CoStar Price To Book vs. Operating Margin

CSGP Stock  USD 41.30  -0.11  -0.27%   
Considering CoStar's profitability and operating efficiency indicators, CoStar's profitability may be sliding down. It has an above-average probability of reporting lower numbers next quarter. Profitability indicators assess CoStar's ability to earn profits and add value for shareholders.Multi-period data points to Days Sales Outstanding dropping, with a projected shift of 4.97%. In the prior fiscal year, Days Sales Outstanding was reported at 26.30. As of March 27, 2026, Days Of Sales Outstanding is estimated to increase to 27.68, while Price To Sales Ratio is moving lower toward 7.10. Accumulated Other Comprehensive Income is currently at 84 Million, reflecting a change of 4.76%. A year ago, Accumulated Other Comprehensive Income was sitting at 80 Million. As of March 27, 2026, Total Other Income Expense Net is estimated to increase to approximately 107.1 M, while Net Income is moving lower toward slightly above 6.7 M. Gross Profit is projected to change by approximately 4.76% year over year. Last year, CoStar recorded Gross Profit of 2.44 Billion. As of March 27, 2026, Net Profit Margin is estimated to increase to 0.0023, while Pretax Profit Margin is moving lower toward 0.01.
Current ValueLast YearChange From Last Year 10 Year Trend
Gross Profit Margin0.570.7524
Way Down
Slightly volatile
Profitability metrics for CoStar Group relate earnings to revenue, assets, and equity. All profitability ratios are based on historical financial data.

Segment Revenue Snapshot

CoStar's revenue is distributed across 5 distinct product categories. Multifamily Online Marketplace accounts for approximately 40.1% of CoStar's revenue at 303 Million, while CoStar Suite contributes 36.7% at 277 Million. CoStar's product mix shows a clear leader but retains enough breadth to absorb segment-specific headwinds.
Trending Equities.
CoStar earnings estimates reflect the collective view of covering analysts, with revisions signaling changing fundamentals. Consensus places CoStar's next EPS at 0.19, with a 0.16 to 0.28 dispersion range. CoStar Group EPS consensus generally reflects earnings before non-recurring adjustments. All figures are based on financial statement disclosures.
Macro event markers
 
Dot-com Bubble
 
Housing Crash
 
Credit Downgrade
 
Yuan Drop
 
Covid
 
Interest Hikes
As of 31st of March 2026, CoStar EPS is estimated at 0.1891. The information is presented without directional commentary..

Revenue Breakdown by Earning Segment for CoStar View

The pie chart below visualizes CoStar's revenue allocation across its reported product segments. At 5.5%, Information services is the narrowest segment in CoStar's product mix.
Earnings estimates provide context for forward-looking performance discussion. The estimates are provided as neutral context for research workflows and timeframe comparisons.
 Quarterly Earnings Growth
-0.26
 Earnings Share
0.02
 Revenue Per Share
7.79
 Quarterly Revenue Growth
0.269
 Return On Assets
-0.0034
Market capitalization and book value offer complementary views of CoStar Group - the first driven by investor sentiment, the second by accounting standards.
Understanding CoStar involves recognizing that value and price can reflect different time horizons. For CoStar, key inputs include a P/E ratio of 94.53, a P/B ratio of 2.09, a profit margin of 0.22%, and ROE of 0.09%.

CoStar Group Operating Margin vs. Price To Book Fundamental Analysis

Sector multiples frame CoStar's current valuation context.
CoStar Group is rated below average for price to book against industry peers. It is rated below average for operating margin against industry peers with Operating Margin measuring nearly 0.03 against Price To Book. Price To Book runs about 37.93 times Operating Margin for CoStar Group. Recent filings indicate that Operating Profit Margin continues advancing. Looking back, CoStar posted Operating Profit Margin of -0.0222 in the previous fiscal year. Comparative pricing ratios position CoStar within industry norms.

CoStar Operating Margin vs. Price To Book

Price to Book (P/B) ratio is used to relate a company book value to its current market price. A high P/B ratio indicates that investors expect executives to generate more returns on their investments from a given set of assets. Book value is the accounting value of assets minus liabilities.

