Tableau de bordPortefeuillesListe de surveillanceCommunautéDécouvrirFiltre
NOT FOR DISTRIBUTION
Loading...
  • Stocks
  • /
  • Gestion et développement de l'immobilier
Mis à jour il y a 1m
CSGP logo

CoStar Group, Inc.NasdaqGS:CSGP Rapport sur les actions

Capitalisation boursière US$12.3b
Mis à jour il y a 1m
Prix de l'action
n/a
1Y-64.9%
7D-1.5%
1D3.3%
Valeur du portefeuille
​
Voir

CoStar Group, Inc.

NasdaqGS:CSGP Rapport sur les actions

Capitalisation boursière : US$12.3b

  • Présentation de l'entreprise
  • Évaluation
  • Croissance future
  • Performances passées
  • Santé financière
  • Dividende
  • Gestion
  • Propriété
  • Autres informations
  • Communauté boursière

CoStar Group (CSGP) Aperçu de l'action

CoStar Group, Inc. fournit des informations, des analyses et des services de marché en ligne aux communautés immobilières et commerciales connexes aux États-Unis, en Australie, au Canada, en Europe, dans la région Asie-Pacifique et en Amérique latine. Plus de détails

CSGP analyse fondamentale
Score flocon de neige
Évaluation3/6
Croissance future3/6
Performances passées1/6
Santé financière6/6
Dividendes0/6

Récompenses

Se négocie à 52.7% en dessous de notre estimation de sa juste valeur

Les bénéfices devraient augmenter 38.26% par an

Analyse des risques

Les marges bénéficiaires (2.1%) sont inférieures à celles de l'année dernière (3.6%)


CSGP Community Fair Values

Create Narrative

See what 56 others think this stock is worth. Follow their fair value or set your own to get alerts.

Analyst Price Targets

AN
AnalystConsensusTarget
18.3% sous-évalué décote intrinsèque
AnalystConsensusTarget
•10d ago

Margin Expansion And Platform Momentum Will Drive Strong Returns Ahead

974
0
26
AN
AnalystLowTarget
21.8% surévalué décote intrinsèque
AnalystLowTarget
•25d ago

AI Adoption And International Expansion Will Gradually Reshape Long Term Real Estate Marketplaces

53
0
4
AN
AnalystHighTarget
41.3% sous-évalué décote intrinsèque
AnalystHighTarget
•1mo ago

AI And Digital Marketplaces Will Drive Powerful Long Term Earnings Upside

23
0
0

Top Analyst Narratives

AN
AnalystConsensusTarget
18.3% sous-évalué décote intrinsèque
AnalystConsensusTarget
•10d ago

Margin Expansion And Platform Momentum Will Drive Strong Returns Ahead

974
0
26
AN
AnalystLowTarget
21.8% surévalué décote intrinsèque
AnalystLowTarget
•25d ago

AI Adoption And International Expansion Will Gradually Reshape Long Term Real Estate Marketplaces

53
0
4
AN
AnalystHighTarget
41.3% sous-évalué décote intrinsèque
AnalystHighTarget
•1mo ago

AI And Digital Marketplaces Will Drive Powerful Long Term Earnings Upside

23
0
0
View all narratives

CoStar Group, Inc. Concurrents

Jones Lang LaSalle

Symbol: NYSE:JLL
Market cap: US$16.0b

KE Holdings

Symbol: NYSE:BEKE
Market cap: US$19.3b

Zillow Group

Symbol: NasdaqGS:ZG
Market cap: US$7.3b

Compass

Symbol: NYSE:COMP
Market cap: US$8.0b

Historique des prix et performances

Résumé des hausses, des baisses et des variations du cours de l'action pour la période du 1er janvier au 31 décembre 2009 CoStar Group
Historique des cours de bourse
Prix actuel de l'actionUS$30.46
Plus haut sur 52 semainesUS$90.72
Plus bas sur 52 semainesUS$25.89
Bêta0.75
Variation sur 1 mois-5.93%
Variation sur 3 mois-4.93%
Variation sur 1 an-64.91%
Variation sur 3 ans-61.50%
Variation sur 5 ans-65.92%
Évolution depuis l'introduction en bourse3,215.19%

