStar.
  • S&P 500 Nears Record as Breadth Sends Rare Warning — Ruido de mercado sin información específica sobre CoStar.
  • 1 Mid-Cap Stock with Competitive Advantages and 2 That Underwhelm — Listículo genérico sin información nueva.

Verdict: Hold; wait for revenue growth deceleration to stabilize and for the price to better reflect interest rate risk before entering.

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Automatically generated analysis from fundamental, market and news data. Not personalised financial advice — a research tool, not an individual recommendation. Past performance does not guarantee future results. Last update of this analysis: 2026-09-28. Legal notice, privacy & cookies.