あなたのバッジ 52週レンジ $87–$172 3% of range アナリスト評価 BUY 14 analysts 目標株価 $139 +55% upside P/E 72.8 ROE 15.7% 純利益率 4.0%

CIGI 株価スナップショット 価格、時価総額、P/E、EPS、ROE、負債/資本、52週レンジ

03
株価 $89.78
P/E 72.8
EPS $2.02
収益 $5.56B
ROE 15.7%
52週レンジ $87–$172

CIGI 株価チャート 技術指標付きの日次 OHLCV — パン、ズーム、ビューのカスタマイズ

04
範囲
バー

バーの粒度は選択した期間に合わせて調整されます。バーの始値/高値/安値/終値を確認するにはチャートにカーソルを合わせてください。

株式分割 2
権利落ち日 分割 タイプ
2015年6月2日 1709-for-1000 順
2004年12月13日 2-for-1 順

Colliers International Group Inc. - Subordinate Voting Shares について Wikipediaからの企業概要

05 · wikidata

Colliers International Group Inc. is a Canadian diversified professional services and investment management company with approximately 29,000 employees in more than 400 offices in 65 countries.

The firm provides services to commercial real estate users, owners, investors and developers; they include consulting, corporate facilities, investment services, landlord and tenant representation, project management, urban planning, property and asset management, and valuation and advisory services. The organization serves the hotel, industrial, mixed-use, office, retail and residential property sectors.

The firm has headquarters in Toronto, Ontario. Annual revenues were $4.09 billion in 2021. In June 2015, it was announced that Jay S. Hennick was appointed chairman and chief executive officer.

History

Colliers began in Australia in 1976 after Glynn Lynch & McHarg and Jones Lang Wootten & Sons merged under the Colliers name. In 1978, Colliers merged with Hong Kong–based Tony Petty & Associates.

In 1984, Colliers merged with Macaulay Nicolls. The following year, the company merged with American Realty Services Group. In 1992, the company merged with Jardines, a British firm.

In 2004, FirstService Corporation bought a controlling interest in Colliers Macaulay Nicolls, Colliers' largest member. After gaining controlling interest, Macaulay Nicolls became First Service REA.

In 2006, FirstService purchased a majority stake in PGP Valuation and merged with the appraisal arm of Colliers Macaulay Nicolls. In 2007, FirstService acquired an 80 percent stake in PKF Hotel and Hospitality Consulting and a 60 percent stake in MHPM Project Managers.

In September 2008, FirstService purchased a 65 percent stake in GVA Williams. In 2009, FirstService gained control of Colliers after acquiring large shareholders. In October, Colliers invested in Colliers CRE, a London-based real estate services company.

In January 2010, the merger of Colliers and FirstService was announced. Following the merger in April 2010, Dylan Taylor became president and CEO of Colliers International's US operations. Also in April, Colliers invested in Colliers Bennett & Kahnweiler and West Shell Commercial in Cincinnati, Ohio. The following month, Adena Commercial, a real estate firm in Columbus, Ohio, and Grubb & Ellis Paramount Commerce in Grand Rapids, Michigan, began working with Colliers International. In June 2010, Colliers partnered with Sutton & Edwards, a real estate firm in Long Island, New York.

In July 2014, PKF Consulting was sold to CBRE Group. In June 2015, Colliers International and FirstService Corporation separated into two independent, publicly traded companies – Colliers International Group Inc. and FirstService Corporation.

In September 2016, Stephen Harper, Canada's former Conservative Prime Minister, was appointed to the company's board.

In October 2017, Colliers acquired Serten Advisors, LLC; a tenant representation firm headquartered in the Washington, D.C., area.

In May 2018, Colliers acquired a majority 75% stake in Harrison Street for $550 million.

In September 2019, Colliers acquired Synergy Property Development Services, an Indian real estate company.

In December 2019, Colliers acquired certain divisions of Doughtery Financial based in Minneapolis.

In July 2020, Colliers acquired Maser Consulting P.A., a multi-discipline engineering design services firm based in New Jersey.

In July 2025, Colliers restructured its entire investment management business to be under the Harrison Street brand. These would include its companies: Basalt Infrastructure Partners, Versus Capital, Rockwood Capital, and Colliers Global Investor. The new unit would be named Harrison Street Asset Management.