Nouvelles et mises à jour récentes

User avatar
Mise à jour du récit • Sep 03

CSGP: Residential Margin Discipline And Zonda Expansion Will Support Future Repricing

Analysts have trimmed their fair value estimate for CoStar Group to $37.30 from $44.45, reflecting lower modeled revenue growth, a reset future P/E multiple near $23.72, and a series of price target cuts that emphasize slower bookings and competitive pressures, partly offset by better profitability and contributions from the $800m Zonda acquisition. Analyst Commentary Recent commentary on CoStar Group reflects a split view.
User avatar
Mise à jour du récit • Aug 19

CSGP: Weaker Bookings And Residential Competition Will Shape Returns Ahead

Analysts have reduced the fair value estimate for CoStar Group to $25.00 from $29.49, as they temper revenue growth assumptions, lower the future P/E multiple, and factor in a shift toward higher profit margins following recent price target cuts and mixed bookings commentary across the Street. Analyst Commentary Recent Street research on CoStar Group points to a more cautious tone, even as some firms still see long term opportunities.
User avatar
Mise à jour du récit • Aug 05

CSGP: Profitability Focus And Data Platform Strength Will Drive Future Upside

CoStar Group's analyst price target has been reset lower to about $51.89 from $105.00 as analysts factor in slower modeled revenue growth, a tighter profit margin outlook, and a reduced future P/E assumption that reflects recent cuts to sales investment and an increased focus on profitability over expansion. Analyst Commentary Recent Street research on CoStar Group highlights a mixed backdrop, but there are still several areas where bullish analysts see upside potential in the story, especially around execution, profitability and the long term role of the company in commercial and residential real estate data.

Recent updates

User avatar
Mise à jour du récit • Sep 03

CSGP: Residential Margin Discipline And Zonda Expansion Will Support Future Repricing

Analysts have trimmed their fair value estimate for CoStar Group to $37.30 from $44.45, reflecting lower modeled revenue growth, a reset future P/E multiple near $23.72, and a series of price target cuts that emphasize slower bookings and competitive pressures, partly offset by better profitability and contributions from the $800m Zonda acquisition. Analyst Commentary Recent commentary on CoStar Group reflects a split view.
User avatar
Mise à jour du récit • Aug 19

CSGP: Weaker Bookings And Residential Competition Will Shape Returns Ahead

Analysts have reduced the fair value estimate for CoStar Group to $25.00 from $29.49, as they temper revenue growth assumptions, lower the future P/E multiple, and factor in a shift toward higher profit margins following recent price target cuts and mixed bookings commentary across the Street. Analyst Commentary Recent Street research on CoStar Group points to a more cautious tone, even as some firms still see long term opportunities.
User avatar
Mise à jour du récit • Aug 05

CSGP: Profitability Focus And Data Platform Strength Will Drive Future Upside

CoStar Group's analyst price target has been reset lower to about $51.89 from $105.00 as analysts factor in slower modeled revenue growth, a tighter profit margin outlook, and a reduced future P/E assumption that reflects recent cuts to sales investment and an increased focus on profitability over expansion. Analyst Commentary Recent Street research on CoStar Group highlights a mixed backdrop, but there are still several areas where bullish analysts see upside potential in the story, especially around execution, profitability and the long term role of the company in commercial and residential real estate data.
Seeking Alpha • Jul 31

CoStar Group: Near-Term Earnings Growth Uncertainty (Rating Downgrade)

Summary I downgrade CoStar Group to hold as growth is not materializing despite improved operational efficiency, impacting the earnings trajectory. CSGP's Homes.com has streamlined sales and reduced cancellations, but bookings have not accelerated, and scalability remains unproven. Apartments.com demonstrates strong customer retention and lead conversion, yet monetization lags as revenue per property declines. Q4 Residential adj. EBITDA guidance implies an aggressive sequential ramp, introducing significant execution risk to near-term earnings growth. Read the full article on Seeking Alpha
User avatar
Mise à jour du récit • Jul 21