CoStar

P/B

 = 

MV Per Share

BV Per Share

 = 
2.09 X
Price to Book ratio is mostly used in financial services industries where assets and liabilities are typically represented by dollars. Although low Price to Book ratio generally implies that the firm is undervalued, it is often a good indicator that the company may be in financial or managerial distress and should be investigated more carefully.
Operating Margin shows how much operating income a company makes on each dollar of sales. It is one of the profitability indicators which helps analysts to understand whether the firm is successful or not making money from everyday operations.

CoStar

Operating Margin

 = 

Operating Income

Revenue

X

100

 = 
0.06 %
A good Operating Margin is required for a company to be able to pay for its fixed costs or payout its debt, which implies that the higher the margin, the better. This ratio is most effective in evaluating the earning potential of a company over time when comparing it against a firm's competitors.

CoStar Operating Margin Comparison

CoStar is currently under evaluation for operating margin against industry peers.

CoStar Profitability Projections

Without lasting profits, CoStar would in time produce negative long-term returns for its investors. A rising trend in CoStar's profits means earnings are growing and operations may be getting better. CoStar currently maintains a profit margin of 0.2%. Profits that lean heavily on non-core items may not last in the long run. The operating margin stands at 5.5% while return on equity is 0.1%.

CoStar Profitability Driver Comparison

The profitability drivers of CoStar are key factors that directly shape its earnings trajectory. Unforeseen disruptions remain a persistent factor that could significantly affect CoStar's earnings and value.

Earnings Estimation Breakdown

For CoStar Group, the next projected earnings per share is 0.1891 based on current analyst consensus. The range of individual analyst forecasts runs from 0.16 to 0.2796, reflecting varying views on CoStar's near-term business performance. Consensus EPS excludes non-recurring items and is calculated from trailing twelve-month operating results.
Last Reported EPS
0.31
0.16
Lowest
Expected EPS
0.1891
0.28
Highest

Earnings Projection Consensus

If consensus earnings estimates imply a fair value above CoStar's current price, the market may be discounting future earnings more aggressively than analysts. If the market price is ahead of the estimate, the implied premium may require strong execution to sustain. These valuation signals are best used as one input within a multi-method investment framework.
Number of AnalystsHistorical AccuracyLast Reported EPSEstimated EPS for 31st of March 2026Current EPS (TTM)
2082.6%
0.31
0.1891
0.02

Earnings History

Professional analyst coverage of CoStar synthesizes management guidance, sector trends, and macro assumptions into a consensus EPS estimate. This consensus shapes investor expectations ahead of each earnings release and becomes the reference point for post-report reaction. We recommend reviewing consensus alongside fundamental valuation models before making allocation decisions.

CoStar Quarterly Gross Profit

665 Million
Retained Earnings are evolving in line with broader financial reporting trends. It ended the prior year at 2.35 Billion. As of March 27, 2026, Retained Earnings Total Equity is estimated to increase to approximately 2.2 B, though Price Earnings To Growth Ratio are likely to advance to -40.01 . As of March 27, 2026, Net Income Applicable To Common Shares is estimated to increase to approximately 446.1 M, while Common Stock Shares Outstanding is moving lower toward slightly above 282.9 M.
Mean reversion is the tendency of CoStar's price to return to its historical average after periods of extreme deviation. Some analysts monitor this tendency by comparing CoStar's price extremes to fundamental value.
Hype
Prediction
LowEstimatedHigh
37.8741.3044.73
Details
Intrinsic
Valuation
LowRealHigh
31.2634.6945.43
Details
Naive
Forecast
LowNextHigh
31.6535.0838.51
Details
Analyst
Consensus
LowTargetHigh
59.0564.8972.03
Details
Competitive analysis for CoStar compares its financial performance and valuation against sector peers. This relative perspective often changes investment conclusions drawn from standalone analysis. The market impact of institutional consensus-following in CoStar means that EPS surprise size matters as much as direction. Large banks and funds that track the same analyst models often exit or accumulate simultaneously on surprise events. This synchronization amplifies short-term moves and reinforces the importance of monitoring consensus accuracy for CoStar.

