CoStar Group revenue and financials

CSGP · NASDAQ · USD

$27.63Change from previous close: −0.11%Absolute change: −$0.03

Close · October 6, 2026

In the fiscal year ended December 2025, CoStar Group reported revenue of $3.25B (+18.68% year over year). Net income was $7M, a net margin of 0.2%.

Annual revenue · 2025: $3.25B
  1. $837.63M2016
  2. $965.23M2017
  3. $1.19B2018
  4. $1.4B2019
  5. $1.66B2020
  6. $1.94B2021
  7. $2.18B2022
  8. $2.46B2023
  9. $2.74B2024
  10. $3.25B2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+18.68%
2025 vs 2024
Net income growth
−94.96%
2025 vs 2024
Net margin
0.2%
2024: 5.1%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow11515216268.214753.095.010058.114014942.6
Depreciation and amortization85.082.081.069.266.047.039.435.538.833.328.727.1
Capital expenditure-58.0-54.0-66.5-91.8-151-80.0-78.9-86.6-92.2-380-66.8-21.6
Investing cash flow-56.0-54.0-66.2-1,688-150-911-350-85.2-97.3-380-163-21.6
Financing cash flow-108-514-397-63.7-52.0-47.0-0.21.57.2-22.5-0.73.3
Share repurchases-84.0-527-396-68.4-58.0-53.0-1.3-1.8-0.9-26.0-3.0-0.9
Debt repaid—-1.03.3-1.3-1.0-1.03.4-1.2-2.2—-0.7—
Effect of exchange rates-1.0-1.0-0.8-8.34.02.0-1.31.5-0.1-1.10.80.3
Net change in cash-50.0-417-302-1,692-51.0-903-25718.1-32.1-264-14.024.6
Free cash flow57.098.095.6-23.6-4.0-27.016.113.7-34.1-24181.721.0
Levered free cash flow20612573.77.5-4.566.941.921.6-49.3-21899.227.7