CSGP: Residential Margin Recovery And AI Expansion Will Support Future Repricing

The analyst price target for CoStar Group has been reduced from $48.25 to $44.45 as analysts factor in softer net bookings, leadership uncertainty, and sector wide valuation pressure tied to GenAI and residential portal competition. Analyst Commentary Recent Street research on CoStar Group reflects a split view, with some analysts focusing on execution risks and others still seeing long term growth opportunities, particularly in commercial real estate data and select residential platforms.
User avatar
Mise à jour du récit • Jul 07

CSGP: Residential Headwinds And Global Expansion Will Shape Returns Ahead

The analyst price target for CoStar Group has been reduced by approximately $39, with analysts citing softer assumptions for revenue growth and valuation multiples, ongoing pressure on Homes.com traffic, and external competitive and macro headwinds, even as core commercial platforms and Apartments.com are described as more resilient. Analyst Commentary Recent commentary on CoStar Group shows a clear split in sentiment, with some firms still positive on the long term opportunity while a group of bearish analysts focus on execution risks in residential, slower bookings, and rising competitive pressure, particularly around Homes.com.
User avatar
Mise à jour du récit • Jun 23

CSGP: Residential Margin Recovery And AI Rollout Will Drive Future Upside

Analysts have trimmed their average price target for CoStar Group to $48.25 from $49.05. This reflects slightly higher modeled revenue growth and profit margins, a modestly lower discount rate, and a small reset in assumed future P/E multiples as recent research balances concerns around residential portal competition with support for the broader information services business.
Article d’analyse • Jun 19

CoStar Group (CSGP) Stock Could Be 38.6% Undervalued After Its Recent Selloff

CoStar Group (CSGP) has drawn fresh attention after a sharp pullback, with the stock down about 11% over the past month and nearly 30% over the past 3 months. See our latest analysis for CoStar Group. The latest moves extend a poor run for CoStar Group, with the share price down 54.15% year to date and the 1 year total shareholder return declining 62.15%. This points to fading momentum as investors reassess growth prospects and risks. If CoStar Group’s recent slide has you reassessing your...
User avatar
Mise à jour du récit • Jun 04

CSGP: Residential Margin Recovery And Zonda Acquisition Will Drive Future Upside

The analyst price target for CoStar Group edges slightly lower by about $0.26 to $49.05. Analysts factor in a modestly reduced fair value estimate and slightly lower future P/E assumptions, while still pointing to supportive views on the commercial platform and mixed sentiment around the residential business.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
Article d’analyse • 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...
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.
User avatar
Mise à jour du récit • 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.

Rendement pour les actionnaires

CSGPUS Real EstateUS Marché
7D-1.5%-4.5%-0.9%
1Y-64.9%-27.0%14.2%

Rendement vs Industrie: CSGP a sous-performé le secteur US Real Estate qui a rapporté -27 % au cours de l'année écoulée.

Rendement vs marché: CSGP a sous-performé le marché US qui a rapporté 14.2 % au cours de l'année écoulée.

Volatilité des prix

Is CSGP's price volatile compared to industry and market?
CSGP volatility
CSGP Average Weekly Movement7.1%
Real Estate Industry Average Movement7.1%
Market Average Movement6.9%
10% most volatile stocks in US Market15.3%
10% least volatile stocks in US Market2.9%

Cours de l'action stable: CSGP n'a pas connu de volatilité de prix significative au cours des 3 derniers mois par rapport au marché US.

Volatilité au fil du temps: La volatilité hebdomadaire de CSGP ( 7% ) est restée stable au cours de l'année écoulée.

