CoStar Group, Inc.

NASDAQ:CSGP

74.01 (USD) • At close January 22, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023-10-252023-07-262023-04-262023-02-222022-10-262022-07-272022-04-282022-02-232021-10-272021-07-282021-04-282021-02-242020-10-282020-07-292020-04-292020-02-262019-10-232019-07-242019-04-242019-02-282018-10-242018-07-252018-04-252018-02-232017-10-262017-07-272017-04-272017-02-242016-10-272016-07-282016-04-282016-02-262015-10-292015-07-302015-04-302015-02-262014-10-302014-07-252014-04-242014-02-202013-10-242013-07-242013-04-252013-03-012012-10-252012-07-262012-04-272012-02-232011-10-272011-07-282011-04-292011-02-252010-10-222010-07-232010-04-232010-02-262009-11-042009-07-312009-05-082009-02-242008-11-062008-07-252008-05-092008-02-292007-11-072007-08-082007-05-102007-02-282006-11-082006-08-082006-05-102006-03-072005-11-082005-08-052005-05-092005-03-112004-11-052004-08-062004-05-072004-03-122003-11-132003-08-142003-05-142003-03-282002-11-132002-08-132002-05-132002-03-282001-11-092001-08-132001-05-142001-03-302000-11-142000-08-142000-05-152000-03-291999-11-151999-08-111999-05-141999-03-311998-11-121998-08-121998-03-31
Operating Activities:
Net Income 90.574100.5287.131124.37272.2983.47389.31892.964.30461.14874.21235.78958.18660.3672.79387.92778.61963.24885.16983.50958.75943.83552.23144.20434.17722.18422.1329.57323.20115.57616.72122.99-5.362-14.966-6.12713.92312.9578.2499.7412.79911.0528.293-2.414.7146.779-6.715.1325.1762.3112.6374.5323.7673.3823.2512.8893.6464.3254.6166.1067.5016.6455.4355.0429.7123.251.1751.8143.5484.6982.3041.863.2031.1371.1430.97419.4012.3671.7361.4811.0290.281-0.367-0.843-0.77-1.125-1.267-1.622-2.604-4.013-5.895-7.649-9.848-11.57-13.133-15.104-4.3-3.2-2.6-2.2-1.5-1.1-0.2-0.4
Depreciation & Amortization 27.12526.06325.62727.90245.85631.93732.1937.16833.87433.10635.4133.03331.67627.97924.25623.9318.82218.75419.65919.74320.43320.58416.98315.36615.11915.8617.29817.12418.0817.4417.52119.52522.5218.67417.81319.63920.21220.679.8519.82110.02210.04910.16610.55310.6958.1843.323.2093.0033.2083.4323.3883.3073.3063.6483.9343.6083.4583.6763.9324.2534.3344.2824.444.1163.9813.613.1832.9532.8612.8132.8242.7592.9563.1753.3333.1373.2263.3143.273.3443.2853.2672.8742.8682.8473.1984.8564.964.8614.5735.1025.8784.7923.0371.41.31.11.10.30.30.30.2
Deferred Income Tax -5.96-4.082-2.907-9.527-6.73-4.735-10.2117.916.3264.4655.464-18.3423.2430.7442.825-5.0686.9292.6573.702-3.9783.3532.441.851-8.992.6531.3432.09110.0812.081.7681.7067.912.082-19.673.886-0.13-3.669-2.6575.09-6.292-0.3291.538-7.6571.8153.2985.8552.675-12.5790.461-5.4510.4653.9260.02-2.089-0.182-0.643-1.411-0.4080.034-1.542.011-2.4494.1264.84100-0.0454.24501.704-0.998-17.052000.6440-0.1-0.13-0.0120000-0.9870000-0.4520-10.211000000000000
