Screener
CoStar Group CSGP Cash Flow Statement
| Q2 '26 | Q1 '26 | Q4 '25 | Q3 '25 | Q2 '25 | ||
|---|---|---|---|---|---|---|
| $55M+787% | $3M+120% | $46.5M-22.2% | -$30.9M-158% | $6.2M-67.7% | ||
| $85M+29.8% | $82M+73.4% | $81M+106% | $69.2M+94.9% | $65.5M+68.8% | ||
| $38M-26.6% | $42M+38.2% | $41M+88.9% | $70.8M+225% | $51.8M+128% | ||
| $115M-21.5% | $152M+186% | $162.1M+71.4% | $68.2M-32.0% | $146.5M+152% | ||
| $38M-68.0% | $45M-16.2% | $60.8M-12.4% | $73.7M+22.6% | $118.8M+63.2% | ||
| $0— | $0-100% | —— | $1.6B— | —— | ||
| -$56M+62.9% | -$54M+94.1% | -$66.2M+81.1% | -$1.69B-1,882% | -$150.8M-55.0% | ||
| $82M+81.0% | $505M+2,630% | $385M— | $51.2M— | $45.3M— | ||
| -$108M-111% | -$514M-987% | -$396.9M— | -$63.7M— | -$51.1M— | ||
| -$50M+2.3% | -$417M+53.8% | -$301.8M-17.6% | -$1.69B— | -$51.2M-59.5% | ||
| $77M+178% | $107M+21,500% | $101.3M— | $0— | $27.7M+288% |
FAQ
- How much cash does CoStar Group generate?
- CoStar Group (CSGP) generated $497.3M in operating cash flow over the trailing twelve months.
- What is CoStar Group's free cash flow?
- After $217.5M of capital expenditures, CoStar Group's free cash flow was $285.3M over the trailing twelve months, up 227.0% year over year.
- Where does CoStar Group's cash flow data come from?
- Every line is extracted from CoStar Group's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.
