Cushman & Wakefield [CWK] vs CoStar Group [CSGP] Detailed Stock Comparison

TLDR: Quick Comparison Summary

Based on 19 vital metrics comparison: Cushman & Wakefield wins in 12 metrics, CoStar Group wins in 6 metrics, with 0 ties. Cushman & Wakefield appears stronger overall.

View Metrics Details

Vital Metrics Comparison

MetricCushman & WakefieldCoStar GroupBetter
P/E Ratio (TTM)18.01326.15Cushman & Wakefield
Price-to-Book Ratio1.934.17Cushman & Wakefield
Debt-to-Equity Ratio170.2812.95CoStar Group
PEG Ratio0.06-4.08CoStar Group
EV/EBITDA11.19166.51Cushman & Wakefield
Profit Margin (TTM)2.11%3.57%CoStar Group
Operating Margin (TTM)4.94%-3.48%Cushman & Wakefield
EBITDA Margin (TTM)4.94%N/AN/A
Return on Equity11.62%1.30%Cushman & Wakefield
Return on Assets (TTM)3.78%0.07%Cushman & Wakefield
Free Cash Flow (TTM)$167.00M$-245.30MCushman & Wakefield
1-Year Return24.34%6.40%Cushman & Wakefield
Price-to-Sales Ratio (TTM)0.3812.32Cushman & Wakefield
Enterprise Value$6.29B$33.10BCoStar Group
EV/Revenue Ratio0.6511.35Cushman & Wakefield
Gross Profit Margin (TTM)18.81%78.52%CoStar Group
Revenue per Share (TTM)$42$7Cushman & Wakefield
Earnings per Share (Diluted)$0.88$0.26Cushman & Wakefield
Beta (Stock Volatility)1.510.87CoStar Group
Performance
News Sentiment
Key Stats
Valuation
Financials
Short Interest
Dividends

Cushman & Wakefield vs CoStar Group Stock Performance Analysis

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Performance Comparison

Short-term Returns

Stock1D1W1M3M6MYTD
Cushman & Wakefield-1.70%-2.81%-4.94%34.31%79.29%23.75%
CoStar Group-4.30%-3.66%-7.85%-0.55%7.13%14.57%

Long-term Returns

Stock1Y3Y5Y10Y15Y20Y
Cushman & Wakefield24.34%37.39%33.85%-16.01%-16.01%-16.01%
CoStar Group6.40%15.43%-5.71%339.12%1,466.60%1,679.61%

News Based Sentiment: Cushman & Wakefield vs CoStar Group

Cushman & Wakefield

News based Sentiment: POSITIVE

Cushman & Wakefield had a strong month marked by successful debt management, positive analyst ratings, and continued operational wins in financing and leasing. These developments suggest a stable financial position and a positive outlook for the company, making it a potentially attractive investment.

View Cushman & Wakefield News Sentiment Analysis

CoStar Group

News based Sentiment: MIXED

October saw a mix of positive analyst activity surrounding Homes.com's growth and concerning insider selling, creating a somewhat uncertain outlook for investors. The upcoming Q3 earnings report will be critical in resolving this ambiguity and shaping the investment narrative.

