C

CSGP

Costar Group Inc

74.57

-1.28-1.69%
After Hours: 74.65  +0.08  +0.11%19:26 05/09 EDT

Financial Statements

Statement:

Key indicator

Income Statement

Balance Sheet

Cash Flow

Reporting Period:

Accumulated Report

FY

YoY:
FY: Financial Year Annual Report
Q: Quarter is quarterly reports. Q1, Q2, Q3 and Q4 are reports for a single quarter. Q6 and Q9 are accumulated quarterly reports, respectively contain 6 months' reports and 9 months' report.
Item
FY 2024
FY 2023
FY 2022
FY 2021
FY 2020
Cash from Operating Activities

392.60M

489.50M

478.62M

469.73M

486.11M

Net Income

138.70M

374.70M

369.45M

292.56M

227.13M

Depreciation/Depletion & Amortization

146.90M

107.50M

137.88M

139.56M

116.94M

Deferred Taxes

-50.10M

-37.20M

-31.20M

24.16M

-11.53M

Non-Cash Items

276.30M

244.40M

208.01M

168.19M

167.45M

Changes in Working Capital

-119.20M

-199.90M

-205.53M

-154.74M

-13.89M

Cash from Investing Activities

-912.90M

-238.60M

-69.06M

-381.34M

-464.16M

Capital Expenditures

-637.90M

-142.80M

-93.74M

-188.98M

-48.35M

Other Investing Cash Flow Items, Total

-275.00M

-95.80M

24.69M

-192.36M

-415.82M

Cash from Financing Activities

-13.70M

-3.70M

733.98M

-15.68M

2.66B

Financing Cash Flow Items

-33.10M

-27.10M

-23.11M

-33.73M

-57.16M

Total Cash Dividends Paid

--

--

--

--

--

Issuance (Retirement) of Stock, Net

24.50M

23.40M

759.24M

18.05M

1.72B

Issuance (Retirement) of Debt, Net

-5.10M

0

-2.15M

0

999.21M

Foreign Exchange Effects

-900.00K

700.00K

-2.70M

-1.50M

941.00K

Net Change in Cash

-534.90M

247.90M

1.14B

71.21M

2.69B

Cash Interest Paid

31.00M

30.70M

29.95M

31.51M

5.95M

Cash Taxes Paid

99.80M

163.20M

169.18M

82.12M

45.78M