COI
CSGP icon

Connable Office Inc’s CoStar Group CSGP Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$724K Hold
9,000
0.07% 107
2025
Q1
$713K Hold
9,000
0.08% 108
2024
Q4
$644K Hold
9,000
0.07% 120
2024
Q3
$679K Hold
9,000
0.07% 119
2024
Q2
$667K Hold
9,000
0.07% 113
2024
Q1
$869K Hold
9,000
0.1% 101
2023
Q4
$787K Hold
9,000
0.1% 100
2023
Q3
$692K Hold
9,000
0.1% 100
2023
Q2
$801K Hold
9,000
0.11% 94
2023
Q1
$620K Hold
9,000
0.09% 112
2022
Q4
$696K Hold
9,000
0.1% 107
2022
Q3
$627K Hold
9,000
0.1% 101
2022
Q2
$544K Hold
9,000
0.08% 109
2022
Q1
$599K Hold
9,000
0.08% 112
2021
Q4
$711K Sell
9,000
-1,310
-13% -$103K 0.09% 118
2021
Q3
$887K Hold
10,310
0.13% 101
2021
Q2
$854K Buy
10,310
+9,225
+850% +$764K 0.12% 100
2021
Q1
$892K Hold
1,085
0.13% 97
2020
Q4
$1M Hold
1,085
0.15% 91
2020
Q3
$921K Sell
1,085
-65
-6% -$55.2K 0.17% 86
2020
Q2
$817K Hold
1,150
0.16% 84
2020
Q1
$675K Sell
1,150
-531
-32% -$312K 0.16% 81
2019
Q4
$1.01M Hold
1,681
0.17% 83
2019
Q3
$997K Sell
1,681
-218
-11% -$129K 0.18% 84
2019
Q2
$1.05M Sell
1,899
-225
-11% -$125K 0.19% 83
2019
Q1
$991K Sell
2,124
-321
-13% -$150K 0.19% 80
2018
Q4
$825K Sell
2,445
-121
-5% -$40.8K 0.18% 82
2018
Q3
$1.08M Sell
2,566
-71
-3% -$29.9K 0.21% 83
2018
Q2
$1.09M Sell
2,637
-113
-4% -$46.6K 0.22% 77
2018
Q1
$997K Sell
2,750
-154
-5% -$55.8K 0.2% 80
2017
Q4
$862K Hold
2,904
0.17% 81
2017
Q3
$779K Hold
2,904
0.16% 87
2017
Q2
$765K Hold
2,904
0.17% 86
2017
Q1
$602K Sell
2,904
-96
-3% -$19.9K 0.14% 81
2016
Q4
$565K Hold
3,000
0.13% 99
2016
Q3
$650K Hold
3,000
0.16% 94
2016
Q2
$656K Hold
3,000
0.18% 70
2016
Q1
$565K Hold
3,000
0.16% 77
2015
Q4
$620K Hold
3,000
0.18% 81
2015
Q3
$519K Hold
3,000
0.15% 86
2015
Q2
$604K Buy
3,000
+500
+20% +$101K 0.16% 76
2015
Q1
$495K Hold
2,500
0.13% 91
2014
Q4
$459K Hold
2,500
0.12% 90
2014
Q3
$389K Hold
2,500
0.1% 102
2014
Q2
$395K Hold
2,500
0.1% 108
2014
Q1
$467K Hold
2,500
0.13% 95
2013
Q4
$461K Hold
2,500
0.12% 98
2013
Q3
$420K Hold
2,500
0.12% 118
2013
Q2
$323K Buy
+2,500
New +$323K 0.09% 145