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CoStar Group, Inc.Informe acción NasdaqGS:CSGP

Capitalización bursátil US$13.9b
Precio de las acciones
US$33.95
US$49.32
31.2% infravalorado descuento intrínseco
1Y-54.1%
7D2.3%
1D
Valor de la cartera
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CoStar Group, Inc.

Informe acción NasdaqGS:CSGP

Capitalización de mercado: US$13.9b

CoStar Group (CSGP) Resumen de Acciones

CoStar Group, Inc. proporciona información, análisis y servicios de mercado en línea a las comunidades inmobiliarias y empresariales relacionadas de Estados Unidos, Australia, Canadá, Europa, Asia-Pacífico y Latinoamérica. Saber más

Análisis fundamental de CSGP
Puntuación del snowflake
Valoración3/6
Crecimiento futuro4/6
Rendimiento pasado1/6
Salud financiera5/6
Dividendos0/6

CSGP Community Fair Values

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Competidores de CoStar Group, Inc.

Historial de precios y rendimiento

Resumen de las cotizaciones máximas, mínimas y variaciones del CoStar Group
Precios históricos de las acciones
Precio actual de la acciónUS$33.95
Máximo en las últimas 52 semanasUS$97.43
Mínimo de 52 semanasUS$31.36
Beta0.75
Cambio en 1 mes-6.83%
Variación en 3 meses-30.93%
Cambio de 1 año-54.12%
Variación en 3 años-56.75%
Variación en 5 años-60.25%
Variación desde la OPV3,595.04%

Noticias y actualizaciones recientes

Actualización de narrativa May 13

CSGP: AI Deployment And Activist Discipline Will Support Residential Margin Recovery

CoStar Group's updated analyst price target framework now points to a lower fair value of $49.32 from $61.42, as analysts recalibrate expectations around revenue growth, profitability, and a more moderate future P/E after a broad wave of target cuts across the Street. Analyst Commentary Recent research has centered on how CoStar Group balances growth investments, particularly around Homes.com and multifamily, with profitability and valuation discipline.

Recent updates

Actualización de narrativa May 13

CSGP: AI Deployment And Activist Discipline Will Support Residential Margin Recovery

CoStar Group's updated analyst price target framework now points to a lower fair value of $49.32 from $61.42, as analysts recalibrate expectations around revenue growth, profitability, and a more moderate future P/E after a broad wave of target cuts across the Street. Analyst Commentary Recent research has centered on how CoStar Group balances growth investments, particularly around Homes.com and multifamily, with profitability and valuation discipline.
Actualización de narrativa Apr 21

CSGP: Activist Pressure And AI Rollout Will Support Residential Margin Recovery

Analysts have trimmed CoStar Group's implied value by about $3 per share to reflect a series of lower Street price targets, citing softer bookings, questions around medium term revenue growth, and ongoing investment in Homes.com despite solid recent margins and reaffirmed longer term guidance from several firms. Analyst Commentary Recent research shows a wide range of opinions on CoStar Group, with most firms trimming price targets while reassessing how Homes.com spending, bookings trends, and disclosure around the residential and multifamily segments feed into execution risk and valuation.
Seeking Alpha Apr 21

CoStar: Even After The Fall, This Stock Remains Vulnerable In The AI Age

Summary CoStar is initiated at a Sell rating due to a lack of a technology moat and unjustified valuation multiples, despite a 40% YTD stock drop. CSGP's ambitious growth targets—10x adjusted EBITDA by 2030 and 19% revenue growth in FY26—appear unrealistic given macro headwinds and competitive AI risks. Heavy investments in residential AI and sales force expansion are expected to pressure margins, with residential segment margins lagging commercial at only 5–7%. Even if CSGP meets its guidance, shares trade at 21.2x FY26 EV/EBITDA, a premium to peers, making the current correction a justified re-rating rather than a buying opportunity. Read the full article on Seeking Alpha
Actualización de narrativa Apr 07

CSGP: Activist Pressure And AI Investments Will Shape Residential Margin Recovery

Analysts have trimmed CoStar Group's average price target by around $10 to reflect recent Q4 bookings softness, a more cautious mid term revenue outlook, and questions around segment disclosure, while still pointing to resilient core commercial performance and ongoing investments in Homes.com as key factors in their updated models. Analyst Commentary Recent research paints a mixed picture for CoStar Group, with most firms trimming price targets but keeping generally constructive views on the underlying commercial franchise and the long term potential of Homes.com.
Actualización de narrativa Mar 24

