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CSGPCoStar Group, Inc.
CoStar Group, Inc.
CSGP重點摘要
最後更新: 2026-07-28- •CSGP 因 2026 年第二季營收財測低於 9.31 億美元的共識而下跌約 12%,符合財測失準歷史上 7–18% 的反應範圍。
- •以 50 倍槓桿在 34 美元以上入場的多頭部位,面臨近乎 100% 的保證金損失 — 部位規模必須考慮 CSGP 記錄的高波動性財報表現。
- •盤中上漲 4.25% 至 30.38 美元,顯示空頭回補風險;29.80 美元是應關注的即時支撐位。
- •CBRE Group 和費城房地產指數面臨情緒外溢,因 CoStar 的財測證實了商業房地產交易量疲軟和高利率逆風。
- •對加密貨幣、外匯或商品沒有直接影響 — 這是一次股票/房地產板塊事件,跨市場傳導有限。
價格及市場結構
市況形態狀態
最新動態
CoStar Group 股價下跌 12% 財測未達標:槓桿清算區間與房地產板塊外溢效應
CoStar Group, Inc. (NASDAQ: CSGP) 在發布令人失望的營收財測後,股價下跌約 12%,延續了市場對低於預期的前瞻性指引做出劇烈反應的模式。根據路透社和 Investing.com 的報導,CoStar 反覆發布低於市場預期的營收指引 — 其 2026 年第二季財測中位數低於 9.31 億美元的共識,而 2026 年全年目標未能讓投資者完全放心,因商業房地產市場持續疲軟
Scout24 第一季業績超出預期,營收增長 15.8% — 但股價因獲利了結下跌
德國領先的數位房地產市場 Scout24 報告 2025 年第一季營收為 1.576 億歐元,同比增長 15.8%,超過分析師共識的 13% 增長,根據 Investing.com。調整後集團 EBITDA 達到 9,400 萬歐元,超出 9,200 萬歐元的共識預期。每股盈餘增長 28.6%,達到 0.69 歐元,淨利潤增長 26.7%,達到 5,000 萬歐元。
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Navigate to the stocks market section and search for CSGP. You can trade CoStar Group, Inc. as a CFD with up to 1000x leverage.
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Choose your position direction (long or short), set your leverage, and enter your position size to trade CoStar Group, Inc..
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Keep track of your open positions and manage risk with stop-loss orders and position sizing.
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Market Order
Execute immediately at the current market price. Best for quick entries.
Limit Order
Set a specific price to enter. The order fills only when the market reaches your price.
Stop-Loss Order
Automatically close your position at a specified price to limit potential losses.
Important Tips
- • Start with a small position to understand how leverage works
- • Always set a stop-loss to protect your capital
- • Higher leverage amplifies both gains and losses
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免責聲明與參考資料
重要風險提示
本平台所載全部 CoStar Group, Inc. 價格預測與展望僅供資訊及教育用途,並不構成任何形式的財務建議、投資推薦或指引。
加密貨幣市場波動極高且難以預測,過去表現不代表未來結果。上述預測基於數學模型、歷史數據分析及各類技術指標,無法涵蓋不可預見的市場事件、監管變動或其他外部因素。
用戶在作出任何投資決策前,應自行研究並諮詢合資格的財務專業人士。本平台之創建者及營運者概不承擔因依賴相關資訊而導致的任何財務損失或其他損害責任。
投資加密貨幣風險極高,可能損失全部本金。
方法論概覽
我們的 CoStar Group, Inc. 價格預測採用多因素模型,結合:
- 技術分析(移動平均線、震盪指標、圖表形態)
- 機器學習模型(LSTM 網絡、迴歸模型)
- 鏈上指標(交易量、活躍地址、交易所流向)
- 情緒分析(社交媒體、新聞、群眾心理)
- 宏觀因素(通脹、利率、與傳統市場的相關性)
方法論最後審閱日期:
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CSGP
CoStar Group, Inc.
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