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NASDAQ:CSGP

CoStar Group

  • Stock

USD

Last Close

67.36

06/11 21:01

Market Cap

29.35B

Beta: 0.88

Volume Today

5.04M

Avg: 2.20M

PE Ratio

82.61

PFCF: 67.37

Preview

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Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
44.87M
-
-3.46M
107.72%
85.07M
2,555.15%
122.69M
44.23%
238.33M
94.25%
314.96M
32.15%
227.13M
27.89%
292.56M
28.81%
369.45M
26.28%
374.70M
1.42%
depreciation and amortization
70.37M
-
78.53M
11.60%
70.17M
10.65%
63.64M
9.30%
77.74M
22.15%
81.17M
4.40%
116.94M
44.08%
139.56M
19.34%
137.88M
1.20%
107.50M
22.04%
deferred income tax
-1.37M
-
-5.79M
324.01%
15.63M
369.94%
-2.90M
118.57%
3.67M
226.28%
8.22M
124.22%
-11.53M
240.27%
24.16M
309.58%
-31.20M
229.12%
-37.20M
19.22%
stock based compensation
28.27M
-
34.54M
22.18%
36.35M
5.25%
39.03M
7.38%
41.21M
5.60%
52.26M
26.79%
53.45M
2.29%
63.71M
19.19%
75.21M
18.05%
85M
13.02%
change in working capital
19.24M
-
22.19M
15.35%
-17.22M
177.59%
328K
101.91%
-81.30M
24,887.50%
-86.95M
6.95%
-13.89M
84.03%
-154.74M
1,014.37%
-205.53M
32.82%
-199.90M
2.74%
accounts receivables
-12.35M
-
-4.00M
67.63%
-16.04M
301.20%
-17.52M
9.22%
-27.82M
58.75%
-5.01M
81.98%
-36.12M
620.34%
-29.63M
17.96%
-46.40M
56.61%
-66.60M
43.53%
inventory
21.70M
-
11.75M
45.86%
1.66M
85.88%
284K
82.88%
6.05M
2,031.69%
-40.91M
775.77%
-16.45M
59.80%
-40.42M
145.75%
-45.70M
-
accounts payables
6.08M
-
9.94M
63.51%
-1.52M
115.29%
11.53M
858.22%
-14.13M
222.62%
17.75M
225.61%
100.85M
468.11%
-30.05M
129.80%
23.23M
177.32%
33.90M
45.91%
other working capital
3.81M
-
4.50M
18.03%
-1.31M
129.14%
6.04M
560.59%
-45.41M
851.38%
-58.78M
29.45%
-62.17M
5.77%
-54.64M
12.10%
-182.36M
233.73%
-121.50M
33.37%
other non cash items
-17.47M
-
5.24M
130.02%
5.94M
13.29%
11.91M
100.47%
55.80M
368.55%
88.13M
57.92%
114M
29.36%
104.48M
8.35%
132.81M
27.12%
159.40M
20.02%
net cash provided by operating activities
143.91M
-
131.25M
8.80%
195.94M
49.30%
234.70M
19.78%
335.46M
42.93%
457.78M
36.46%
486.11M
6.19%
469.73M
3.37%
478.62M
1.89%
489.50M
2.27%
investments in property plant and equipment
-27.44M
-
-35.06M
27.75%
-18.77M
46.48%
-24.50M
30.55%
-29.63M
20.95%
-46.20M
55.90%
-48.35M
4.65%
-65.22M
34.90%
-58.57M
10.19%
-25.30M
56.81%
acquisitions net
-584.22M
-
-182.34M
68.79%
-10.44M
94.27%
-47.77M
357.42%
-418.37M
775.84%
-437.56M
4.59%
-426.07M
2.62%
-192.97M
54.71%
-6.27M
96.75%
-99.60M
1,487.76%
purchases of investments
27.44M
-
35.06M
27.75%
18.77M
46.48%
48.35M
-
sales maturities of investments
5.67M
-
1.90M
66.52%
5.95M
213.16%
10.26M
-
864K
-
3.80M
339.81%
other investing activites
-27.44M
-
-35.06M
27.75%
-18.77M
46.48%
-48.35M
-
-123.15M
154.73%
-5.07M
95.88%
-117.50M
2,216.64%
net cash used for investing activites
-605.99M
-
-215.50M
64.44%
-23.26M
89.21%
-72.27M
210.71%
-448.00M
519.92%
-483.75M
7.98%
-464.16M
4.05%
-381.34M
17.84%
-69.06M
81.89%
-238.60M
245.52%
debt repayment
-318.13M
-
-20M
93.71%
-20M
0%
-345M
1,625%
-745M
-
-2.15M
-
common stock issued
529.36M
-
833.91M
-
25.08M
-
1.69B
6,638.32%
18.05M
98.93%
745.70M
4,032.22%
23.40M
96.86%
common stock repurchased
-50.55M
-
-16.44M
67.49%
-16.42M
0.07%
-14.90M
9.27%
-24.33M
63.25%
-27.58M
13.36%
-38.87M
40.94%
-33.31M
14.29%
-23.11M
30.64%
-26.40M
14.25%
dividends paid
-555.74M
-
-9.89M
-
-1.77B
-
-23.11M
-
other financing activites
1.13B
-
15.93M
98.59%
10.56M
33.72%
16.31M
54.46%
27.07M
65.99%
-1.66M
106.12%
3.53B
213,176.83%
-411K
100.01%
36.65M
9,016.79%
-700K
101.91%
net cash used provided by financing activities
733.51M
-
-20.50M
102.80%
-25.86M
26.15%
480.43M
1,957.45%
2.74M
99.43%
-4.15M
251.38%
2.66B
64,189.96%
-15.68M
100.59%
733.98M
4,781.27%
-3.70M
100.50%
effect of forex changes on cash
-376K
-
-433K
15.16%
-1.42M
226.79%
1.37M
197.10%
-1.25M
190.83%
442K
135.42%
941K
112.90%
-1.50M
258.87%
-2.70M
80.47%
700K
125.95%
net change in cash
271.06M
-
-105.19M
138.81%
145.41M
238.23%
644.24M
343.07%
-111.05M
117.24%
-29.68M
73.27%
2.69B
9,145.58%
71.21M
97.35%
1.14B
1,501.99%
247.90M
78.27%
cash at beginning of period
255.95M
-
527.01M
105.90%
421.82M
19.96%
567.22M
34.47%
1.21B
113.58%
1.10B
9.17%
1.07B
2.70%
3.76B
250.78%
3.83B
1.90%
4.97B
29.81%
cash at end of period
527.01M
-
421.82M
19.96%
567.22M
34.47%
1.21B
113.58%
1.10B
9.17%
1.07B
2.70%
3.76B
250.78%
3.83B
1.90%
4.97B
29.81%
5.22B
4.99%
operating cash flow
143.91M
-
131.25M
8.80%
195.94M
49.30%
234.70M
19.78%
335.46M
42.93%
457.78M
36.46%
486.11M
6.19%
469.73M
3.37%
478.62M
1.89%
489.50M
2.27%
capital expenditure
-27.44M
-
-35.06M
27.75%
-18.77M
46.48%
-24.50M
30.55%
-29.63M
20.95%
-46.20M
55.90%
-48.35M
4.65%
-65.22M
34.90%
-58.57M
10.19%
-25.30M
56.81%
free cash flow
116.47M
-
96.18M
17.41%
177.18M
84.21%
210.20M
18.64%
305.83M
45.49%
411.58M
34.58%
437.76M
6.36%
404.51M
7.60%
420.05M
3.84%
464.20M
10.51%

All numbers in USD (except ratios and percentages)