BEKE vs. CSGP: KE vs. CoStar Stock Comparison
How do KE (BEKE) and CoStar (CSGP) stack up? This page sets them side by side across company profile, performance and risk, profitability, growth, financial strength, dividends, and valuation, with selected fundamentals also measured against each stock's industry-group peers.
Company Profile
KE (BEKE) and CoStar (CSGP) are both classified in the Real Estate Services sub-industry within the broader Real Estate Management & Development industry, placing them in the closest GICS peer bucket.
CoStar (CSGP) has more than two decades of public-market history since July 1, 1998, whereas KE (BEKE) listed on August 13, 2020 and has a much shorter record to draw on.
CoStar (CSGP) trades as ordinary local shares, while KE (BEKE) trades as an ADR — compare with FX exposure, depositary-program fees, and dividend-withholding-tax differences in mind.
| Profile Item | BEKE | CSGP |
|---|---|---|
| Name | Ke Holdings Inc. ADR | CoStar Group, Inc. |
| Country/Region | China | United States |
| GICS Sector | Real Estate | Real Estate |
| GICS Industry Group | Real Estate Management & Development | Real Estate Management & Development |
| GICS Industry | Real Estate Management & Development | Real Estate Management & Development |
| GICS Sub-Industry | Real Estate Services | Real Estate Services |
| Market Capitalization | 15.47 billion USD | 11.56 billion USD |
| Currency | USD | USD |
| Exchange | NYSE | Nasdaq |
| Listing Date | August 13, 2020 | July 1, 1998 |
| Security Type | ADR | Common Stock |
Price Performance
Cumulative Growth
Trailing Returns
Performance Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| Total Return (1Y) | -16.58% | -64.78% |
Risk Profile
Drawdown History
KE (BEKE) reports a negative beta of -0.33, suggesting inverse market sensitivity over the measurement window. That is uncommon for ordinary equities and can reflect commodity-linked or hedge-like exposure, but it can also come from statistical noise. CoStar (CSGP) has a non-negative beta of 0.74.
Risk Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| Volatility (1Y, Annualized) | 36.16% | 40.04% |
| Beta (5Y) | -0.33 | 0.74 |
| Avg. Volume (3M) | 4.64M | 7.42M |
Risk-Adjusted Performance
Risk-Return Positioning
Profitability
ROE (TTM)
Both KE (BEKE) at 5.08% and CoStar (CSGP) at 0.30% land near their industries’ usual ROE ranges, so capital efficiency looks broadly in line with peers on both sides.
BEKE
Real Estate Management & Development industry group
5.08%
- Max
- 22.48%
- Q3
- 11.17%
- BEKE
- 5.08%
- Median
- 3.61%
- Q1
- 0.30%
- Min
- -13.61%
CSGP
Real Estate Management & Development industry group
0.30%
- Max
- 22.48%
- Q3
- 11.17%
- Median
- 3.61%
- CSGP
- 0.30%
- Q1
- 0.30%
- Min
- -13.61%
Net Margin (TTM)
Both KE (BEKE) at 3.77% and CoStar (CSGP) at 0.73% keep about the typical share of revenue as profit for their industries — neither bottom line stands out from peers.
BEKE
Real Estate Management & Development industry group
3.77%
- Max
- 21.64%
- Q3
- 9.72%
- BEKE
- 3.77%
- Median
- 3.01%
- Q1
- 0.31%
- Min
- -0.35%
CSGP
Real Estate Management & Development industry group
0.73%
- Max
- 21.64%
- Q3
- 9.72%
- Median
- 3.01%
- CSGP
- 0.73%
- Q1
- 0.31%
- Min
- -0.35%
Operating Margin (TTM)
KE (BEKE) at 6.74% operates in the top operating margin quartile, ahead of CoStar (CSGP) at 0.33%, which runs around its industry’s norm.
BEKE
Real Estate Management & Development industry group
6.74%
- Max
- 21.48%
- BEKE
- 6.74%
- Q3
- 5.09%
- Median
- 2.48%
- Q1
- -11.08%
- Min
- -26.36%
CSGP
Real Estate Management & Development industry group
0.33%
- Max
- 21.48%
- Q3
- 5.09%
- Median
- 2.48%
- CSGP
- 0.33%
- Q1
- -11.08%
- Min
- -26.36%
Profitability Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| ROE (TTM) | 5.08% | 0.30% |
| ROA (TTM) | 1.50% | -0.16% |
| Net Margin (TTM) | 3.77% | 0.73% |
| Operating Margin (TTM) | 6.74% | 0.33% |
| Gross Margin (TTM) | 22.13% | 78.63% |
Growth
Revenue Growth
Revenue Growth Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| Revenue Growth (YoY) | 1.20% | 18.68% |
| Revenue Growth (3Y CAGR) | 15.95% | 14.16% |
EPS Growth
EPS Growth Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| EPS Growth (YoY) | -25.22% | -94.12% |
| EPS Growth (3Y CAGR) | -- | -72.19% |
Financial Strength
Current Ratio (MRQ)
Both KE (BEKE) at 1.63 and CoStar (CSGP) at 2.20 carry current ratio within their industries’ typical mid-ranges, suggesting balanced short-term liquidity relative to peers.
