
CIGI Stock Forecast & Price Target
CIGI Analyst Ratings
Bulls say
Colliers International Gr is actively investing in its businesses through acquisitions and has a strong track record of return on invested capital, with a current focus on expanding its impact and ESG efforts. Acquisitions, coupled with their globally recognized brand and decentralized/partnership model, allow for potential long-term compounding in the low-to-mid double-digit range. Furthermore, their strong emphasis on sustainability and commitment to reducing carbon emissions across its portfolio by 70% from 2020 levels showcases their dedication to being a responsible and environmentally conscious company.
Bears say
Colliers International Gr is currently facing several challenges, including potential negative impacts from rising interest rates and exchange rate risks, a dual-class structure which may hinder decision-making and limit investor input, people and succession planning risks, and potential economic uncertainties and risks associated with the sale, acquisition, leasing, and management of commercial real estate properties. Additionally, while the company has a strong track record and leading return metrics, its focus on the commercial real estate segment may make it vulnerable to cyclical downturns and market fluctuations. These factors contribute to my negative outlook on Colliers International Gr's stock.
This aggregate rating is based on analysts' research of Colliers International Group and is not a guaranteed prediction by Public.com or investment advice.
CIGI Analyst Forecast & Price Prediction
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