À propos de l'entreprise

FondéeSalariésPDGSite web
19868,441Andy Florancewww.costargroup.com

CoStar Group, Inc. fournit des informations, des analyses et des services de marché en ligne aux communautés immobilières et commerciales connexes aux États-Unis, en Australie, au Canada, en Europe, dans la région Asie-Pacifique et en Amérique latine. Elle propose CoStar Property, qui fournit un inventaire des immeubles de bureaux, industriels, commerciaux, multifamiliaux, hôteliers et étudiants, ainsi que des terrains ; CoStar Leasing, qui fournit des données sur les transactions de location et des outils pour gérer les données de location saisies par l'utilisateur ; CoStar Sales, qui est une base de données sur les transactions de vente de biens immobiliers commerciaux ; CoStar Owners, qui fournit des informations détaillées sur les portefeuilles ; CoStar Markets, qui permet de visualiser les tendances du marché et des sous-marchés et d'en rendre compte ; et CoStar Tenant, qui fournit des informations sur les locataires. L'entreprise propose également des analyses comparatives dans le domaine de l'hôtellerie, qui permettent aux hôtels de mesurer leurs performances par rapport à leurs concurrents ; Debt Solutions, un outil permettant aux prêteurs de gérer les portefeuilles de prêts et les risques ; et des solutions technologiques pour la gestion des biens immobiliers et des baux, telles que l'administration des baux, la comptabilité des baux et les services de gestion des transactions.

CoStar Group, Inc. Résumé des fondamentaux

Comment les bénéfices et les revenus de CoStar Group se comparent-ils à sa capitalisation boursière ?
CSGP statistiques fondamentales
Capitalisation boursièreUS$12.34b
Bénéfices(TTM)US$74.00m
Recettes(TTM)US$3.56b
166.8x
Ratio P/E
3.5x
Ratio P/S

Le site CSGP est-il surévalué ?

Voir Juste valeur et analyse de l'évaluation

Bénéfices et recettes

Principales statistiques de rentabilité tirées du dernier rapport sur les bénéfices (TTM)
CSGP compte de résultat (TTM)
RecettesUS$3.56b
Coût des recettesUS$758.00m
Marge bruteUS$2.80b
Autres dépensesUS$2.72b
Les revenusUS$74.00m

Derniers bénéfices déclarés

Jun 30, 2026

Prochaine date de publication des résultats

s/o

Résultat par action (EPS)0.18
Marge brute78.68%
Marge bénéficiaire nette2.08%
Ratio dettes/capitaux propres12.5%

Quelles ont été les performances à long terme de CSGP?

Voir les performances historiques et les comparaisons

Analyse de l'entreprise et données financières

DonnéesDernière mise à jour (heure UTC)
Analyse de l'entreprise2026/09/13 18:00
Cours de l'action en fin de journée2026/09/11 00:00
Les revenus2026/06/30
Revenus annuels2025/12/31

Sources de données

Les données utilisées dans notre analyse de l'entreprise proviennent de S&P Global Market Intelligence LLC. Les données suivantes sont utilisées dans notre modèle d'analyse pour générer ce rapport. Les données sont normalisées, ce qui peut entraîner un délai avant que la source ne soit disponible.

PaquetDonnéesCadre temporelExemple de source américaine *
Finances de l'entreprise10 ans
  • Compte de résultat
  • Tableau des flux de trésorerie
  • Bilan
  • Formulaire 10-K de la SEC
  • Formulaire 10-Q de la SEC
Estimations consensuelles des analystes+3 ans
  • Prévisions financières
  • Objectifs de prix des analystes
  • Rapports de recherche des analystes
  • Blue Matrix
Prix du marché30 ans
  • Cours des actions
  • Dividendes, scissions et actions
  • Données de marché ICE
  • Formulaire S-1 de la SEC
Propriété10 ans
  • Actionnaires principaux
  • Délits d'initiés
  • Formulaire 4 de la SEC
  • Formulaire 13D de la SEC
Gestion10 ans
  • L'équipe dirigeante
  • Conseil d'administration
  • Formulaire 10-K de la SEC
  • Formulaire SEC DEF 14A
Principaux développements10 ans
  • Annonces de l'entreprise
  • Formulaire 8-K de la SEC

* Exemple pour les titres américains ; pour les titres non américains, des formulaires réglementaires et des sources équivalentes sont utilisés.