Business model

In 2010, Colliers consolidated its franchises under a single name, hoping to increase their market share, according to The New York Times. On 1 June 2015 First Services and Colliers split into two independent publicly traded entities. Colliers is a full service real estate brokerage firm that operates in 67 countries and is traded on the Toronto Stock Exchange (TSX) and the NASDAQ stock market exchange under the symbol CIGI.

In July 2024, Colliers completed its US$475 million acquisition of a controlling interest in Englobe Corporation.

Financial results

In 2009, Colliers ranked second out of the top twenty-five brokerages in the global real estate industry, based on its combined dollar value of leasing transactions and investment sales globally. The survey also found that Colliers International had posted an increase of more than 28 percent over its 2008 ranking when it was fifth.

In March 2010, the annual Lipsey Survey of the top 25 brands in the commercial real estate industry worldwide ranked Colliers in second. The firm had held the third-place position in that survey since 2004.

In 2018 and 2019, Colliers was ranked third on the annual Lipsey Survey of the Top 25 Commercial Real Estate Brands.

出典: Wikipedia (英語), CC BY-SA 4.0 · Wikipediaで表示 ↗

Wikidata ↗

セクターReal Estate 業種Real Estate 従業員28,000 国CA

10年間のパフォーマンス 収益、純利益、利益率、EPSのトレンド

06
収益$5.56B
2016-12-31 → 2025-12-31
EPS$2.02
2016-12-31 → 2025-12-31
フリーキャッシュフロー$251M
2016-12-31 → 2025-12-31
純利益率4.0%
2016-12-31 → 2025-12-31
バリュエーションと指標 07–12

バリュエーション P/E、P/S、P/B、EV/EBITDA比率 — 株は割高か割安か?

指標 5年トレンド CIGI 5年平均 競合中央値 結論
P/E 72.85年平均 ≈55.2 ≈55.2 · ·

同業他社の中央値は、指標ごとに標準化された基準で計算されており、この銘柄に表示されているTTM/MRQ基準と常に一致するとは限りません。

バリュエーション · ≈ 5年平均 · 業界中央値 · 中央値に対する評価

配当金 利回り、配当性向、配当履歴、5年CAGR

13
配当性向6.8%
年次配当≈$0.30半年払い
5年配当CAGR≈24.6%1株当たり、株式分割調整後
権利落ち日金額通貨利回り
6月 30, 2026$0.15USD≈0.32%
12月 31, 2025$0.15USD≈0.20%
6月 30, 2025$0.15USD≈0.23%
12月 31, 2024$0.15USD≈0.22%
6月 28, 2024$0.15USD≈0.27%
12月 28, 2023$0.15USD≈0.23%
6月 29, 2023$0.15USD≈0.31%
12月 29, 2022$0.15USD≈0.33%
6月 29, 2022$0.15USD≈0.28%
12月 30, 2021$0.15USD≈0.14%
6月 29, 2021$0.05USD≈0.09%
12月 30, 2020$0.05USD≈0.11%
6月 29, 2020$0.05USD≈0.18%
12月 30, 2019$0.05USD≈0.13%
6月 27, 2019$0.05USD≈0.14%
12月 28, 2018$0.05USD≈0.18%
6月 28, 2018$0.05USD≈0.13%
12月 28, 2017$0.05USD≈0.17%
6月 28, 2017$0.05USD≈0.18%
12月 28, 2016$0.05USD≈0.28%

決算履歴 EPS実績 vs 予想、サプライズ%、達成率、次回決算日

14
平均サプライズ 0.35%
期間レポートEPS ActualEPS 予想サプライズ
2026年6月30日 $1.83 $1.85 -0.98%
2026年3月31日 $0.92 $0.97 -5.4%
2025年12月31日 $2.34 $2.48 -5.5%
2025年9月30日 $1.64 $1.61 1.6%
2025年6月30日 $1.72 $1.53 12.7%
2025年3月31日 $0.87 $0.87 -0.43%

