Latest period
$152.00M
YoY change
+9.5%
5Y CAGR
-2.4%
Peak year (2023)
$489.50M
Latest annual
$430.00M
Operating Cash Flow history chart for CoStar Group (CSGP) from 1997 to 2025
Latest: $430.00M
Operating Cash Flow growth chart for CoStar Group (CSGP) from 1997 to 2025
Latest: +9.5%
Operating Cash Flow history table for CoStar Group (CSGP) from 1997 to 2025
| 2025 | $430.00M | +9.5% | +$37.40M | ||
| 2024 | $392.60M | -19.8% | −$96.90M | ||
| 2023 | $489.50M | +2.3% | +$10.88M | ||
| 2022 | $478.62M | +1.9% | +$8.89M | ||
| 2021 | $469.73M | -3.4% | −$16.38M | ||
| 2020 | $486.11M | +6.2% | +$28.33M | ||
| 2019 | $457.78M | +36.5% | +$122.32M | ||
| 2018 | $335.46M | +42.9% | +$100.75M | ||
| 2017 | $234.70M | +17.0% | +$34.06M | ||
| 2016 | $200.64M | +43.5% | +$60.87M | ||
| 2015 | $139.77M | -2.9% | −$4.14M | ||
| 2014 | $143.91M | +32.9% | +$35.61M | ||
| 2013 | $108.30M | +25.7% | +$22.17M | ||
| 2012 | $86.13M | +235.3% | +$60.44M | ||
| 2011 | $25.68M | -34.6% | −$13.58M | ||
| 2010 | $39.27M | -0.8% | −$300.00K | ||
| 2009 | $39.57M | -3.3% | −$1.34M | ||
| 2008 | $40.91M | -21.0% | −$10.89M | ||
| 2007 | $51.80M | +58.2% | +$19.05M | ||
| 2006 | $32.75M | +42.9% | +$9.83M | ||
| 2005 | $22.92M | -7.3% | −$1.80M | ||
| 2004 | $24.72M | +82.5% | +$11.17M | ||
| 2003 | $13.55M | +143.1% | +$7.98M | ||
| 2002 | $5.57M | -222.6% | +$10.12M | ||
| 2001 | −$4.55M | -83.1% | +$22.30M | ||
| 2000 | −$26.85M | +258.0% | −$19.35M | ||
| 1999 | −$7.50M | +2400.0% | −$7.20M | ||
| 1998 | −$300.00K | -86.4% | +$1.90M | ||
| 1997 | −$2.20M | — | — |
- 2025$430.00M+9.5%
- 2024$392.60M-19.8%
- 2023$489.50M+2.3%
- 2022$478.62M+1.9%
- 2021$469.73M-3.4%
- 2020$486.11M+6.2%
- 2019$457.78M+36.5%
- 2018$335.46M+42.9%
- 2017$234.70M+17.0%
- 2016$200.64M+43.5%
- 2015$139.77M-2.9%
- 2014$143.91M+32.9%
- 2013$108.30M+25.7%
- 2012$86.13M+235.3%
- 2011$25.68M-34.6%
- 2010$39.27M-0.8%
- 2009$39.57M-3.3%
- 2008$40.91M-21.0%
- 2007$51.80M+58.2%
- 2006$32.75M+42.9%
- 2005$22.92M-7.3%
- 2004$24.72M+82.5%
- 2003$13.55M+143.1%
- 2002$5.57M-222.6%
- 2001−$4.55M-83.1%
- 2000−$26.85M+258.0%
- 1999−$7.50M+2400.0%
- 1998−$300.00K-86.4%
- 1997−$2.20M—
Operating Cash Flow values are taken from CoStar Group's reported cash flow statements (quarterly 10-Q and annual 10-K filings with the U.S. Securities and Exchange Commission). Each row shows the period end date and the filing date. YoY compares each figure to the same period one year earlier. Amounts are in USD as filed.
About Operating Cash Flow at CoStar Group (CSGP)
Operating Cash Flow for CoStar Group (CSGP): headline value $152.00M · YoY +9.5%. Annual and quarterly series, chart, and tables are below.
Headline figure above is from the reporting period ending (reported ). Chart and table below cover the full reported history back to .
The 2025 reading of CoStar Group (CSGP) operating cash flow is $430.00M – grew 9.5% year-over-year.
CoStar Group operating cash flow has contracted on net over the period, with a -2.4% compound annual growth rate over 2020–2025 (5 years).
Between 2023 and 2025, CoStar Group operating cash flow declined 12.2%, falling from $489.50M to $430.00M.
$489.50M stands as the all-time-high annual operating cash flow, posted in 2023, against a low of −$26.85M during 2000.
CoStar Group Operating Cash Flow by Year
CoStar Group Operating Cash Flow 2025: $430.00M
CoStar Group operating cash flow in 2025 was $430.00M, grew 9.5% from 2024.
CoStar Group Operating Cash Flow 2024: $392.60M
2024's operating cash flow for CoStar Group came in at $392.60M, declined 19.8% below 2023.
CoStar Group Operating Cash Flow 2023: $489.50M
CoStar Group posted operating cash flow of $489.50M in 2023, edged up 2.3% from 2022. This figure represents the highest annual value in the available history.
CoStar Group Operating Cash Flow 2022: $478.62M
In 2022, CoStar Group reported operating cash flow of $478.62M, edged up 1.9% from 2021.
CoStar Group Operating Cash Flow 2021: $469.73M
CoStar Group operating cash flow in 2021 was $469.73M.
See more financial history for CoStar Group (CSGP).
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