CSGP: Activist Pressure And Buybacks Will Support Residential Margin Recovery

Narrative Update The updated analyst price target for CoStar Group edges lower as analysts trim valuation multiples and fair value inputs by a small amount. This reflects recent cuts to Street targets following mixed Q4 bookings, evolving views on Homes.com investment and disclosure, and slightly more cautious medium term growth expectations, despite reaffirmed long term guidance and solid core commercial performance.
Actualización de narrativa Mar 08

CSGP: Activist Pressure And Buybacks Will Support Residential Investment Turnaround

Analysts have reduced their CoStar Group price target in aggregate, with our fair value estimate moving about $12.63 lower to $65.42 as they factor in softer bookings, slightly lower projected revenue growth and margin assumptions, and a more cautious view on medium term expansion, despite solid recent results and maintained long term guidance. Analyst Commentary Street research has turned more cautious on CoStar Group, with many firms lowering price targets while still acknowledging solid Q4 execution and reaffirmed long term guidance.
Actualización de narrativa Feb 22

CSGP: New Buyback And Activist Pressure Will Support Homes Investment Payoff

Analysts have trimmed their price target on CoStar Group by about $2.70 to $78.05, reflecting a blend of reduced fair value, a lower assumed future P/E multiple, and ongoing debate around Homes.com, while also highlighting long-term revenue growth prospects and the potential impact of activism and capital returns. Analyst Commentary Recent research on CoStar Group shows a clear split between optimism around long-term growth and caution around execution, Homes.com investment, and valuation.
Artículo de análisis Feb 13

CoStar Group, Inc.'s (NASDAQ:CSGP) Share Price Is Still Matching Investor Opinion Despite 27% Slump

Unfortunately for some shareholders, the CoStar Group, Inc. ( NASDAQ:CSGP ) share price has dived 27% in the last...
Actualización de narrativa Feb 07

CSGP: New Buyback And Activist Pressure Will Support Future Upside

Analysts have made only a modest adjustment to their CoStar Group price targets, with small tweaks to fair value, discount rate, revenue growth and profit margin assumptions reflecting mixed views on the latest long term guidance, recent target resets ranging from about $55 to $78, and improving visibility cited by some firms. Analyst Commentary Recent research shows a split view on CoStar Group, with some focusing on long term growth optionality and others concentrating on near term profitability and execution risk around the updated multi year outlook.
Actualización de narrativa Jan 23

CSGP: New Buyback And Reduced Homes Investment Will Support Future Upside

Narrative Update on CoStar Group Analysts have trimmed their implied price target for CoStar Group to about $80.78 per share from $84.82, reflecting recalibrated expectations around margins, a higher assumed future P/E multiple near 84x, and mixed reactions to new long term guidance and capital return plans. Analyst Commentary Recent research shows a wide range of views on CoStar Group, with several firms adjusting price targets and reacting to the updated 2026 and medium term outlook, Homes.com investment plans, and the new US$1.5b share repurchase authorization.
Actualización de narrativa Jan 09

CSGP: New Buyback And Reduced Rival Pressure Will Drive Future Upside

Analysts have trimmed their price targets on CoStar Group, reducing fair value estimates from about $91.94 to $84.82 as they factor in lower long term guidance, a slightly higher discount rate, slower projected revenue growth, and a lower future P/E multiple, partly offset by a modestly higher expected profit margin and the new $1.5b buyback plan. Analyst Commentary Recent research paints a mixed picture for CoStar Group, with analysts splitting between confidence in the long term and concern about execution risk and valuation after the updated 2026 and medium term outlook.
Actualización de narrativa Dec 25

CSGP: Rival Partnership Disruptions Will Drive Future Competitive And Share Price Upside

Analysts have modestly lowered their price target on CoStar Group to $60.00 from $70.00, citing a slightly improved competitive outlook from potential disruption to rival partnerships, while maintaining a cautious stance overall. Analyst Commentary Analysts see recent legal and competitive developments in the U.S. online real estate market as incrementally supportive of CoStar's long term positioning, but not yet strong enough to offset concerns about valuation and execution risks.
Actualización de narrativa Dec 11

CSGP: Medium-Term Upside Will Be Driven By Rival Regulatory Disruptions

Analysts modestly reduced their price target on CoStar Group to $60.00 from $70.00, citing updated views on competitive dynamics and regulatory developments that are seen as neutral to slightly positive for the company over the long term. Analyst Commentary Bullish Takeaways Bullish analysts view the FTC and Compass lawsuits against a key competitor as a potential catalyst that could weaken rival marketplace dynamics, supporting CoStar's long term competitive positioning.
Actualización de narrativa Nov 27

CSGP: Medium-Term Upside Will Be Driven By Expanding Margins And Industry Disruption

CoStar Group's analyst price target has been revised downward from $70 to $60. Analysts attribute this change to expert views on legal developments in the sector and ongoing market competition, while maintaining a neutral to slightly positive outlook for the company's strategic position.
Actualización de narrativa Nov 13

