CSGP icon

CoStar Group (CSGP)

NASDAQ

$34.08

$0.17 (

+0.49%

)

1D
5D
1M
6M
1Y
5Y
Pre market

CSGP: $34.08 / ₿ 0.0004 BTC / 44036 Sats

1D
5D
1M
6M
1Y
5Y

Key statistics

$33.92
$31.36 - $97.43
$13.92B
19.38
$37.95
408.36M
484.71
$33.50 - $34.91
Yes

What is CoStar Group (CSGP)?

CoStar Group is a global provider of proprietary information, analytics, and online marketplaces serving both commercial and residential real estate. The firm operates through a diverse portfolio of brands, including CoStar Suite for commercial real estate research, LoopNet for commercial listings, Apartments.com for multifamily rentals, and Homes.com for residential brokerage. It primarily sells high-margin software-as-a-service subscriptions that provide institutional clients with forensic property data and premium advertising visibility. With operations across North America, Europe, and Asia-Pacific, CoStar maintains the industry's most comprehensive centralized real estate database, functioning as a critical information utility for brokers, lenders, and owners worldwide.

The CoStar Group (CSGP) stock price has been rising

The CoStar Group, Inc. Common Stock (CSGP) stock pre-market price today is $34.08, reflecting a +0.49% pre-market move since the market last closed. The company’s market capitalization stands at $13.92B, with a daily trading volume of $37.95 shares. The previous closing price was $33.92.

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CSGP FAQs

CSGP is in the Real Estate sector. Sector is a broad classification that groups companies based on their business activities, industry focus or economic function.

CSGP is in the Real Estate Services industry. Industry is a more specific classification within a sector, grouping companies that operate in a similar field and have closely related business models.

Over the past 52 weeks, CoStar Group, Inc. Common Stock (CSGP) has traded between a low of $31.36 and a high of $97.43.

CSGP is in the Real Estate industry group. Industry group is a further subdivision within an industry, grouping companies with even more closely related business models and operations. This helps investors analyze stocks at a more detailed level than sector and industry classifications alone.

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