Stocks股票 / Real Estate / CSGP
CSGP US listed · USD美股 · 美元
CoStar Group, Inc. is an American provider of information, analytics, and marketing services to the commercial property industry in North America and Europe.科斯塔集团是一家美国公司,为北美和欧洲的商业地产行业提供信息、分析和营销服务。
The latest call, in context把最新财报放回历史脉络
A synthesized event record across management commentary and recorded metrics. Read as context; verify exact wording in the transcript before relying.综合管理层表述与记录指标形成事件档案。仅作背景参考;使用前请在电话会原文中核对准确措辞。
Live company record实时公司记录
JavaScript loads the source-bounded event record here. Open Terminal if the live module does not start.JavaScript 会在此加载受来源约束的事件记录。如实时模块未启动,请打开终端。
Continue with full transcript history继续查看完整电话会历史 ↗Price chart价格图表
Technicals技术面
daily bars日线数据 · 2026-08-03Earnings财务业绩
next report下次财报 2026-07-28Estimates being raised — 1 analysts预期上调 — 1 位分析师
Post-earnings drift: -10.5% (20d)财报后漂移:-10.5%(20日)
Valuation估值
Roughly fair vs sector相对行业估值合理| Multiple指标 | CSGP | Sector median行业中位 | Cheaper than相对便宜 |
|---|---|---|---|
| P/E (trailing)市盈率(历史) | 1849.05x | 30.93 | |
| P/B市净率 | 1.44x | 1.91 | |
| P/S市销率 | 3.70x | 6.98 | |
| Earnings yield盈利收益率 | 0.05% | 3.12 | |
| FCF yield自由现金流收益率 | 1.02% | 4.68 | |
| Shareholder yield股东收益率 | 4.16% | 3.98 | |
| EV/EBITDA企业价值/EBITDA | 59.57x | 14.27 | |
| P/FCF市值/自由现金流 | 97.71x | 19.19 |
Financials财务数据
fiscal years财年Leverage杠杆
Capital allocation资本配置
Why is it moving为何波动
6 checks · nightly六项检查 · 每晚Options positioning期权持仓
as of last close截至上一收盘Market makers are net short gamma — price moves may amplify做市商净持有负伽玛,价格波动可能被放大
Ownership & smart money持仓与聪明钱
13FInsider activity:内部人动向: +$3.2M net (4 buyers, 2 sellers)+$3.2M 净值(4 买家,2 卖家)
Concentrated ownership集中持仓
| Fund基金 | Grade评级 | Latest move最新动作 | % of book组合占比 | As of截至 |
|---|---|---|---|---|
| Corvex Management | A | New position新建仓 | 1.4% | 2026-03-31 |
| Polen Capital Management | B | Adding加仓 | 3.5% | 2026-03-31 |
| Akre Capital Management | C | Holding持有 | 6.8% | 2026-03-31 |
| Tiger Global (Coleman) | B | trimtrim | 0.3% | 2026-03-31 |
| Third Point (Loeb) | B | exitexit | 0.0% | 2026-03-31 |
| Viking Global (Halvorsen) | B | exitexit | 0.0% | 2026-03-31 |
Signal history信号历史
engine events引擎事件Company profile公司档案
CoStar Group, Inc. is an American provider of information, analytics, and marketing services to the commercial property industry in North America and Europe.科斯塔集团是一家美国公司,为北美和欧洲的商业地产行业提供信息、分析和营销服务。
- Margin compression despite revenue growth
The whole US universe — S&P 1500 and Russell 2000 — read nightly.覆盖标普1500与罗素2000全部成分股 — 每晚更新解读。
Signals, options positioning, smart-money moves and factor DNA — the same engine that wrote this page covers 2,700+ US stocks.信号、期权持仓、聪明钱动向与因子基因 — 撰写本页的引擎覆盖2700多只美股。
Valuation vs sector估值对比行业
| Multiple指标 | This stock本股 | Sector median行业中位 | Cheaper than相对便宜 |
|---|---|---|---|
| P/E (trailing)市盈率(静态) | 1849.0× | 30.9× | 0% |
| Price / Book市净率 | 1.4× | 1.9× | 70% |
| Price / Sales市销率 | 3.7× | 7.0× | 71% |
| EV / EBITDAEV/EBITDA | 59.6× | 14.3× | 0% |
| Earnings yield盈利收益率 | 0.1% | 3.1% | 14% |
| Free-cash-flow yield自由现金流收益率 | 3.6% | 6.7% | 6% |
| Shareholder yield股东综合回报率 | 4.2% | 4.0% | 53% |
Relative strength相对强度
Price history价格历史
| Period周期 | This stock本股 | S&P 500标普500 |
|---|---|---|
| 1 Week近1周 | +4.0% | +1.1% |
| 1 Month近1月 | -2.0% | +0.2% |
| 3 Months近3月 | -17.2% | +3.7% |
| 6 Months近6月 | -53.2% | +8.3% |
| Year to date年初至今 | -56.2% | +9.6% |
| 1 Year近1年 | -69.8% | +19.2% |
Trading information交易信息
Multi-year record多年财务记录
| 20202020 | 20212021 | 20222022 | 20232023 | 20242024 | 20252025 | |
|---|---|---|---|---|---|---|
| Revenue营业收入 | $1.7B | $1.9B | $2.2B | $2.5B | $2.7B | $3.2B |
| EPS每股收益 | $5.93 | $0.74 | $0.93 | $0.92 | $0.34 | $0.02 |
| Free cash flow自由现金流 | $438M | $346M | $443M | $372M | $-186M | $123M |
| Gross margin毛利率 | 81.4% | 81.6% | 81.0% | 80.0% | 79.6% | 78.9% |
| Net margin净利率 | 13.7% | 15.0% | 16.9% | 15.3% | 5.1% | 0.2% |
| FCF margin自由现金流利润率 | 26.4% | 17.8% | 20.3% | 15.2% | -6.8% | 3.8% |
Latest fiscal year最近财年
Returns & growth回报与增长
Accounting quality checks会计质量检查
- Earnings quality: accruals near the peer median盈利质量:应计利润接近同业中位
- Working capital: receivables +125% vs sales +96% — receivables outpacing sales, revenue-quality risk营运资本:应收 +125% 对销售 +96%——应收快于销售,营收质量风险
- Pricing power: gross margin −2.5pts over 6 years定价能力:毛利率 6 年下降 2.5 个百分点
- Capital discipline: share count +960.3% over 6 years (dilution)资本纪律:股本 6 年增加 960.3%(稀释)
- Balance sheet: Altman Z 4.08 — safe zone资产负债表:Altman Z 4.08——安全区
Indicator readings指标读数
Timeframe alignment多周期共振
Volatility regime波动状态
Estimate revisions预期修正
Dealer positioning map做市商持仓地图
Volatility pricing波动率定价
Tracked funds holding it跟踪基金持仓
| Fund基金 | Grade评级 | Latest move最新动作 | % of book组合占比 | Position市值 |
|---|---|---|---|---|
| Corvex Management | A | New position新建仓 | 1.4% | $34M |
| Polen Capital Management | B | Adding增持 | 3.5% | $507M |
| Akre Capital Management | C | Holding持有 | 6.8% | $417M |
| Tiger Global (Coleman) | B | Trimming减持 | 0.3% | $61M |
| Third Point (Loeb) | B | Exited清仓 | 0.0% | $213M |
| Viking Global (Halvorsen) | B | Exited清仓 | 0.0% | $97M |