CSGP: Positioned For Medium-Term Upside As Operating Leverage Expands Margins

Narrative Update on CoStar Group Analysts have lowered their fair value estimate for CoStar Group from $94.06 to $92.59 per share. This change reflects concerns about reduced profit margin forecasts, though there is ongoing confidence in steady revenue growth and the company's strong digital platform performance.
Actualización de narrativa Oct 29

Margin Expansion And Platform Momentum Will Drive Strong Returns Ahead

Analysts have lowered their fair value estimate for CoStar Group from $97.13 to $94.06, citing moderated sales growth expectations and a higher required return. However, they remain optimistic due to anticipated margin expansion and strong platform performance.
Artículo de análisis Sep 11

Is CoStar Group (NASDAQ:CSGP) Using Debt Sensibly?

The external fund manager backed by Berkshire Hathaway's Charlie Munger, Li Lu, makes no bones about it when he says...
Actualización de narrativa Sep 04

Digitalization And AI Integration Will Create Future Real Estate Opportunities

Analysts remain upbeat on CoStar Group, highlighting continued strength across key platforms like Homes.com and Apartments.com, and expecting margin expansion from operating leverage, while the consensus price target remains unchanged at $97.12. Analyst Commentary Bullish analysts cite strong investment returns and traction from the Homes.com platform as a key driver of future growth.
Artículo de análisis May 31

CoStar Group (NASDAQ:CSGP) Has A Pretty Healthy Balance Sheet

Warren Buffett famously said, 'Volatility is far from synonymous with risk.' It's only natural to consider a company's...
Seeking Alpha Feb 21

CoStar Group: I Still Expect Growth To Accelerate Back To High-Teens

Summary I maintain a buy rating for CoStar Group due to its promising growth outlook, driven by strong performance in Apartments.com and Homes.com. CSGP's latest earnings report showed 11% y/y revenue growth to $709 million, with adj EBITDA up 47% sequentially, demonstrating strong operating leverage. Apartments.com continues to dominate with 13.4% y/y revenue growth in 4Q24, benefiting from high multifamily vacancy rates and strong pricing power. Homes.com grew 181% y/y in 4Q24, showing significant market share gains, though profitability remains a concern due to ongoing investments. Read the full article on Seeking Alpha
Seeking Alpha Jan 31

CoStar Stock May Remain Flat For Another 5 Years

Summary CoStar Group has consistently delivered double-digit revenue growth for 54 consecutive quarters, showcasing robust performance even in a tough real estate market. Despite stellar revenue growth, CoStar's stock has underperformed, with a 5-year CAGR of just 2.87%, lagging behind the overall market and inflation. CSGP stock's valuation remains a significant obstacle, likely resulting in muted returns for investors over the next five years despite continued business expansion. Read the full article on Seeking Alpha
Seeking Alpha Oct 24

CoStar Group: Growth Outlook In The Coming Years Remains Solid

Summary I reiterate my bullish view on CoStar Group stock due to solid growth outlook. CSGP's latest earnings showed 10.9% revenue growth, missing expectations, but EPS beat consensus; the residential segment grew 169% y/y, driven by Homes.com monetization. Fundamentals remain strong; commercial businesses grew high-single-digits y/y despite macro challenges; Homes.com network's momentum continues with significant sales rep expansion planned. Read the full article on Seeking Alpha

Rentabilidad de los accionistas

CSGPUS Real EstateMercado US
7D2.3%-0.2%1.1%
1Y-54.1%-8.0%28.7%

Rentabilidad vs. Industria: Los resultados de CSGP fueron inferiores a los de la industria US Real Estate, que obtuvo un rendimiento del -8% el año pasado.

Rentabilidad vs. Mercado: CSGP obtuvo unos resultados inferiores a los del mercado US, que fueron del 28.7% el año pasado.

Volatilidad de los precios

Is CSGP's price volatile compared to industry and market?
CSGP volatility
CSGP Average Weekly Movement5.2%
Real Estate Industry Average Movement6.9%
Market Average Movement7.2%
10% most volatile stocks in US Market16.4%
10% least volatile stocks in US Market3.1%

Precio estable de las acciones: CSGP no ha tenido una volatilidad de precios significativa en los últimos 3 meses en comparación con el mercado US.

Volatilidad a lo largo del tiempo: La volatilidad semanal de CSGP (5%) se ha mantenido estable durante el año pasado.