完全なファンダメンタルズ 年次別全指標 — 損益計算書、貸借対照表、キャッシュフロー

15
損益計算書 14
指標 トレンド 202520242023202220212020201920182017201620152014
Revenue $5.56B$4.82B$4.34B$4.46B$4.09B$2.79B$3.05B$2.83B$2.44B$1.90B$1.72B$1.58B
SG&A Expense $1.57B$1.34B$1.19B$1.10B$1.02B$710M$745M$706M$614M$522M$502M$510M
Operating Income $371M$389M$301M$332M$-132M$165M$218M$201M$167M$146M$80M$78M
Interest Expense ···········$15M
Interest Income ···········$865.0K
Other Non-op $4M$410.0K$841.0K$-1M$5M$-13.0K$-212.0K$1M$500.0K$2M$1M$1M
Pretax Income $305M$311M$213M$290M$-152M$137M$191M$182M$156M$139M$72M$72M
Income Tax $80M$74M$68M$95M$86M$42M$53M$53M$62M$48M$33M$18M
Net Income $225M$237M$145M$195M$-238M$94M$138M$129M$94M$68M$23M$43M
EPS (Basic) $2.03$3.24$1.43$1.07$-9.09$1.23$2.60$2.49$1.32$1.76$0.63$1.20
EPS (Diluted) $2.02$3.22$1.41$1.05$-9.09$1.22$2.57$2.45$1.31$1.75$0.62$1.19
Shares (Basic) 50,784,13649,896,930307,98743,409,26542,920,08939,985,86839,549,56239,155,45438,829,98438,596,06537,196,316,00035,916,652,000
Shares (Diluted) 51,083,41750,181,51346,273,57443,918,40342,920,08940,179,16439,981,01839,794,61539,307,85438,867,83637,586,253,00036,308,978,000
EBITDA $627M$611M$503M$510M$14M$290M·$280M$220M$191M$119M$197M
貸借対照表 29
指標 トレンド 202520242023202220212020201920182017201620152014
Cash & Equivalents $208M$176M$181M$174M$397M$157M$115M$127M$109M$113M$116M$90M
Short-term Investments $22M$18M$19M$17M$9M$10M······
Receivables $829M$736M$643M$578M$502M$372M$394M$455M$383M$311M$298M$294M
Inventory ···········$19M
Prepaid Expense $346M$310M$259M$248M$340M$178M$145M$65M$55M$37M$32M$23M
Other Current Assets $1M$2M$4M$687.0K$771.0K$19M$1M·····
Current Assets $1.82B$1.60B$1.47B$1.21B$1.57B$1.04B$718M$760M$664M$506M$496M$708M
PP&E (Net) ·$227M$203M$164M$145M$129M$107M$93M$84M$65M$63M$65M
PP&E (Gross) ·······$252M$234M$190M$180M$155M
Accum. Depreciation ·······$158M$150M$124M$117M$89M
Goodwill $2.63B$2.30B$2.04B$1.99B$1.09B$1.09B$949M$888M$455M$348M$306M$286M
Intangibles $1.23B$1.18B$1.08B$1.16B$562M$610M$477M$498M$183M$140M$121M$115M
Other Non-current Assets $213M$186M$157M$139M$100M$74M$70M$61M$55M$39M$19M$16M
Total Assets $6.79B$6.10B$5.48B$5.10B$3.87B$3.29B$2.89B$2.36B$1.51B$1.19B$1.09B$1.02B
Accounts Payable $511M$495M$536M$503M$391M$298M$262M$241M$227M$84M$77M$83M
Accrued Liabilities ········$516M$400M$378M$379M
Current Liabilities $1.65B$1.51B$1.44B$1.34B$1.54B$1.11B$924M$799M$725M$510M$479M$630M
Capital Leases $419M$384M$375M$322M$297M$252M$229M·····
Deferred Tax $91M$78M$43M$58M$42M$51M$28M$28M$19M$15M$18M$22M
Other Non-current Liabilities $111M$129M$121M$91M$86M$49M$32M$22M$12M$9M$3M$23M
Long-term Debt $1.63B$1.51B$1.50B$1.44B$531M$480M···$262M$261M$493M
Total Debt ··········$261M$493M
Common Stock $1.53B$1.47B$1.13B$846M$852M$458M$442M$416M$407M$400M$396M$310M
Paid-in Capital $174M$140M$123M$105M$79M$67M$61M$55M$50M$52M$48M$47M
Retained Earnings $-98M$-186M$-333M$-384M$-280M$119M$77M$-22M$-115M$-174M$-238M$-118M
AOCI $-74M$-102M$-70M$-76M$-70M$-62M$-67M$-61M$-43M$-71M$-64M$-14M
Stockholders' Equity $1.53B$1.32B$848M$490M$582M$582M$513M$388M$299M$206M$142M$225M
Liabilities + Equity $6.79B$6.10B$5.48B$5.10B$3.87B$3.29B$2.89B$2.36B$1.51B$1.19B$1.09B$1.64B
Shares Outstanding ····40,189,43639,845,21139,213,13638,934,16138,648,46138,504,31135,806,955,00035,801,732,000
キャッシュフロー 20
指標 トレンド 202520242023202220212020201920182017201620152014
D&A $256M$222M$203M$177M$145M$126M$95M$79M$53M$45M$39M$36M