Stock Based Compensation 21.89921.82620.04521.1118.13818.11217.84716.72116.29915.14415.54512.66716.738.87315.1813.27113.13913.81612.02910.6218.95311.22810.4129.8279.74310.1039.3579.3689.3119.3398.3319.3689.3128.4157.4427.3616.6476.387.8799.2797.7887.15617.3263.6153.7392.7412.1871.9931.8452.2012.0642.5791.7811.9392.0071.2932.0411.5391.5875.44001.2434.155001.5290.3790-1.7040.99817.05200-0.64400.10.130.01200000.98700000017.847000000000000
Change In Working Capital -135.634-10.037-40.895-19.686-82.015-76.391-27.436-31.268-48.065-8.569-66.8439.904-31.416-10.76-11.614-53.121-17.151-29.80313.124-9.507-3.981-45.667-22.1485.2283.939-19.94811.109-15.7346.943-9.4741.048-0.72411.8565.5945.4634.43814.49118.742-18.43512.76.8474.78-0.488.2970.12112.573-6.82610.002-3.795.325-2.764-1.857-2.2887.207-1.955-0.6273.48-1.473-3.5843.608-0.612-1.768-7.5572.885-0.801-2.4222.189-2.231-3.4750.887-0.276-0.1663.647-1.732-2.6040.2710.7021.231.176-0.2680.2420.12-1.888-0.697-0.422-0.511-2.027-1.633-1.965-1.254-0.272-3.230.3812.335-1.746-1.8-4.494.6-0.2-2.421.4-0.20.1
Accounts Receivables -23.994-8.444-32.157-10.226-2.859-19.594-13.724-11.915-9.189-0.917-7.609-1.9873.233-10.751-26.6133.7832.101-5.063-5.835-8.781-13.949-2.578-2.511-1.715-10.632-2.417-2.76-2.236-2.94-1.573-9.2959.281.371-6.01-8.64-0.778-1.2172.141-12.4991.6981.18-1.105-8.384.907-2.283-1.242-0.0872.291-5.782.565-3.6490.353-3.2661.77-0.6330.6660.0931.115-3.4842.464000.9461.813000.5170.979000.2950.401000.1462.078000.1262.2280002.453000.567000-13.724000000000000
Inventory -35.248-32.075000003.43-25.214-22.8534.2188.972-21.235-1.894-2.29-40.157-2.5051.5450.2069.00614.703-8.133-9.5223.8454.326-7.528-0.3593.0571.218-3.1580.54211.4840.986-0.157-0.56624.0020.9-1.697-1.50932.762-1.5231.315-0.325-0.273-3.2316.6070.9818.510.354-2.8863.492-2.834-1.5813.498-2.505-0.66700-0.096-16.4280000.521000-7.511000-128.132000-107.279000-90.367000-37.67700000046.305000000000000
Accounts Payables -33.35568.153-13.73121.103-11.96746.679-32.581-2.1394.56230.577-63.05153.5059.54822.22915.56422.09-8.476-14.49918.636-0.6893.176-20.9074.288-0.36311.283-10.98311.588-14.3847.908-3.4568.412-20.1474.27312.58113.231-18.63413.63417.069-5.991-21.2956.5457.2813.5873.8951.6483.863-7.579-0.1331.5015.616-2.9542.0651.9074.124-1.4060.15800-0.4316.7210000.6880001.6830003.064000-2.403000-0.336000-2.466000000-32.581000000000000
Other Working Capital -43.037-37.6714.993-30.563-67.189-103.47618.869-20.644-18.224-15.376-0.398-20.586-22.962-20.3441.725-38.837-8.271-11.7860.117-9.043-7.911-14.049-14.4033.461-1.0380.982.64-2.1710.757-1.2871.389-1.3415.226-0.821.438-0.1521.1741.2291.564-0.4650.645-2.7114.638-0.2323.9873.345-0.141-0.6660.1350.030.347-1.4410.652-2.1852.589-0.7843.387-2.5880.42710.851-0.612-1.768-8.503-0.137-0.801-2.4221.6722.618-3.4750.887-0.571124.5013.647-1.732-2.75107.8750.7021.231.0588.2070.2420.12-1.88836.993-0.422-0.511-2.594-1.633-1.965-1.254-0.272-3.230.3812.335-1.746-1.8-4.494.6-0.2-2.421.4-0.20.1