Acerca de la empresa

FundadaEmpleadosCEOPágina web
19868,441Andy Florancewww.costargroup.com

CoStar Group, Inc. proporciona información, análisis y servicios de mercado en línea a las comunidades inmobiliarias y empresariales relacionadas en Estados Unidos, Australia, Canadá, Europa, Asia-Pacífico y Latinoamérica. Ofrece CoStar Property, que proporciona un inventario de propiedades de oficinas, industriales, minoristas, multifamiliares, hoteleras, residencias de estudiantes y terrenos; CoStar Leasing, una base de datos sobre transacciones de arrendamiento y herramientas para gestionar los datos de arrendamiento introducidos por el usuario; CoStar Sales, una base de datos de transacciones de venta de bienes inmuebles comerciales; CoStar Owners, que proporciona información detallada sobre carteras; CoStar Markets, para ver e informar sobre tendencias de mercado y submercado; y CoStar Tenant, que proporciona información sobre inquilinos. La empresa también ofrece benchmarking de hostelería que permite a los hoteles medir el rendimiento frente a sus competidores; Debt Solutions, una herramienta para que los prestamistas gestionen las carteras de préstamos y el riesgo; y soluciones tecnológicas de gestión inmobiliaria y de arrendamientos, como administración de arrendamientos, contabilidad de arrendamientos y servicios de gestión de transacciones.

Resumen de fundamentos de CoStar Group, Inc.

¿Cómo se comparan los beneficios e ingresos de CoStar Group con su capitalización de mercado?
Estadísticas fundamentales de CSGP
Capitalización bursátilUS$13.86b
Beneficios(TTM)US$25.00m
Ingresos (TTM)US$3.41b
554.5x
Ratio precio-beneficio (PE)
4.1x
Ratio precio-ventas (PS)

Beneficios e Ingresos

Estadísticas clave de rentabilidad del último informe de resultados (TTM)
Cuenta de resultados (TTM) de CSGP
IngresosUS$3.41b
Coste de los ingresosUS$729.00m
Beneficio brutoUS$2.68b
Otros gastosUS$2.66b
BeneficiosUS$25.00m

Últimos beneficios comunicados

Mar 31, 2026

Próxima fecha de beneficios

n/a

Beneficios por acción (BPA)0.061
Margen bruto78.63%
Margen de beneficio neto0.73%
Ratio deuda/patrimonio12.5%

¿Cómo se ha desempeñado CSGP a largo plazo?

Ver rendimiento histórico y comparativa

Análisis de la empresa y estado de los datos financieros

DatosÚltima actualización (huso horario UTC)
Análisis de la empresa2026/05/25 23:52
Precio de las acciones al final del día2026/05/22 00:00
Beneficios2026/03/31
Ingresos anuales2025/12/31

Fuentes de datos

Los datos utilizados en nuestro análisis de empresas proceden de S&P Global Market Intelligence LLC. Los siguientes datos se utilizan en nuestro modelo de análisis para generar este informe. Los datos están normalizados, lo que puede introducir un retraso desde que la fuente está disponible.

PaqueteDatosMarco temporalEjemplo Fuente EE.UU. *
Finanzas de la empresa10 años
  • Cuenta de resultados
  • Estado de tesorería
  • Balance
Estimaciones del consenso de analistas+3 años
  • Previsiones financieras
  • Objetivos de precios de los analistas
Precios de mercado30 años
  • Precios de las acciones
  • Dividendos, escisiones y acciones
Propiedad10 años
  • Accionistas principales
  • Información privilegiada
Gestión10 años
  • Equipo directivo
  • Consejo de Administración
Principales avances10 años
  • Anuncios de empresas

* Ejemplo para valores de EE.UU., para no EE.UU. se utilizan formularios y fuentes normativas equivalentes.

A menos que se especifique lo contrario, todos los datos financieros se basan en un periodo anual, pero se actualizan trimestralmente. Esto se conoce como datos de los últimos doce meses (TTM) o de los últimos doce meses (LTM). Más información.

Modelo de análisis y copo de nieve

Los detalles del modelo de análisis utilizado para generar este informe están disponibles en nuestra página de Github, también tenemos guías sobre cómo utilizar nuestros informes y tutoriales en Youtube.

Conozca al equipo de talla mundial que diseñó y construyó el modelo de análisis Simply Wall St.

Métricas industriales y sectoriales

Simply Wall St calcula cada 6 horas nuestras métricas sectoriales y de sección. Los detalles de nuestro proceso están disponibles en Github.

Fuentes analistas

CoStar Group, Inc. está cubierta por 25 analistas. 20 de esos analistas presentaron las estimaciones de ingresos o ganancias utilizadas como datos para nuestro informe. Las estimaciones de los analistas se actualizan a lo largo del día.

AnalistaInstitución
Jeffrey MeulerBaird
Jeffrey SilberBMO Capital Markets Equity Research
Nicholas JonesBNP Paribas