Current Ratio
Updated 152h ago
Sector Performance
81th percentileCSGP
2.20x
Sector Median
1.20x
Sector Avg
2.57x
Deep Analysis
With a current ratio of 2.20x, CSGP holds $2.20 in short-term assets for every $1 of liabilities due within a year, indicating the company can comfortably cover its near-term obligations.
This value places it well above the sector median of 1.20x and in the 81st percentile among peers, meaning CSGP has stronger liquidity than four out of five competitors. Trend data is unavailable: the year-over-year and quarter-over-quarter changes are both listed as N/A, and only a single historical value of 2.20x is provided, so no direction can be assessed. The combination of a high liquidity level relative to peers with no trend history suggests the company’s short-term financial risk is low at present, but the absence of movement offers no insight into whether that position is improving or weakening. This metric supports the overall NEUTRAL verdict because strong liquidity alone does not justify a bullish or bearish stance when other factors are unknown or balanced.
Frequently Asked Questions
What does the Current Ratio tell investors about CSGP?
Measures short-term financial health. A ratio above 1.5 is generally healthy; below 1.0 may indicate liquidity stress.
How is the Current Ratio calculated?
Current Ratio is calculated as: Current Assets / Current Liabilities.
Who are CSGP's closest peers by Current Ratio?
The closest peers by Current Ratio include: SPG (0.41x), CHTR (0.40x), USB (0.40x), GEN (0.40x), DRI (0.39x).
The Formula
Current Assets / Current Liabilities
Why It Matters
Measures short-term financial health. A ratio above 1.5 is generally healthy; below 1.0 may indicate liquidity stress.
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2.20x
Sector Median
1.20x
Sector Avg
2.57x
How CSGP's Current Ratio compares to sector peers.
Also Analyze
Not financial advice. Research tool only. Data may be delayed.