View CoStar Group News Sentiment Analysis

Performance & Financial Health Analysis: Cushman & Wakefield vs CoStar Group

MetricCWKCSGP
Market Information
Market Cap i$3.67B$36.15B
Market Cap CategoryMid capLarge cap
10 Day Avg. Volume i2,011,5312,957,750
90 Day Avg. Volume i2,113,3872,602,263
Last Close$15.58$81.15
52 Week Range$7.64 - $17.04$68.26 - $97.43
% from 52W High-8.57%-16.71%
All-Time High$23.54 (Feb 21, 2022)$101.05 (Oct 25, 2021)
% from All-Time High-33.81%-19.69%
Growth Metrics
Quarterly Revenue Growth0.09%0.15%
Quarterly Earnings Growth3.24%-0.68%
Financial Health
Profit Margin (TTM) i0.02%0.04%
Operating Margin (TTM) i0.05%-0.03%
Return on Equity (TTM) i0.12%0.01%
Debt to Equity (MRQ) i170.2812.95
Cash & Liquidity
Book Value per Share (MRQ)$8.22$20.32
Cash per Share (MRQ)$2.67$9.29
Operating Cash Flow (TTM) i$158.90M$394.60M
Levered Free Cash Flow (TTM) i$537.49M$127.80M
Dividends
Last 12-Month Dividend Yield iN/AN/A
Last 12-Month Dividend iN/AN/A

Valuation & Enterprise Metrics Analysis: Cushman & Wakefield vs CoStar Group

MetricCWKCSGP
Price Ratios
P/E Ratio (TTM) i18.01326.15
Forward P/E i13.4375.71
PEG Ratio i0.06-4.08
Price to Sales (TTM) i0.3812.32
Price to Book (MRQ) i1.934.17
Market Capitalization
Market Capitalization i$3.67B$36.15B
Enterprise Value i$6.29B$33.10B
Enterprise Value Metrics
Enterprise to Revenue i0.6511.35
Enterprise to EBITDA i11.19166.51
Risk & Other Metrics
Beta i1.510.87
Book Value per Share (MRQ) i$8.22$20.32

Financial Statements Comparison: Cushman & Wakefield vs CoStar Group

Financial Metrics

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Revenue

EBITDA

Shareholders Equity

Operating Margin

Free Cash Flow

Long Term Debt

Profit Margin

Current Ratio

Operating Cash Flow

Income Statement (MRQ)

Metric (MRQ)CWKCSGP
Revenue/Sales i$2.28B$732.20M
Cost of Goods Sold i$1.90B$153.30M
Gross Profit i$384.30M$578.90M
Research & Development iN/A$94.50M
Operating Income (EBIT) i$51.80M$-42.80M
EBITDA i$112.20M$4.50M
Pre-Tax Income i$5.00M$-6.70M
Income Tax i$3.10M$8.10M
Net Income (Profit) i$1.90M$-14.80M

Balance Sheet & Liquidity Metrics (MRQ)

Metric (MRQ)CWKCSGP
Cash & Equivalents i$623.20M$3.68B
Total Current Assets i$2.60B$4.35B
Total Current Liabilities i$2.20B$724.40M
Long-Term Debt i$3.17B$1.11B
Total Shareholders Equity i$1.78B$8.56B
Retained Earnings i$-984.00M$2.33B
Property, Plant & Equipment i$405.30M$1.19B

Cash Flow Statement Comparison (MRQ)

Metric (MRQ)CWKCSGP
Operating Cash Flow i$35.30M$29.90M
Capital Expenditures i$-4.60M$-79.10M
Free Cash Flow i$-166.60M$-26.00M
Debt Repayment i$-31.40M$-700,000
Common Stock Repurchase i$-10.20M$-18.50M

Short Interest & Institutional Ownership Analysis

MetricCWKCSGP
Shares Short i11.17M17.12M
Short Ratio i5.477.49
Short % of Float i0.06%0.05%
Average Daily Volume (10 Day) i2,011,5312,957,750
Average Daily Volume (90 Day) i2,113,3872,602,263
Shares Outstanding i229.70M409.50M
Float Shares i230.27M417.99M
% Held by Insiders i0.01%0.01%
% Held by Institutions i0.98%1.06%

Dividend Analysis & Yield Comparison: Cushman & Wakefield vs CoStar Group

MetricCWKCSGP
Last 12-Month Dividend iN/AN/A
Last 12-Month Dividend Yield iN/AN/A
3-Year Avg Annual Dividend iN/AN/A
3-Year Avg Dividend Yield iN/AN/A
3-Year Total Dividends iN/AN/A
Ex-Dividend DateN/AN/A