Sauf indication contraire, toutes les données financières sont basées sur une période annuelle mais mises à jour trimestriellement. C'est ce qu'on appelle les données des douze derniers mois (TTM) ou des douze derniers mois (LTM). En savoir plus.

Modèle d'analyse et flocon de neige

Les détails du modèle d’analyse utilisé pour générer ce rapport sont disponibles sur notre page Github ; nous proposons également des guides sur la façon d’utiliser nos rapports et des tutoriels sur YouTube.

Découvrez l' qui a conçu et construit le modèle d'analyse Simply Wall St.

Indicateurs de l'industrie et du secteur

Nos indicateurs de secteur et de section sont calculés toutes les 6 heures par Simply Wall St. Les détails de notre processus sont disponibles sur Github.

Sources des analystes

CoStar Group, Inc. est couverte par 26 analystes. 5 de ces analystes ont soumis les estimations de revenus ou de bénéfices utilisées comme données d'entrée dans notre rapport. Les soumissions des analystes sont mises à jour tout au long de la journée.

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

Prenez de meilleures décisions d’investissement partout

Scannez pour télécharger
Ouvrir l’App StoreOuvrir Google Play
Chrome Web Store
Level 5, 320 Pitt Street, Sydney
Financial Data provided by S&P Global Market Intelligence LLC, analysis provided by Simply Wall Street Pty Ltd. Copyright © 2026, S&P Global Market Intelligence LLC. All rights reserved.
Voir les sources de données
Marchés
  • US: NYSE & NASDAQ
  • UK: FTSE
  • Australia: ASX
  • India: NIFTY
  • Canada: TSX
  • South Africa: JSE
  • Japan: NIKKEI
  • South Korea: KOSPI
  • Germany: DAX
Idées d'investissement
  • Sociétés sous-évaluées
  • Les géants du dividende
  • Achats d'initiés
  • Énergie nucléaire
  • Véhicules autonomes
  • Intelligence artificielle
  • Cryptomonnaie et blockchain
  • cybersécurité
  • Plus d'idées
Communautés boursières
  • AstraZeneca
  • HSBC Holdings
  • Shell
  • Unilever
  • Diageo
  • Rio Tinto Group
  • RELX
  • BP
  • Barclays
Outils et fonctionnalités
  • Suivi de portefeuille
  • Filtre et alertes sur les actions
  • Narratives et valeurs équitables
  • Calculateur de dividendes
Actualités et découvertes
  • Dernières actualités de stock
  • Aperçus du marché mondial
  • Le Foxhole
  • Idées d'investissement
  • Narratives de la communauté
  • Quoi de neuf
Simply Wall St
  • Plans et tarifs
  • Publicité
  • À propos de nous
  • Nous contacter
  • Carrières
  • Centre d'aide
  • Apprendre à investir en bourse
  • Programme d'affiliation
  • Affaires et entreprises
  • Charlie AI
Simply Wall Street Pty Ltd (ACN 600 056 611), is a Corporate Authorised Representative (Authorised Representative Number: 467183) of Sanlam Private Wealth Pty Ltd (AFSL No. 337927). Any advice contained in this website is general advice only and has been prepared without considering your objectives, financial situation or needs. You should not rely on any advice and/or information contained in this website and before making any investment decision we recommend that you consider whether it is appropriate for your situation and seek appropriate financial, taxation and legal advice. Please read our Financial Services Guide before deciding whether to obtain financial services from us.
© 2026 Simply Wall Street Pty Ltd, US Design Patent #29/544/281, Community and European Design Registration #2845206
  • Conditions générales d'utilisation
  • Politique de confidentialité
  • Conditions relatives à l'IA
  • Guide des services financiers