CoStar Group Inc.
Cash Flow History
| Fiscal Year | Operating Cash Flow | Free Cash Flow | CapEx | Share-Based Compensation |
|---|---|---|---|---|
| FY2021 | $469.7M | $346.0M | $123.7M | $63.7M |
| FY2022 | $478.7M | $443.5M | $35.2M | $75.2M |
| FY2023 | $490.0M | $372.0M | $118.0M | $85.0M |
| FY2024 | $393.0M | $-186.0M | $579.0M | $89.0M |
| FY2025 | $430.0M | $123.0M | $307.0M | $194.0M |