CoStar Group Inc.
Net Cash Flow Breakdown
FY2025
FY2024
FY2023
FY2022
FY2021
FY2020
FY2019
FY2018
FY2017
FY2016
FY2015
FY2014
FY2013
FY2012
FY2011
FY2010
FY2009
Total Cash from Operations: $568.0M
| Line Item | Value | % of Total |
|---|---|---|
| Capital Expenditures | $116.0M | 20.4% |
| Business Acquisitions | $98.3M | 17.3% |
| Other Investing | $20.6M | 3.6% |
| Other Financing | $4.0M | 0.7% |
| Working Capital | $78.0M | 13.7% |
| Other | $3.0M | 0.5% |
| Net Cash Flow | $248.0M | 43.7% |