Stock-based Comp $56M$46M$27M$22M$14M$10M$8M$6M$4M$3M$4M$2M
Deferred Tax $-16M$-31M$-10M$-26M$-38M$-13M$-7M$6M$18M$10M$3M$-879.0K
Amort. of Intangibles $179M$155M$148M$129M$99M$87M$61M$48M$27M$21M$17M$16M
Restructuring $38M$23M$28M·········
Other Non-cash $-190M$-148M$-199M$-301M$405M$-50M·$38M$86M$30M$88M$50M
Operating Cash Flow $330M$326M$166M$67M$289M$166M$311M$257M$213M$156M$157M$159M
CapEx $79M$65M$85M$68M$58M$40M$44M$36M$39M$25M$23M$30M
Investing Cash Flow $-335M$-783M$-134M$-873M$-49M$-113M$-218M$-628M$-141M$-134M$-85M$-156M
Debt Issued ·······$986M$315M$218M$645M$308M
Net Debt Issued $-1.13B$-1.72B$-833M$-700M$-820M$-779M·$186M$-22M$17M$-62M$115M
Stock Issued $0$287M$0·········
Stock Repurchased ···········$29M
Net Stock Activity $0$287M·········$-29M
Dividends Paid $15M$15M$14M$13M$4M$4M$4M$4M$4M$3M$7M$14M
Financing Cash Flow $74M$452M$-8M$613M$19M$1M$-101M$395M$-84M$-15M$-89M$19M
Net Change in Cash $39M$-1M$20M$-226M$248M$63M$-12M$19M$-5M$-3M$-41M$14M
Taxes Paid $111M$70M$118M$138M$117M$46M$73M$42M$43M$36M$36M$35M
Free Cash Flow $251M$261M$81M$-650.0K$231M$126M·$222M$173M$131M$135M$107M
Levered FCF ···········$95M
収益性 7
指標 トレンド 202520242023202220212020201920182017201620152014
Operating Margin 6.7%8.1%6.9%7.5%-3.2%5.9%·7.1%7.3%7.7%4.7%5.0%
Net Margin 4.0%4.9%3.3%4.4%-5.8%3.4%·4.5%2.2%3.6%1.4%1.6%
Pretax Margin 5.5%6.5%4.9%6.5%-3.7%4.9%·6.4%6.8%7.3%4.2%4.5%
EBITDA Margin 11.3%12.7%11.6%11.4%0.33%10.4%·9.9%9.7%10.1%6.9%7.3%
ROA 3.5%4.1%2.7%4.3%-6.6%3.1%·6.7%3.8%5.9%2.2%3.5%
ROE 15.7%21.8%21.6%36.3%-40.8%17.2%·37.5%20.1%39.1%12.7%18.6%
ROIC 17.8%22.4%24.1%45.6%-35.3%19.6%·36.8%34.6%46.7%11.0%13.8%
流動性と支払能力 5
指標 トレンド 202520242023202220212020201920182017201620152014
Current Ratio 1.11.11.00.91.00.9·1.00.91.01.01.1
Quick Ratio 0.60.60.60.60.60.5·0.70.70.80.90.9
Debt / Equity ··········1.82.2
LT Debt / Equity ··········1.82.0
Interest Coverage ···········8.9
効率性 2
指標 トレンド 202520242023202220212020201920182017201620152014
Asset Turnover 0.90.80.81.01.10.9·1.51.71.71.62.2
Receivables Turnover 7.17.07.18.39.47.3·6.76.66.25.87.0
1株あたり 6
指標 トレンド 202520242023202220212020201920182017201620152014
Book Value / Share ····$14.47$14.62·$9.95$7.39$0.01$3.96$6.29
Revenue / Share $108.81·$93.69$101.54$95.27$69.36·$71.00$57.89$0.05$45.81$74.75
Cash Flow / Share $6.46·$3.58$1.53$6.73$4.14·$6.47$5.41$0.00$4.18$4.38
Cash / Share ····$9.87$3.93·$3.26$2.81$0.00$3.24$4.38
Dividend / Share $0.30$0.30$0.30$0.30$0.20$0.10·$0.10$0.10$0.10$0.14$0.40
EPS (TTM) $2.02$3.22$1.41$1.05$-9.09$1.22·$2.45$1.31$1.75$0.62$1.19
バリュエーション(TTM) 16
指標 トレンド 202520242023202220212020201920182017201620152014
Revenue TTM $5.56B$4.82B$4.34B$4.46B$4.09B$2.79B·$2.83B$2.44B$1.90B$1.72B$1.58B
Net Income TTM $225M$237M$145M$195M$-238M$94M·$129M$94M$68M$23M$43M
Market Cap ····$5.97B$3.55B·$2.14B$2.33B$1.42T$1.60B$1.07B
Enterprise Value ··········$1.74B$1.40B
P/E 72.842.289.787.7-16.473.1·22.546.121.071.925.0
P/S ····1.51.3·0.81.0746.00.90.7
P/B ····10.36.1·5.58.26878.111.34.7
P / Cash Flow ····20.721.3·8.311.09055.510.16.7
P / FCF ····25.928.2·9.713.510784.011.810.0
EV / EBITDA ··········14.67.1
EV / FCF ··········12.913.2
EV / Revenue ··········1.00.9
Dividend Yield ····0.07%0.11%·0.18%0.17%0.00%0.45%1.4%
Earnings Yield 1.4%2.4%1.1%1.1%-6.1%1.4%·4.5%2.2%4.8%1.4%4.0%
Payout Ratio 6.8%6.2%9.3%6.7%-1.8%4.2%·3.0%7.9%5.1%30.7%33.1%
Annual Payout $15M$15M$14M$13M$4M$4M·$4M$4M$3M$7M$14M

