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CoStar Group Inc CSGP

Public price data and the systematic strategies that can select this listing from their universe.

Statistics (historical data)

Last close

29.17 USD

2026-07-27

Return 1M / 3M

+1.9% / -20.0%

Return 6M / 12M

-55.5% / -68.6%

52-week range

27.14–96.83

Volatility (annualized)

45.0%

Max drawdown (52w)

-72.0%

Price levels (last close, 52-week range) are market closes; returns and volatility use dividend-adjusted (total-return) prices. Past performance does not predict future results. This is data, not a recommendation.

Strategies that can select this listing

This shows public market data and which strategy universes can select this listing — it is not a statement that any strategy currently holds it (that's in the gated monthly update). Universes are methodology (Nasdaq-100 / WIG20), not holdings.

Listings from the same universes

Common questions

Where is CoStar Group Inc listed?

CSGP trades on US exchanges (NYSE/Nasdaq), quoted in USD.

Where does the data on this page come from?

From our cache of licensed market data: the chart and price levels are market closes, while returns use dividend-adjusted (total-return) prices. The full methodology is on the methodology page.

Does any strategy currently hold CSGP?

We don't disclose that publicly — current model portfolios are part of the paid monthly update. What is public is every strategy's full track record, e.g. Balanced Duo (Trend + Fast Momentum) and Congressional Buys (Speculative).