BEKE
Real Estate Management & Development industry group
1.63
- Max
- 5.67
- Q3
- 3.21
- Median
- 2.05
- BEKE
- 1.63
- Q1
- 1.41
- Min
- 0.61
CSGP
Real Estate Management & Development industry group
2.20
- Max
- 5.67
- Q3
- 3.21
- CSGP
- 2.20
- Median
- 2.05
- Q1
- 1.41
- Min
- 0.61
Debt / Equity (MRQ)
CoStar (CSGP) at 0.15 keeps leverage in the lower industry quartile, while KE (BEKE) at 0.25 runs a more typical debt-to-equity mix.
BEKE
Real Estate Management & Development industry group
0.25
- Max
- 1.60
- Q3
- 0.83
- Median
- 0.41
- BEKE
- 0.25
- Q1
- 0.21
- Min
- 0.10
CSGP
Real Estate Management & Development industry group
0.15
- Max
- 1.60
- Q3
- 0.83
- Median
- 0.41
- Q1
- 0.21
- CSGP
- 0.15
- Min
- 0.10
Financial Strength Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| Current Ratio (MRQ) | 1.63 | 2.20 |
| Debt / Equity (MRQ) | 0.25 | 0.15 |
| Net Debt / EBITDA | -7.23 | -0.22 |
Dividends
Dividend Yield (TTM)
CoStar (CSGP) pays no dividend (yield 0.00%) — it may be reinvesting, using buybacks, or simply not returning cash through dividends. Meanwhile KE (BEKE) reports a yield of 13.27%, ranking against industry peers normally.
BEKE
Real Estate Management & Development industry group
13.27%
- BEKE
- 13.27%
- Max
- 1.60%
- Q3
- 0.74%
- Median
- 0.00%
- Q1
- 0.00%
- Min
- 0.00%
CSGP
Real Estate Management & Development industry group
0.00%
- Max
- 1.60%
- Q3
- 0.74%
- CSGP
- 0.00%
- Median
- 0.00%
- Q1
- 0.00%
- Min
- 0.00%
Dividend Payout Ratio (TTM)
CoStar (CSGP) pays no dividend (payout 0.00%) — it may be reinvesting, using buybacks, or simply not returning cash through dividends. Meanwhile KE (BEKE) reports a payout of 88.12%, ranking against industry peers normally.
BEKE
Real Estate Management & Development industry group
88.12%
- BEKE
- 88.12%
- Max
- 43.71%
- Q3
- 28.65%
- Median
- 0.00%
- Q1
- 0.00%
- Min
- 0.00%
CSGP
Real Estate Management & Development industry group
0.00%
- Max
- 43.71%
- Q3
- 28.65%
- CSGP
- 0.00%
- Median
- 0.00%
- Q1
- 0.00%
- Min
- 0.00%
Dividend Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| Dividend Yield (TTM) | 13.27% | 0.00% |
| Dividend Payout Ratio (TTM) | 88.12% | 0.00% |
Valuation
P/E Ratio (TTM)
KE (BEKE) at 33.02 is near its industry’s usual P/E ratio, while CoStar (CSGP) at 404.57 sits above its peer range — an unusually expensive price for CSGP’s trailing earnings.
BEKE
Real Estate Management & Development industry group
33.02
- Max
- 126.08
- Q3
- 125.63
- Median
- 36.72
- BEKE
- 33.02
- Q1
- 18.23
- Min
- 4.87
CSGP
Real Estate Management & Development industry group
404.57
- CSGP
- 404.57
- Max
- 126.08
- Q3
- 125.63
- Median
- 36.72
- Q1
- 18.23
- Min
- 4.87
P/S Ratio (TTM)
KE (BEKE) at 0.17 sits in the cheaper P/S ratio quartile while CoStar (CSGP) at 3.39 prices around its industry’s middle — BEKE costs less per dollar of sales, though read it alongside growth and margins.
BEKE
Real Estate Management & Development industry group
0.17
- Max
- 14.32
- Q3
- 7.05
- Median
- 1.74
- Q1
- 0.94
- BEKE
- 0.17
- Min
- 0.00
CSGP
Real Estate Management & Development industry group
3.39
- Max
- 14.32
- Q3
- 7.05
- CSGP
- 3.39
- Median
- 1.74
- Q1
- 0.94
- Min
- 0.00
P/B Ratio (MRQ)
On P/B ratio, both KE (BEKE) at 1.72 and CoStar (CSGP) at 1.46 are valued close to their industries’ norm against book — neither stands out from peers.
BEKE
Real Estate Management & Development industry group
1.72
- Max
- 6.40
- Q3
- 4.30
- BEKE
- 1.72
- Median
- 1.66
- Q1
- 1.07
- Min
- 0.45
CSGP
Real Estate Management & Development industry group
1.46
- Max
- 6.40
- Q3
- 4.30
- Median
- 1.66
- CSGP
- 1.46
- Q1
- 1.07
- Min
- 0.45
Valuation Metrics
| Metric | BEKE | CSGP |
|---|---|---|
| P/E Ratio (TTM) | 33.02 | 404.57 |
| P/S Ratio (TTM) | 0.17 | 3.39 |
| P/B Ratio (MRQ) | 1.72 | 1.46 |
| Free Cash Flow Yield (TTM) | -1.78% | 1.75% |