CSGP Operating cash flow
Operating cash flow at CoStar Group rose to $430M in fiscal 2025, from $393M in 2024.
Net cash provided by operating activities, as filed.
SOURCE: us-gaap:NetCashProvidedByUsedInOperatingActivities · EDGAR CompanyFacts · CIK 1057352 · EDGAR ↗ · FY2021–FY2025 · ANNUAL
FY2025$430M
FY2024 $393M
HIGH$490M FY2023
LOW$393M FY2024
History AS FILED · DERIVATION SHOWN WHERE DERIVED
| Fiscal year | Operating cash flow | Change |
|---|---|---|
| FY2025 | $430M | +$37M |
| FY2024 | $393M | $-97M |
| FY2023 | $490M | +$11M |
| FY2022 | $479M | +$9M |
| FY2021 | $470M | — |
More SAME DATA, OTHER VIEWS
Operating cash flow across coverage → · CSGP company view →
Revenue · Net income · Free cash flow · Capital expenditure · Cash & equivalents · Total assets · Shareholders' equity · Total debt · Return on equity · Days sales outstanding
Not investment advice. Every figure on this page is an XBRL fact from the issuer's own SEC filings or an arithmetic over such facts with the method shown. No forecast is made; no posture is expressed.