Other Non Cash Items 44.60140.87434.21540.8633.95128.99628.99927.08226.19127.14224.06227.71728.27329.98628.02440.82416.09216.40114.81114.38613.8513.91213.6565.7612.3131.2642.5721.81.753-0.2112.5992.462.352-1.261.6922.6422.064-1.495-20.68-2.837-4.119-0.957-6.2370.5741.3481.554-0.107-1.8230.593-0.322-0.0430.3710.1940.4450.2330.1520.8941.8241.502-8.4142.2482.2020.946-2.1924.6092.9072.046-0.7964.4462.9512.4012.891.2760.6470.79-16.7760.211-0.20.1140.3720.5540.5910.5610.5640.5090.5880.5670.1170.8510.501-7.1650.8690.081-0.1745.48405.4-93.702.8-20.50.50.1
Operating Cash Flow 42.605175.164123.216185.03181.4981.392130.707150.51398.929132.43687.853130.768106.692117.182131.464107.763116.4585.073148.494114.774101.36746.33272.98571.39667.94430.80664.55752.21261.36834.43847.92661.52942.76-3.21330.16947.87352.70249.889-6.55535.4731.26130.85910.70829.56825.9824.1976.3815.9784.4237.5987.68612.1746.39614.0596.647.75512.9379.5569.32110.52714.5457.7548.08223.84111.1745.64111.1438.3288.6229.0036.7988.7518.8193.0142.3356.2296.4175.9926.0854.4034.4213.6291.0971.9711.831.6570.1160.735-0.619-1.787-2.877-7.107-5.23-6.18-8.329-4.7-0.9-0.6-1.3-0.80.10.40
Investing Activities:
Investments In Property Plant And Equipment -5.34-4.884-3.917-14.915-12.913-18.33-12.416-43.687-8.44-2.474-10.619-6.21-29.355-5.649-7.133-2.035-29.775-4.958-9.429-7.831-5.95-7.234-8.617-4.745-7.08-6.528-6.146-7.074-4.298-3.6-3.794-7.108-10.023-6.186-11.744-6.579-9.428-7.288-4.149-3.711-6.419-4.269-4.643-5.832-2.885-3.105-3.012-2.841-2.285-4.115-5.772-4.246-6.546-2.62-43.946-4.709-2.753-2.045-1.037-0.424-0.81-1.233-1.189-5.852-3.492-2.346-2.581-4-5.01-2.724-1.225-0.996-1.739-3.216-2.442-3.223-0.94-4.053-0.816-1.14-1.45-0.609-0.681-1.134-1.303-1.044-0.535-0.483-0.437-0.33-0.848-1.046-2.057-6.405-1.986-0.6-1.5-1.2-10.9-0.7-0.4-0.1-0.1
Acquisitions Net 0000.0580-6.3310-40.377-4.319-147.833-0.442-234.073-7.5-184.07-0.432-423.8350-13.7210-78.29500-340.074-0.001-2.699-31.395-13.673-171.8980.352-10.305-0.49-4.865-4.809000000-640.929000-15.0850000000-3.207000-2.815-0.39200-16.737-19.46101.18914.856.29413.341-16.737-4.30113.79218.6151.2250.1110-0.25-4.162-17.118-0.3010017.11400-17.419-0.0500-0.7680000-0.66400-2.40700000000
Purchases Of Investments 000000000000007.133000000000000206.959003.794-148.99814.282000000655.763000-694.384000000012.627000-4.839-4.17100-2.9222.216-2.643-1.49-29.896-22.197-38.201-26.382-26.835-20.936-35.808-25.461-54.367-65.383-70.235-60.287-72.258-10.0393.28-11.571-49.212000-5.198-2.88200.7680000000000000000
