April 16, 2026 a 11:43 am

CSGP: Fundamental Ratio Analysis - CoStar Group, Inc.

CoStar Group, Inc. Logo

CoStar Group, Inc. (CSGP) is a leading provider of information and analytics in the commercial real estate sector. The company has a diverse product offering that extends across different domains, making it a robust player in its industry. Despite a competitive market, CoStar Group has consistently shown resilience and strategic growth.

Fundamental Rating

The fundamental ratings for CoStar Group, Inc. provide a comprehensive view of its financial health. Its overall score of 3 indicates a strong financial position, though there is potential for improved equity returns.

Category Score
Discounted Cash Flow 4
Return on Equity 2
Return on Assets 4
Debt to Equity 2
Price to Earnings 1
Price to Book 2

Historical Rating

The historical data on CoStar's ratings show a steady performance over time. While the overall score stays consistent, improvements in certain categories can push future ratings higher.

Date Overall DCF ROE ROA D/E P/E P/B
2026-04-16 3 4 2 4 2 1 2
2026-04-15 3 4 2 4 2 1 2

Analyst Price Targets

According to analyst estimates, CoStar Group, Inc. has a favorable outlook, with target prices suggesting potential growth. The consensus target is supportive of the 'Buy' recommendation.

High Low Median Consensus
$84 $48 $67.5 $65.5
Stock Price Chart for CSGP

Analyst Sentiment

Analyst recommendations for CoStar Group highlight a predominantly positive sentiment, with a significant majority favoring 'Buy'.

Recommendation Count
Strong Buy 0
Buy 19
Hold 4
Sell 2
Strong Sell 0

Conclusion

CoStar Group, Inc. maintains a strong financial standing in the real estate sector. It holds a favorable position due to its vast array of services catered to different market needs. Analysts remain bullish, consistently rating the stock as a 'Buy'. While past performance has shown steadiness, improvements in equity returns can increase its attractiveness further. Investors should weigh the potential for growth against market volatility risks.