CIGI

Colliers International Group Inc. Real Estate - Real Estate Services Investor Relations →

YES
17.0% BELOW
↓ Approaching Was -10.6% last week
-15% -10% -5% 0% 5% 10% 15%+
Buy Threshold $120.76
14-Week RSI 20 📉
Rel. Volume (14w) This week's trading vs. the 14-week average 1.2x
Buyers vs. Sellers (14w) Are up-weeks or down-weeks getting more volume? 0.62 — Sellers winning

Colliers International Group Inc. (CIGI) closed at $100.28 as of 2026-03-20, trading 17.0% below its 200-week moving average of $120.76. This places CIGI in the extreme value zone. The stock is currently moving closer to the line, down from -10.6% last week. With a 14-week RSI of 20, CIGI is in oversold territory.

Over the past 14 weeks, down-weeks have had more trading volume than up-weeks (0.62 buyers-vs-sellers ratio). That means when people are active, they're more often selling than buying. Sellers are still more in control than buyers.

Over the past 1578 weeks of data, CIGI has crossed below its 200-week moving average 18 times. On average, these episodes lasted 13 weeks. Historically, investors who bought CIGI at the start of these episodes saw an average one-year return of +27.7%.

With a market cap of $5.1 billion, CIGI is a mid-cap stock. The company generates a free cash flow yield of 6.4%, which is healthy. Return on equity stands at 8.5%. The stock trades at 3.3x book value.

Share count has increased 19.0% over three years, indicating dilution.

Over the past 30.3 years, a hypothetical investment of $100 in CIGI would have grown to $11239, compared to $1792 for the S&P 500. That represents an annualized return of 16.8% vs 10.0% for the index — confirming CIGI as a market-beating investment and the kind of quality company where buying during 200-week moving average touches has historically been rewarded.

Free cash flow has been volatile over the past several years, making the quality of earnings harder to assess.

Business Health

Annual financials — how the underlying business has performed over the past several years.

Cash Flow Free cash flow & net income ($M)

Revenue Annual revenue ($M) — business growth proxy

Total Debt Balance sheet debt ($M)

ROIC Return on invested capital (%)

FCF Yield Free cash flow / market cap (%) — Yartseva signal

Gross Margin Pricing power & competitive moat (%)

Shares Outstanding Buybacks vs dilution (millions)

Growth of $100: CIGI vs S&P 500

Monthly data normalized to $100 at start. Vertical dashed lines mark 200-week MA touches.

What Happens After CIGI Crosses Below the Line?

Across 17 historical episodes, buying CIGI when it crossed below its 200-week moving average produced an average return of +31.6% after 12 months (median +20.0%), compared to +21.3% for the S&P 500 over the same periods. 88% of those episodes were profitable after one year. After 24 months, the average return was +96.5% vs +49.5% for the index.

Each line shows $100 invested at the moment CIGI crossed below its 200-week MA. Bold blue = stock average. Gray dashed = S&P 500 average over same periods.

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Historical Touches

CIGI has crossed below its 200-week MA 18 times with an average 1-year return of +27.7% after recovery.

Crossed BelowRecoveredWeeksMax Depth1-Year ReturnReturn Since Touch
Dec 1995Jan 199617.3%+11.5%+11138.6%
Jan 1996May 19961714.3%+31.0%+11235.5%
Jun 1996Oct 19961814.6%+59.1%+11235.5%
Oct 2002Oct 200210.8%+17.0%+2353.2%
Dec 2002Sep 20034332.3%+22.1%+2335.7%
May 2008Oct 20097365.4%-31.1%+901.7%
Oct 2009Mar 20102012.8%+35.3%+845.4%
Mar 2020Aug 20202127.2%+133.2%+132.7%
Sep 2022Oct 202221.5%+4.3%+10.4%
Oct 2022Nov 202235.7%+10.1%+15.8%
Dec 2022Jan 202344.7%+21.7%+12.1%
May 2023Jul 202396.6%+19.2%+11.2%
Sep 2023Nov 2023713.5%+56.1%+5.9%
Apr 2024Apr 202410.6%+7.6%-5.2%
Jun 2024Jun 202431.8%+18.3%-5.7%
Mar 2025Apr 202546.1%N/A-10.4%
May 2025May 202510.8%N/A-14.8%
Feb 2026Ongoing6+17.0%Ongoing-11.6%
Average13+27.7%

Frequently Asked Questions

Is CIGI below its 200-week moving average?

Yes. As of 2026-03-20, Colliers International Group Inc. (CIGI) is trading 17.0% below its 200-week moving average of $120.76. The current price is $100.28.

What is CIGI's 200-week moving average price?

Colliers International Group Inc.'s 200-week moving average is $120.76 as of 2026-03-20. This is the average weekly closing price over roughly the last 4 years, and it acts as a long-term trend line. When a stock drops below this level, it can signal that the price has fallen far enough from the long-term trend to attract value-oriented investors.

What happens when CIGI drops below its 200-week moving average?

CIGI has crossed below its 200-week moving average 18 times in our data. On average, buying at that moment produced a one-year return of +27.7%. These dips have historically been decent entry points. These episodes lasted 13 weeks on average.

Is CIGI a good value right now?

Here's what our data says about CIGI as of 2026-03-20: The stock is below its 200-week moving average, which is the starting point for our analysis. The 14-week RSI is 20 (oversold). Free cash flow yield is 6.4%. Return on equity is 8.5%. Price-to-book is 3.3x. This is not a buy or sell recommendation — always do your own research.

How does CIGI compare to the S&P 500?

Over the past 30.3 years, $100 invested in CIGI would have grown to $11239, compared to $1792 for the S&P 500. That's 16.8% annualized vs 10.0% for the index. CIGI has outperformed the broader market over this period.

Does CIGI pay a dividend?

Yes. Colliers International Group Inc. currently pays a dividend yield of 30.00%.

Not financial advice. This is an educational tool. Past performance does not guarantee future results. Do your own research before making investment decisions.

Data as of week of 2026-03-20