Sales Maturities Of Investments 0000.864000000000010.2590000000000001.25004.73.7750.550.70.654.5250.60.550-0.0110.009-0.0050.0830.7454.1529.2231.2454.0960.5820.20.0333.6325.0816.4651.6763.1087.3164.1062.62910.10818.0554.61431.17221.4619.39527.20639.22529.0512.15419.91734.27245.01550.8574.26654.1031.592000-16.89016.6970.193-0.768000.7680000000000000000
Other Investing Activites -16.19-29.908-15.71321.424-5.866-20.6450.0150.2260.044-0.163-123.259000-7.133000000000000-35.06100-3.794145.223-14.282-172.667000-584.2180-14.834000709.4690-640.9290-15.0850083.553-9.420004.8394.1710016.73719.461-3.024-1.189-14.85-6.294-13.34102.414-13.792-18.615-1.225000088.021-0.477-2.039-0.004-0.234-11.541-16.38716.0383.099-0.28-2.121-0.022-8.130.011-0.102-0.0290.294-0.451-0.177-2.799-0.9-0.7-0.3-0.4-0.70-0.2-0.1
Investing Cash Flow -21.53-34.792-19.637.431-18.779-45.306-12.401-83.838-12.715-150.47-134.32-240.283-36.855-189.7192.694-425.87-29.775-18.679-9.429-86.126-5.95-7.234-348.691-4.746-9.779-37.923-19.819-5.824-3.946-13.9050.416-11.973-14.282-178.153-11.094-2.054-8.828-590.956-4.149-3.722-6.41-4.274-4.56-5.0871.267-634.811-1.767-13.83-1.703-3.91577.814-0.614-1.4653.845-42.27-4.4164.1712.0611.5926.76219.461-2.28628.493-14.288-6.294-13.341-6.475-3.672-13.792-18.6157.586-10.237-16.2720.565-12.788-2.986-11.757-2.812-12.391-50.362-12.991-0.299-1.869-4.051-4.465-3.1650.211-8.613-0.426-0.432-0.877-1.416-2.508-6.582-7.192-1.5-2.2-1.5-11.3-1.4-0.4-0.3-0.2
Financing Activities:
Debt Repayment 000-2.1550-2.15500000000000000000-31000-35-200-15-5-5-5-5-5-5-5-303.75-4.375-4.375-4.375-4.375-4.375-2.188-2.1880000000000000000000000000000000000000000000000000000000000
Common Stock Issued 005.731-0.4700018.04600030.457-0.1770025.0800027.0710009.8880007.4040005.7400018.1330009.8680006.6220004.0440002.4410006.853000-0.0693.4562.3590.4125.2151.7340.850.3620.6080.6331.7122.6291.5684.6650.9750.2040.2381.4832.721.85658.081.3322.2220.1250.130.2880.1970.0810.3320.4930.540.3520.8150.1950.1540.9380.9000022.700
Common Stock Repurchased 0-0.814-21.63119.755-0.504-0.296-19.459-4.008-0.901-0.738-27.667-4.816-0.398-3.509-30.144-2.537-0.815-5.546-18.679-0.661-1.272-7.002-15.392-0.593-0.853-7.675-5.781-1.851-0.606-9.132-4.835-0.62-0.443-10.17-5.203-0.557-0.243-7.2-42.555-0.906-0.359-4.06-3.144-0.387-1.577-0.629-1.611-0.335-0.195-0.301-1.476-1.691-0.201-0.161-0.851-0.171-0.146-0.14-0.21500000000000000000000000000000000000000000000
Dividends Paid 00000000000000000000000-824.853000-13.666000-3.686000-17.55000-7.581000-2.23300000000000000000000000000000000000000000000000000000000000