Earnings per Share Projection vs Actual

For CoStar, actual EPS provides a historical record of per-share profitability that investors use to identify trends. Expected EPS for CoStar Group projects this figure forward using guidance, industry dynamics, and financial analysis. The higher CoStar's EPS trajectory, the stronger its implied earnings quality relative to peers.

Estimated Months Earnings per Share

Investors seeking income from CoStar should track EPS trends alongside dividend history to assess payout sustainability. EPS that outpaces dividend growth signals expanding coverage; EPS that lags dividend growth raises cut risk. Always complement EPS analysis with a review of operating leverage, working capital trends, and competitive positioning.

Quarterly Analyst Estimates and Surprise Metrics

EPS surprise events for CoStar's have historically correlated with short-term return outliers - both upside and downside. The post-earnings drift effect means that initial surprise reactions can persist over subsequent trading sessions. Analyst estimates contributing to consensus are derived from fundamental models trained on trailing performance and management guidance.
Reported
Fiscal Date
Estimated EPS
Reported EPS
Surprise
2026-02-24
2025-12-310.27170.310.038314 
2025-10-28
2025-09-300.180.230.0527 
2025-07-21
2025-06-300.19410.17-0.024112 
2025-04-21
2025-03-310.12760.19320.065651 
2025-02-18
2024-12-310.220.24770.027712 
2024-10-22
2024-09-300.160.220.0637 
2024-07-23
2024-06-300.090.150.0666 
2024-04-23
2024-03-310.070.10.0342 
2024-02-20
2023-12-310.320.330.01
2023-10-24
2023-09-300.30.30.0
2023-07-25
2023-06-300.30.310.01
2023-04-25
2023-03-310.250.290.0416 
2023-02-21
2022-12-310.360.380.02
2022-10-25
2022-09-300.240.30.0625 
2022-07-26
2022-06-300.210.280.0733 
2022-04-26
2022-03-310.270.310.0414 
2022-02-22
2021-12-310.290.350.0620 
2021-10-26
2021-09-300.230.250.02
2021-07-27
2021-06-300.230.260.0313 
2021-04-27
2021-03-310.240.280.0416 
2021-02-23
2020-12-310.240.280.0416 
2020-10-27
2020-09-300.210.230.02
2020-07-28
2020-06-300.20.230.0315 
2020-04-28
2020-03-310.230.240.01
2020-02-25
2019-12-310.260.280.02
2019-10-22
2019-09-300.250.260.01
2019-07-23
2019-06-300.20.220.0210 
2019-04-23
2019-03-310.240.250.01
2019-02-26
2018-12-310.250.280.0312 
2018-10-23
2018-09-300.210.220.01
2018-07-24
2018-06-300.130.170.0430 
2018-04-23
2018-03-310.140.170.0321 
2018-02-21
2017-12-310.120.130.01
2017-10-25
2017-09-300.110.140.0327 
2017-07-26
2017-06-300.060.090.0350 
2017-04-26
2017-03-310.090.110.0222 
2017-02-22
2016-12-310.130.130.0
2016-10-26
2016-09-300.10.110.0110 
2016-07-27
2016-06-300.080.090.0112 
2016-04-27
2016-03-310.070.10.0342 
2016-02-24
2015-12-310.080.110.0337 
2015-10-28
2015-09-300.040.050.0125 
2015-07-29
2015-06-300.040.01-0.0375 
2015-04-29
2015-03-310.020.030.0150 
2015-02-25
2014-12-310.090.090.0
2014-10-29
2014-09-300.080.090.0112 
2014-07-23
2014-06-300.070.080.0114 
2014-04-23
2014-03-310.060.070.0116 
2014-02-19
2013-12-310.070.080.0114 
2013-10-23
2013-09-300.060.070.0116 
2013-07-24
2013-06-300.050.060.0120 
2013-04-24
2013-03-310.040.050.0125 
2013-02-27
2012-12-310.040.050.0125 
