DV
Dividend Vision

CSGP — CoStar Group Inc.

CoStar Group Inc. (CSGP)

Total return is 3424.2% over the past 28.1 years, 2424.2 points ahead of SPY at 1000.0%. Its deepest 1-year drawdown was 70.2%.

CSGP is a single-stock equity holding in CoStar Group Inc., a publicly traded company that distributes earnings to shareholders on a quarterly basis. As a concentrated equity position rather than a diversified fund, it carries company-specific risk and does not follow a traditional ETF structure with published expense ratios or standardized yield metrics. This holding appeals primarily to investors seeking direct exposure to CoStar's business performance and capital returns, rather than those pursuing broad dividend diversification.

CSGP key facts

Asset type
Stock
Asset class
Equity
Inception date
07/01/1998
Distribution frequency
None
Last close
$32.38
Market cap
$13,120,299,008
Average volume
5996000.0
Beta
0.731
Payout ratio
0.0
P/E ratio
179.8889
Forward P/E
23.0415
EPS
$0.18