Other Financing Activities 010.4440-17.686749.6073.6353.705-15.3792.7013.1439.124-29.246250.1191,694.72755.295-24.5046.2754.51112.061-25.76811.5543.59810.6161,646.880.7326.4491.23427.3021.3526.5571.610.5581.0646.1066.150.2392.9581,073.3325.0864.1812.5924.54712.7680.2552.578165.5020.797-1.2960.628251.961.751-1.2482.2190.411.124-5.0160.7210.2050.0815.3170000000000000000000000000000000-0.962-0.9440.015-2.640094.430.1-1.70.10
Financing Cash Flow 3.2969.63-15.9-0.556749.1031.184-15.754-1.3411.82.405-18.543-3.605249.5441,691.21725.151-1.9615.46-1.035-6.6180.64210.282-3.404-4.776521.324-0.121-1.226-39.547-0.8110.746-17.575-8.225-3.008-4.379-9.064-4.053-4.735-2.285762.377-21.8441.1867.858-3.8885.2492.069-1.187164.873-0.8142.4130.433251.6590.275-0.4982.0180.2490.2731.6660.5750.065-0.1345.2483.4562.3590.4125.2151.7340.850.3620.6080.6331.7122.6291.5684.6650.9750.2040.2381.4832.721.85658.081.3322.2220.1250.130.2880.1970.0810.3320.4930.540.352-0.147-0.7490.169-1.7020.9094.430.1210.10
Other Information:
Effect Of Forex Changes On Cash 0.214-0.353-0.011.599-1.465-2.251-0.5810.205-1.3360.242-0.6061.2270.0191.812-2.1171.18-0.328-0.364-0.046-0.66-0.191-0.8450.4480.4940.3130.5090.058-0.453-0.22-0.527-0.215-0.239-0.3710.44-0.263-0.267-0.2510.1040.0380.0810.1280.01-0.030.0150.064-0.0170.016-0.021-0.030.0230.072-0.0150.119-0.069-0.2230.043-0.3061.055-0.137-1.705-0.812-0.033-0.066-0.2450.2140.166-0.0710.1260.0560.0570.015-0.024-0.222-0.052-0.0430.075-0.1870.1550.0470.2280.0250.0450.0110000-3.17600-0.58100000.10000000
Net Change In Cash 24.585149.64987.676193.505810.34935.019101.97165.53986.678-15.387-65.616-111.893319.41,620.48857.192-318.88891.80764.995132.40128.63105.50834.849-280.034588.46858.357-7.8345.24945.12457.9482.43139.90246.30923.728-189.9914.75940.81741.338221.414-32.5133.01532.83722.70711.36726.56526.124-445.7583.816-5.463.123255.36585.84711.0477.06818.084-35.585.04817.37712.73710.64220.83236.657.79436.92114.5236.828-6.6844.9595.39-4.481-7.84317.0280.058-3.014.502-10.2923.556-4.0446.055-4.40312.349-7.2135.597-0.636-1.95-2.347-1.3110.408-10.722-0.552-1.679-3.402-8.67-8.487-12.593-17.223-5.2-3.192.3-9.6-2.120.70.2-0.2
Cash At End Of Period 5,229.885,205.295,055.654,967.974,774.463,964.123,929.13,827.133,761.593,674.913,690.33,755.913,867.83,548.411,927.921,070.731,389.621,297.811,232.821,100.421,071.79966.278931.4291,211.46622.995564.638572.472567.223522.099464.151461.72421.818375.509351.781541.771527.012486.195444.857223.443255.953222.938190.101167.394156.027129.462103.338549.096545.28550.74547.617292.252206.405195.358188.29170.206205.786200.738183.361170.624159.982139.15102.594.70657.78543.26236.43443.11838.15932.76937.2545.09328.06528.00731.01726.51536.80733.25137.29531.2435.64323.29430.50724.9125.54627.49629.84331.15430.74641.46842.0243.69947.10155.77164.25876.85194.199.392.310.1-2.120.70.20.9