QuantSoar
Real EstateUpdatedΒ·Data: Yahoo Finance, SEC EDGARΒ·Data delayed ~5 min
CS

Insight CSGP Earnings Surprise M&A Potential result Sector

NMS Β· Real Estate Β· Real Estate Services

$31.03

-0.49 (-1.55%)

CSGP Interactive Price Chart & Trading Signals

CSGP Stock Snapshot β€” Valuation, Risk & Technical Signals

CSGP Key Fundamentals, Analyst Targets & Company Profile

Key Financial Ratios

Market Cap

$12.57B

P/E Ratio

172.39

Forward P/E

17.49

PEG Ratio

0.10

P/B Ratio

1.58

EPS

$0.18

Dividend Yield

β€”

52W Range

$25.89 – $90.72

Beta

0.75

Volume

0.5M

ROE

0.9%

Profit Margin

2.1%

Revenue Growth

18.4%

Gross Margin

78.7%

EV/EBITDA

32.17

Analyst Target

$37.30

The trailing price-to-earnings ratio stands at 172.4x. Forward P/E of 17.5x implies earnings expansion expected. Price-to-book is 1.58x. EV/EBITDA sits at 32.17x. Market capitalization is $12.57B. Revenue is growing at 18.4% on a trailing basis. Earnings are expanding at 1261.0%. Profit margins are 2.1%. Return on equity is 0.9%. Beta of 0.75 indicates defensive profile.

Analyst Consensus

Recommendation

Buy

Low Target

$25.00

Mean Target

$37.30

High Target

$53.00

Based on 20 analysts

About CSGP

CoStar Group, Inc. provides information, analytics, and online marketplace services to real estate and related business communities in the United States, Australia, Canada, Europe, the Asia Pacific, and Latin America. It offers CoStar Property that provides inventory of office, industrial, retail, multifamily, hospitality, and student housing, and land properties; CoStar Leasing, a data on lease transactions and tools to manage user-entered lease data; CoStar Sales, a database of commercial real estate sales transactions; CoStar Owners provides detailed portfolio information; CoStar Markets to view and report on market and submarket trends; and CoStar Tenant that provides tenant information. The company also provides hospitality benchmarking that allows hotels to measure performance against competitors; Debt Solutions, a tool for lenders to manage loan portfolios and risk; and real estate and lease management technology solutions, such as lease administration, lease accounting, and transaction management services. In addition, it offers Apartamentos.com, an apartment marketing sites; LoopNet.com, a commercial property marketing sites; Homes.com, a home for sale listings site; Ten-X, an online auction platform for commercial real estate; Land.com, a marketplace for rural land sales; and BizBuySell.com, a marketplace for operating businesses and franchises for sale. It serves sales, leasing, and mortgage brokers; property, real estate investment trust, insurance companies, and asset managers; and government agencies, property owners, mortgage-backed security issuers, appraisers, design and construction professionals, pension fund managers, real estate developers, reporters tenant vendors, bankers, building services vendors, mortgage bankers, communications providers, retailers, institutional advisors, hospitality owners, investors, and real estate agents. The company was founded in 1986 and is headquartered in Arlington, Virginia.

United States8,441 employeesWebsite β†—

CSGP Deep Dive Analysis

Bottom Line

Verdict

Overvalued

Best for

Growth-oriented investors

Watch out for

Premium valuation

Data confidence

High

CoStar Group, Inc. (CSGP) trades above our multi-model fair value estimate of $12.27 by approximately 60.5%. Trailing P/E: 172.4x. Profitability signals include profit margin of 2.1% and return on equity of 0.9%. Recent growth metrics show revenue growth of 18.4% and earnings growth of 1261.0%. Risk profile: defensive beta of 0.75. Consensus: buy.

CSGP Deep Dive Analysis

Valuation

Overvalued

P/E 172.4x

Price is above what fundamentals suggest.

Growth

Expanding

Rev 18.4%

Revenue is outpacing the market.

Risk

Low

Beta 0.75

Movement is likely to track the broader market.

