CSGP

Real Estate

CoStar Group, Inc. · Real Estate - Services · $14B

UQS Score — Balanced Preset
46.3
Below Average

CoStar Group, Inc. scores 46.3/100 using the Balanced preset.

UQS vs Real Estate Sector
CSGP
46.3
Sector avg
38.4
Quality
Weak
Moat
Good
Growth
Good
Risk
Good
Valuation
Neutral

CSGP Price History

-54.4% over 5Y

Monthly close, adjusted for stock splits and dividend reinvestment.

Return Calculator

What if I invested in CoStar Group, Inc.?

$
Today it would be worth
$4,262
That's a -57.4% total return, or -15.7% annualized.

Based on CoStar Group, Inc.'s historical closing prices, adjusted for stock splits and dividend reinvestment. Past performance does not guarantee future results. This is for informational purposes only and is not financial advice.

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Pro Analysis

CSGP — Score History

4045505560Apr 2Apr 12Apr 22May 2May 12May 22May 24v5
Score changes· 27 most recent
DateUQSQualityMoatGrowthRiskValueChange
May 20, 202646.36.763.068.061.140.8-0.1
May 19, 202646.46.763.068.061.141.10.0
May 16, 202646.46.763.068.061.141.3-0.1
May 15, 202646.56.763.068.061.141.8+0.1
May 14, 202646.46.763.068.061.141.70.0
May 13, 202646.46.763.068.061.141.10.0
May 11, 202646.46.763.068.061.141.3-2.0
May 10, 202648.46.763.068.061.155.0+0.2
May 8, 202648.26.463.068.061.153.7+1.6
May 3, 202646.62.763.067.970.440.4+0.1

CSGP — Pillar Breakdown

Quality

6.7/100 (25%)

CoStar Group, Inc. currently shows below-average quality metrics, suggesting challenges with profitability.

Return on EquityWeak

Profitability relative to shareholders' equity.

Operating ProfitabilityWeak

Ability to convert revenue into operating profit.

Net ProfitabilityWeak

Bottom-line profit as a share of revenue.

Cash GenerationWeak

Free cash flow relative to market value.

Growth

68.0/100 (20%)

CoStar Group, Inc. demonstrates healthy growth trends across revenue and earnings.

Recent Revenue TrendModerate

Revenue trajectory over the last twelve months.

3Y Revenue CAGRModerate

Compound annual revenue growth rate over 3 years.

EPS GrowthWeak

Year-over-year earnings per share growth.

Forward Revenue OutlookStrong

Analyst consensus for future revenue growth.

Forward EPS GrowthStrong

Analyst consensus for future earnings growth.

Risk

61.1/100 (15%)

CoStar Group, Inc. maintains a reasonable risk profile with manageable debt levels.

Debt/EquityStrong

Total debt relative to shareholder equity.

Current RatioModerate

Short-term liquidity — ability to pay near-term obligations.

Interest CoverageWeak

Earnings capacity relative to interest payments.

Valuation

40.7/100 (15%)

CoStar Group, Inc. has a mixed valuation — some metrics suggest fair value while others appear stretched.

Earnings YieldModerate

Inverse of forward P/E — higher yield means cheaper stock.

Price to Free Cash FlowWeak

How many years of FCF the market cap represents.

PEG RatioStrong

P/E relative to earnings growth — lower is more attractive.

EV/EBITDA vs SectorWeak

Enterprise value multiple relative to sector median.

Moat

63/100 (25%)

CoStar Group, Inc. has meaningful competitive advantages that should protect its market position. The Moat pillar evaluates competitive advantages across five dimensions: Switching Costs, Network Effects, Cost Advantage, Intangible Assets, and Scale & Ecosystem. Sign in to customize moat ratings for CSGP.

Score Composition

Quality
6.7×25%1.7
Growth
68.0×20%13.6
Risk
61.1×15%9.2
Valuation
40.7×15%6.1
Moat
63.0×25%15.8
Total
46.3Below Average

Financial Data

More Stock Analysis

How is the CSGP UQS Score Calculated?

The UQS (Unified Quality Score) for CoStar Group, Inc. is calculated using a proprietary 6-pillar framework with 29 financial metrics. Each pillar evaluates a different dimension on a 0–100 scale, then combines into a single weighted score. Scoring thresholds are calibrated per sector. Momentum is an optional Pro toggle — without it, you get the 5-pillar / 25-metric core shown below.

Quality (25%) measures profitability and capital efficiency — ROIC, ROE, margins, GP/Assets, and FCF Yield.

Moat (25%) assesses CoStar Group, Inc.'s competitive advantages across switching costs, network effects, cost advantages, intangible assets, and ecosystem scale.

Growth (20%) tracks revenue trajectory and earnings momentum, combining historical results with analyst forward estimates.

Risk (15%) is inversely scored — lower leverage and strong balance sheet health result in higher scores.

Valuation (15%) measures whether CoStar Group, Inc. is fairly priced using earnings yield, price-to-FCF, PEG ratio, and EV/EBITDA relative to sector peers.

Six investor-inspired presets are available, each with different pillar weights: Balanced, Buffett, Munger, Lynch, Cathie Wood, and Graham. The public score shown here uses the Balanced preset. Learn more in our FAQ.