Colliers International Group In (CIGI) Q2 2026 earnings — TrendMatrix coverage
Reported
Model-generated analysis — not investment advice. Not a registered investment advisor. Past performance does not guarantee future results. How we score · Full disclosure
Key numbers
- Reported EPS
- $1.83
- Estimate
- $1.81
- Surprise
- +1.1%
- Revenue (period 2026-06-30)
- $1.57B
- Score at report (before → after)
- 5.7 → 5.8/10
Revenue source: yfinance_provisional (provisional — SEC XBRL not yet filed for this period).
How the report landed
Colliers International Group In (CIGI) beat the $1.81 estimate with diluted EPS of $1.83 — a modest 1.1% upside surprise. TrendMatrix's engine moved from Sell (5.7/10) to Hold at 5.8/10 after the report.
Where TrendMatrix's rating stands now
TrendMatrix currently rates CIGI Sell at 5.6/10.
2 of the last 4 quarters beat the estimate; this quarter's +1.1% surprise compares with a -0.3% four-quarter average. Next scheduled report: 2026-11-03.
What supports the rating
- Attractive valuation
- Analyst upside: 22%
What argues against it
- V7 low-quality RISK_OFF penalty: -0.5 (Q=4.6)
- Sector modifier (Real Estate): -1.2
- Leverage penalty (D/E 1.2): -0.5
This section and the ones below it reflect TrendMatrix’s latest engine read — they update after the report date and are not frozen to it.
The levels TrendMatrix's engine tracks
- Current price
- $99.31
- Price target
- $121.12
- Stop
- $93.24
- Upside to target
- +22.0%
- Reward-to-risk
- 3.4:1
The stock trades at 46.2× trailing but 11.8× forward earnings — consensus estimates already build in a substantial earnings recovery.
Risk check: trading volume is running 1.5× its average — elevated turnover around the report window.
Model outputs from TrendMatrix’s engine as of 2026-09-04 — shown for context, not personalized investment advice.
CIGI at TrendMatrix's latest read
REIT quarters hinge on occupancy, rate exposure, and FFO rather than headline EPS, which mechanically distorts under depreciation.
- Industry
- Real Estate Services
- Market cap
- $5.15B
- P/E (fwd)
- 11.8
- P/E (ttm)
- 46.2
- 52-week range
- $88.38–$171.51
- Off 52-week high
- 42.1%
- RSI (14)
- 42
- Volume vs avg
- 1.53×
- Score today
- 5.6/10