Valuation Snapshot

CoStar Group, Inc. (CSGP) trades above our multi-model fair value estimate of $12.27 by approximately 60.5%. The trailing price-to-earnings ratio stands at 172.4x. Forward P/E of 17.5x suggests earnings compression ahead. Price-to-sales is 3.5x. Price-to-book is 1.6x. EV/EBITDA sits at 32.2x. Market capitalization is $12.57B.

Why it matters: Paying a premium works only if the company keeps growing faster than expected.

Growth & Profitability

Revenue is growing at 18.4% on a trailing basis. Earnings are expanding at 1261.0%. Profit margins are 2.1%. Return on equity is 0.9%. Return on assets is 0.5%.

Why it matters: Growing revenue with healthy margins usually means the business is gaining market share or pricing power.

Risk Profile

Beta of 0.75 indicates defensive profile. Net debt position is $-110999936.00.

Why it matters: Lower risk means steadier returns, but often with less upside in bull markets.

Analyst Context

Analyst consensus target of $37.30 implies 20.2% upside. Target range spans $25.00 to $53.00. 20 analysts cover the stock. Consensus recommendation: buy.

Why it matters: Analyst targets reflect what professionals expect over 12 months. A wide gap between price and target can mean the market disagrees with the consensus.

Investor Fit

Premium valuation is supported by above-average growth, potentially fitting growth-oriented strategies.

Takeaway: Match the stock's risk-reward profile with your own goals and time horizon. No single metric tells the whole story.

Data Methodology & Sources

Market Data (Facts)

  • Price, volume, market cap: Yahoo Finance (delayed ~5 min)
  • P/E, EPS, revenue, debt: Yahoo Finance fundamentals
  • Analyst targets: Yahoo Finance consensus (may lag)
  • Insider trades: SEC EDGAR Form 4 filings

QuantSoar Model (Derived)

  • Fair Value: 7-model consensus (DCF, Graham, P/E, P/S, DDM, EV/EBITDA, Div Yield) β€” trimmed inverse-variance weighted
  • Margin of Safety = (Fair Value βˆ’ Live Price) / Live Price Γ— 100
  • Composite Score: 40% Value + 30% Momentum + 30% Risk
  • Verdict Gauge: Base 50 + Valuation(Β±25) + Whale(Β±10) + Macro(Β±10) + Technical(Β±10). Analyst consensus shown separately.

Model outputs are estimates based on available data and are not investment advice. Cross-check with primary sources before making investment decisions.

CSGP Overvalued

CoStar Group, Inc. (CSGP) trades above our multi-model fair value estimate of $12.27 by approximately 60.5%.

Frequently Asked Questions

ValuationIs CSGP stock overvalued right now?
Based on our discounted cash flow and relative valuation models, CSGP appears to trade above fair value by approximately 60.5%. This suggests the market may be pricing in elevated growth expectations or sentiment premiums.
ValuationWhat is CSGP fair value based on current fundamentals?
Our fair value estimate for CSGP is $12.27, derived from discounted cash flow, dividend discount, and relative valuation multiples. The estimate assumes a discount rate of 9.0% and terminal growth of 2.5%.
RiskHow risky is CSGP compared with other stocks?
CSGP carries a beta of 0.75 suggests a defensive profile. Investors should weigh macro exposure against their own risk tolerance.
GrowthIs CSGP still growing?
Latest trailing metrics show revenue growth of 18.4% and earnings growth of 1261.0%. Profit margins are 2.1%.
AnalystWhat do analysts think about CSGP?
Analyst consensus target is $37.30, implying 20.2% upside. The street recommendation is "buy".
CatalystWhat could change the investment case for CSGP?
Key catalysts include Real Estate sector dynamics, interest rate shifts, and company-specific earnings surprises. Monitor macro risk scores and analyst estimate revisions for early signals.

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About the Author

Phasakorn Traklang (Peach) β€” Founder

Phasakorn Traklang (Peach) is the founder of QuantSoar, bringing expertise in SEO, web development, and technical analytics to build an AI-powered investment platform accessible to retail investors worldwide.

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Investment Disclaimer: QuantSoar is for informational purposes only. We do not provide personalized investment advice. Always conduct your own research or consult a financial advisor. SEC

Data: Yahoo Finance / SEC EDGAR / Alpha Vantage / Finnhub. AI outputs verified against source data.