最新期間は左側 · null値は・として表示

財務諸表 損益計算書、貸借対照表、キャッシュフロー — 年次、過去5年間

16
指標 2025-12-312024-12-312023-12-312022-12-312021-12-31
収益 $5.56B $4.82B $4.34B $4.46B $4.09B
営業利益率 % 6.7% 8.1% 6.9% 7.5% -3.2%
純利益 $225M $237M $145M $195M $-238M
希薄化後EPS $2.02 $3.22 $1.41 $1.05 $-9.09

機関投資家(13F) 204 提出者 · $3.8B合計 · 時点 2026年6月30日

17

四半期SECフォーム13Fでこの株式の保有を報告している機関。ロングポジションのみ。単一の提出者は、別々のオプションレッグで2回表示される場合があります。 大きな反対売買のプット/コール・レッグは、通常、マーケットメイクまたはヘッジされた在庫を反映しており、方向性への確信を示すものではありません。

保有者 204
保有価値 $3.8B
新規ポジション 25
解消済みポジション 39
機関投資家の動向 — Q2 2026 対 前四半期
新規ポジション 解消済みポジション 増加 減少 純株式数増減
25 (-21 前期比) 39 (+5 前期比) 68 (-14 前期比) 61 (+9 前期比) -1.0M

Q1 2026と比較しました。 SECフォーム13Fの提出期限は四半期末から45日後ですが、遅延提出者向けの短いバッファーが含まれます。この期間内の四半期は、直近で完全に報告されたペアを優先するためスキップされます。