2012-10-24
2012-09-300.040.050.0125 
2012-07-25
2012-06-300.030.040.0133 
2012-04-25
2012-03-310.030.030.0
2012-02-22
2011-12-310.010.020.01100 
2011-07-27
2011-06-300.030.01-0.0266 
2011-04-27
2011-03-310.020.020.0
2011-02-23
2010-12-310.020.020.0
2010-10-20
2010-09-300.010.020.01100 
2010-07-21
2010-06-300.010.020.01100 
2010-04-21
2010-03-310.010.010.0
2010-02-24
2009-12-310.020.020.0
2009-10-21
2009-09-300.020.020.0
2009-07-22
2009-06-300.020.020.0
2009-04-22
2009-03-310.030.030.0
2009-02-18
2008-12-310.030.040.0133 
2008-10-29
2008-09-300.030.030.0
2008-07-15
2008-06-300.020.030.0150 
2008-04-23
2008-03-310.020.030.0150 
2008-02-20
2007-12-310.020.050.03150 
2007-10-24
2007-09-300.010.020.01100 
2007-07-25
2007-06-300.010.010.0
2007-04-25
2007-03-310.010.010.0
2007-02-21
2006-12-310.010.020.01100 
2006-10-25
2006-09-300.020.030.0150 
2006-07-26
2006-06-300.010.010.0
2006-04-26
2006-03-310.010.010.0
2006-02-15
2005-12-310.010.020.01100 
2005-10-19
2005-09-300.010.010.0
2005-07-20
2005-06-300.010.010.0
2005-04-19
2005-03-310.010.010.0
2005-02-16
2004-12-310.010.10.09900 
2004-10-19
2004-09-300.020.01-0.0150 
2004-07-20
2004-06-300.020.01-0.0150 
2004-04-20
2004-03-310.020.01-0.0150 
2004-02-17
2003-12-310.010.020.01100 
2003-10-14
2003-09-300.010.010.0
2003-07-22
2003-06-300.010.010.0
2003-04-23
2003-03-310.010.010.0
2003-02-18
2002-12-310.040.01-0.0375 
2002-10-22
2002-09-300.020.030.0150 
2002-07-23
2002-06-300.010.020.01100 
2002-04-23
2002-03-310.010.010.0
2001-10-24
2001-09-30-0.01-0.010.0
2001-07-24
2001-06-30-0.02-0.020.0
2001-04-25
2001-03-31-0.03-0.030.0
2001-02-21
2000-12-31-0.05-0.040.0120 
2000-10-25
2000-09-30-0.06-0.050.0116 
2000-08-02
2000-06-30-0.08-0.080.0
2000-06-23
2000-03-31-0.06-0.11-0.0583 
2000-02-28
1999-12-31-0.04-0.030.0125 
1999-10-19
1999-09-30-0.03-0.020.0133 
1999-07-28
1999-06-30-0.02-0.020.0

Use CoStar in pair-trading

Pair trading with CoStar can help investors hedge some company-specific exposure by balancing a long view with an offsetting position. The advantage is that adverse movement in one leg may be partly offset by the other when correlation and thesis alignment hold.

CoStar Pair Trading

CoStar Group Pair Trading Analysis

Identifying assets closely correlated with CoStar is essential for tax-loss harvesting strategies. The wash-sale rule prohibits repurchasing CoStar Group within 30 days of a loss sale.
The correlation coefficient for CoStar quantifies co-movement strength on a scale from -1 to +1. Holding two assets with correlation close to +1 alongside CoStar Group offers minimal diversification value.
Correlation analysis and pair trading evaluation for CoStar can be used to frame hedging context.
Pair CorrelationCorrelation Matching

Use Investing Themes to Complement your CoStar position

CoStar Group Real Estate sector classification and 17.5 Billion mid-cap scale make it a natural anchor for themes targeting Real Estate Services exposure. CoStar Group mid-cap scale (17.5 Billion) within Real Estate Services helps compare substitutes, complements, and diversifiers that strengthen the overall Real Estate allocation.

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