CoStar Group, Inc. CSGP

28.09 0.23 0.83% as of 25 Sep
Market cap
$11.3B
P/E
150×
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CoStar Group, Inc. (CSGP) EV/EBITDA

As of 25 September 2026, CoStar Group, Inc. (CSGP) trades at a EV/EBITDA of 21.0×. Over the past ten years it has ranged from 20.3× (July 2026) to 123× (October 2025); the current reading is higher than 0% of that period. That is above the Real Estate Services industry median of 10.2× and above the Real Estate sector median of 15.2×.

EV/EBITDA, daily

Annual

Period EV/EBITDA Change
FY2025 82.2× (13.03%)
FY2024 94.6× 50.61%
FY2023 62.8× 56.18%
FY2022 40.2× (9.05%)
FY2021 44.2× (36.22%)
FY2020 69.3× 66.23%
FY2019 41.7× 46.88%
FY2018 28.4× (23.94%)
FY2017 37.3× 41.42%
FY2016 26.4× (62.34%)

Quarterly

Period EV/EBITDA Change
Jun 2026 21.2× (46.61%)
Mar 2026 39.7× (51.72%)
Dec 2025 82.2× (32.64%)
Sep 2025 122× 23.03%
42 more quarters

Against its own ten years

Low 20.3× High 123×
Ten-year median 46.8×
Current reading's percentile 0

EV/EBITDA against peers

Company EV/EBITDA
IHS IHS Holding Limited compare 5.7×
CWK Cushman & Wakefield PLC compare 7.4×
JLL Jones Lang LaSalle Incorporated compare 9.8×
FSV FirstService Corporation compare 12.9×
CIGI Colliers International Group Inc. compare 13.4×
BEKE KE Holdings Inc. Sponsored ADR compare 13.7×
CBRE CBRE Group, Inc. compare 14.5×
CSGP CoStar Group, Inc. 21.0×
COMP Compass, Inc. compare 99.8×
Real Estate Services industry median 10.2×
Real Estate sector median 15.2×
Market median 11.0×

What EV/EBITDA is

Enterprise Value over EBITDA tells an investor how the market values a whole company, with debt added and cash taken off, against its operating earnings.

((Stock Price × Shares (Basic, Weighted) (latest quarter)) + (Long Term Debt (Total) (latest quarter) + Current Part of Debt (latest quarter)) − Cash & Short Term Investments (latest quarter)) ÷ EBITDA (TTM)

The full definition of EV/EBITDA →

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