機関投資家 評価額 株式数 % 追跡された13Fのうち タイプ
ROYAL BANK OF CANADA $356,926,000 3,805,593 9.49% 株式数
1832 Asset Management L.P. $334,165,892 3,562,916 8.88% 株式数
JARISLOWSKY, FRASER Ltd $330,977,857 2,115,789 8.80% 株式数
VANGUARD GROUP INC $293,378,717 1,996,018 7.80% 株式数
SPRUCE HOUSE INVESTMENT MANAGEMENT LLC $257,351,861 2,745,325 6.84% 株式数
FIL Ltd $194,602,025 2,073,742 5.17% 株式数
TURTLE CREEK ASSET MANAGEMENT INC. $172,475,683 1,838,956 4.59% 株式数
BANK OF MONTREAL /CAN/ $125,849,545 1,342,438 3.35% 株式数
NEUBERGER BERMAN GROUP LLC $122,246,769 1,303,409 3.25% 株式数
VANGUARD CAPITAL MANAGEMENT LLC $120,291,963 1,281,870 3.20% 株式数
CIBC Asset Management Inc $99,956,523 1,065,340 2.66% 株式数
FMR LLC $85,299,619 909,018 2.27% 株式数
JANUS HENDERSON GROUP PLC $78,093,108 725,961 2.08% 株式数
Burgundy Asset Management Ltd. $70,093,878 424,796 1.86% 株式数
JPMORGAN CHASE & CO $67,620,313 728,823 1.80% 株式数
NORGES BANK $54,155,493 577,640 1.44% 株式数
BloombergSen Inc. $51,759,418 551,865 1.38% 株式数
LOOMIS SAYLES & CO L P $39,886,673 425,276 1.06% 株式数
ROYCE & ASSOCIATES LP $39,773,432 424,069 1.06% 株式数
CDAM (UK) Ltd $37,180,420 396,422 0.99% 株式数
DIMENSIONAL FUND ADVISORS LP $37,152,487 396,149 0.99% 株式数
VANGUARD FIDUCIARY TRUST CO $36,678,130 390,854 0.98% 株式数
MORGAN STANLEY $34,368,764 366,443 0.91% 株式数
AMERICAN CENTURY COMPANIES INC $33,625,892 358,520 0.89% 株式数
HARRIS ASSOCIATES L P $33,205,190 354,200 0.88% 株式数
Qube Research & Technologies Ltd $33,058,014 352,469 0.88% 株式数
RENAISSANCE TECHNOLOGIES LLC $32,657,678 348,200 0.87% 株式数
Clearbridge Investments, LLC $31,232,820 333,008 0.83% 株式数
Vanguard Global Advisers, LLC $29,557,851 314,978 0.79% 株式数
Alberta Investment Management Corp $24,158,604 257,700 0.64% 株式数
Fenimore Asset Management Inc $23,027,321 245,520 0.61% 株式数
Addenda Capital Inc. $22,286,631 167,188 0.59% 株式数
CIBC WORLD MARKET INC. $21,476,666 229,064 0.57% 株式数
Vulcan Value Partners, LLC $19,874,992 211,910 0.53% 株式数
THORNBURG INVESTMENT MANAGEMENT INC $19,040,542 203,021 0.51% 株式数
Long Focus Capital Management, LLC $16,413,250 175,000 0.44% 株式数
MANUFACTURERS LIFE INSURANCE COMPANY, THE $15,297,866 163,342 0.41% 株式数
TD Asset Management Inc $14,817,713 157,958 0.39% 株式数
INTACT INVESTMENT MANAGEMENT INC. $14,666,314 156,300 0.39% 株式数
TD Waterhouse Canada Inc. $13,821,757 136,823 0.37% 株式数
KIRR MARBACH & CO LLC /IN/ $13,057,447 138,998 0.35% 株式数
GOLDMAN SACHS GROUP INC $12,602,187 134,366 0.34% 株式数
MONTRUSCO BOLTON INVESTMENTS INC. $12,391,277 132,092 0.33% 株式数
UBS Group AG $11,705,649 124,807 0.31% 株式数
CIDEL ASSET MANAGEMENT INC $11,598,680 123,643 0.31% 株式数
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $11,300,666 120,466 0.30% 株式数
Connor, Clark & Lunn Investment Management Ltd. $10,047,773 107,164 0.27% 株式数
Capital International Investors $9,412,722 100,305 0.25% 株式数
GEODE CAPITAL MANAGEMENT, LLC $9,177,053 97,092 0.24% 株式数
BANK OF AMERICA CORP /DE/ $8,177,082 87,185 0.22% 株式数

204件の機関投資家をすべて表示 →

アクティビストおよび5%超のオーナー 3保有

18

SECスケジュール13Dを提出した投資家 — 発行体の影響を与える意図(アクティビストの保有、取締役会キャンペーン、M&A)を持つ5%超の受益権所有。各行は、その提出者のポジションの最新の既知の状態を示します。

