Marketalyx
⚠ Educational tool. Not financial advice or an investment recommendation. Investing carries the risk of losing all your capital. You act at your own risk. Risk warning

CoStar Group, Inc. CSGP

Real Estate · Real Estate Services · United States · S&P 500

46
Profitability
5
Growth
96
Valuation
29
Financial strength
100
Momentum
0

Based on the available data, CoStar Group, Inc. gets an algorithmic score of 46/100. It trades at 26.95 $, with a bearish technical trend (RSI 31.7) and 44.4% annual volatility.

Updated: 2026-09-30

Open in the interactive tool →

Strengths

  • Sustained revenue growth (14.2% compound annual).
  • Low-debt balance sheet.

Weaknesses

  • Low ROE (0.9%).
  • Thin net margin (2.1%): vulnerable to costs.

Fundamentals

P/E149.72
Forward P/E15.19
PEG0.11
P/B1.38
EV/EBITDA27.47
P/S3.07
ROE %0.89
ROA %0.47
Gross margin %78.68
Operating margin %8.22
Net margin %2.08
Revenue growth % (y/y)18.40
Earnings growth % (y/y)1,261.00
Revenue CAGR %14.16
Earnings CAGR %-73.34
Debt/Equity %14.54
Current ratio2.21
FCF yield %0.38
Dividend yield %0.00
Payout %0.00

Returns

1 month-16.4 %
3 months-4.8 %
6 months-34.1 %
YTD-59.0 %
1 year-67.9 %
3 years-65.5 %
5 years-69.4 %

Risk

1-year volatility44.4 %
Beta0.77
5-year max drawdown-73.0 %
Sharpe 1A-2.42

Macroeconomic context

Highly sensitive to mortgage and funding rates. Falling rates revalue assets; occupancy is tied to employment and the cycle. As a US company, its valuation depends on the Fed, 10-year Treasury yields and the US earnings cycle.

How the score is calculated

The score combines profitability (ROE, ROA, net margin), growth (revenue and earnings), valuation (P/E, EV/EBITDA, free cash flow), financial strength (debt and liquidity; not applied to banks and insurers) and momentum (6 and 12-month returns and trend). It is an educational quantitative filter, not a buy or sell recommendation.

See the full S&P 500 ranking →