Debt-to-Equity Ratio
Updated 152h ago
Sector Performance
15th percentileCSGP
0.13x
Sector Median
0.73x
Sector Avg
0.09x
Deep Analysis
The Debt-to-Equity Ratio measures a company’s total debt relative to its shareholders’ equity, with a lower number indicating less reliance on borrowed funds.
At 0.13x, CSGP holds far less debt than the typical company in its sector, where the median is 0.72x, placing it in the 15th percentile among peers. The metric has been stable over the last eight quarters, with no year-over-year change available and a quarter-over-quarter decline of -7.1%. This combination of a very low and stable debt level implies minimal financial risk from excessive leverage, but it also suggests the company is not using debt to amplify growth, which may limit upside potential. The low risk profile aligns with a NEUTRAL verdict: it avoids a key red flag but does not provide a compelling catalyst for outperformance. Overall, the metric supports the neutral stance by confirming a conservative balance sheet without signaling strong growth leverage.
Frequently Asked Questions
What does the Debt-to-Equity Ratio tell investors about CSGP?
Shows how much a company is financing its operations through debt vs shareholder funds. High D/E can amplify returns — and losses.
How is the Debt-to-Equity Ratio calculated?
Debt-to-Equity Ratio is calculated as: Total Debt / Shareholders' Equity.
Who are CSGP's closest peers by Debt-to-Equity Ratio?
The closest peers by Debt-to-Equity Ratio include: ETSY (-2.62x), MCK (-3.00x), TDG (-3.40x), VRSK (-3.81x), MAR (-4.04x).
The Formula
Total Debt / Shareholders' Equity
Why It Matters
Shows how much a company is financing its operations through debt vs shareholder funds. High D/E can amplify returns — and losses.
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0.13x
Sector Median
0.73x
Sector Avg
0.09x
How CSGP's Debt-to-Equity Ratio compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.