提出者 提出済み 保有 ステータス 目的 提出書類
BENJAMIN STEIN, SPRUCE HOUSE CAPITAL LLC, SPRUCE HOUSE INVESTMENT MANAGEMENT LLC, THE SPRUCE HOUSE PARTNERSHIP LLC, ZACHARY STERNBERG 2026年9月28日 6.60% 修正 · SEC
SPRUCE HOUSE INVESTMENT MANAGEMENT LLC, SPRUCE HOUSE CAPITAL LLC, THE SPRUCE HOUSE PARTNERSHIP LLC, ZACHARY STERNBERG, BENJAMIN STEIN ×7 提出書類 2026年4月6日 5.13% 初回提出 受動的投資 SEC
JAY S. HENNICK, HENSET CAPITAL INC., FSV SHARES LP, 2688845 ONTARIO INC., FSV SHARES III LP, 2777613 ONTARIO INC., THE JAY & BARBARA HENNICK FAMILY FOUNDATION ×4 提出書類 2024年3月1日 · 初回提出 · SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

ETF保有状況 17のETFが保有

20

ウェイトは直接株式保有(N-PORT)のみを反映しています。レバレッジ型またはデリバティブベースのファンドは、表示されていない追加のスワップエクスポージャーを保有している可能性があります。

ファンド ウェイト 単位 時点 ソース
FFSM · FIDELITY COVINGTON TRUST 0.50% 75,551 NS 2026年7月31日 N-PORT
DFIS · Dimensional ETF Trust 0.25% 144,037 NS 2026年7月31日 N-PORT
VSS · VANGUARD INTERNATIONAL EQUITY INDEX… 0.11% 166,185 SH 2026年8月19日 日次
PDN · Invesco Exchange-Traded Fund Trust … 0.07% 2,645 SH 2026年10月1日 日次
ISCF · iShares Trust 0.04% 3,064 SH 2026年9月11日 日次
WSML · iShares Trust 0.04% 2,569 SH 2026年9月11日 日次
DFSI · Dimensional ETF Trust 0.03% 3,747 NS 2026年7月31日 N-PORT
DFIC · Dimensional ETF Trust 0.02% 33,704 NS 2026年7月31日 N-PORT
DFAX · Dimensional ETF Trust 0.02% 22,514 NS 2026年7月31日 N-PORT
DFAI · Dimensional ETF Trust 0.01% 24,508 NS 2026年7月31日 N-PORT
IDEV · iShares Trust 0.01% 43,191 SH 2026年9月11日 日次
TLTD · FlexShares Trust 0.01% 726 NS 2026年7月31日 N-PORT
VXUS · VANGUARD STAR FUNDS 0.01% 640,217 SH 2026年8月19日 日次
VEA · VANGUARD TAX-MANAGED FUNDS 0.01% 430,629 SH 2026年8月19日 日次
VSGX · VANGUARD WORLD FUND 0.01% 8,966 SH 2026年8月19日 日次
IXUS · iShares Trust 0.01% 56,928 SH 2026年9月11日 日次
VT · VANGUARD INTERNATIONAL EQUITY INDEX… 0.00% 35,873 SH 2026年8月19日 日次

CIGI アナリストコンセンサス 強気・弱気のアナリストの見解、12ヶ月の目標株価、アップサイド

21
レーティング · 14 アナリスト 買い
中央値ターゲット $145.00 +61.5%
3 21.4% 強い買い
8 57.1% 買い
3 21.4% 保有
0 0.0% 売り
0 0.0% 強い売り

12ヶ月目標株価

9 アナリスト · 2026-09-28

平均値ターゲット $139.22 +55.1%

← 全目標を下回る 現在価格 $89.78
安値$110.00 平均値$139.22 高値$160.00

同業他社比較(GICSサブインダストリー) 主要メトリクスとセクターピアの比較

22

FY基準、価格は各社の直近年度末終値。

ティッカー 時価総額 P/E 売上高 YoY 純利益率 ROE 粗利益率
CIGI · 72.8 · 4.0% 15.7% ·
REAX $768M -91.2 · -0.41% -19.3% 8.4%

最新ニュース この会社に言及した最近の見出し

23

トレードシグナル エントリー価格とリスク/リワード比率を伴う最近の売買シグナル

25

現在オープンシグナルはありません — カードは塗りつぶされておらず、それが正直なところです。

マイ指標 あなた専用のウォッチリスト — 決算詳細から選択した行

26

重視する指標を選択してください — 上記の「財務諸表」の任意の行の横にある「+」をクリックしてください。

選択内容は保存され、すべてのティッカーで引き継がれます。

出典:SEC 40-F 提出日 2月 20, 2026