COSTAR GROUP, INC. (CSGP)

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CIK 0001057352 · Nasdaq · Services-Business Services, NEC

  • Sector Services
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, COSTAR GROUP, INC. reported revenue of $3.25B, up 18.7% from the prior year. The company was profitable, with a net margin of 0.2% and a gross margin of 78.9%. It held $10.54B in total assets against $2.17B in total liabilities.

Key ratios (FY2025)

78.9%
Gross margin
-2.2%
Operating margin
0.2%
Net margin
0.1%
Return on equity
+18.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$3.25B$2.74B$2.46B$2.18B$1.94B$1.66B$1.40B$1.19B$965.23M$837.63M
Cost of Revenue$686.00M$558.00M$491.00M$414.00M$357.20M$308.97M$289.24M$269.93M$220.40M$173.81M
Gross Profit$2.56B$2.18B$1.96B$1.77B$1.59B$1.35B$1.11B$921.90M$744.83M$663.82M
Operating Income-$72.00M$5.00M$282.00M$451.00M$432.30M$289.20M$363.55M$273.56M$173.82M$144.91M
Net Income$7.00M$139.00M$375.00M$369.50M$292.60M$227.13M$314.96M$238.33M$122.69M$85.07M
EPS (Diluted)$0.02$0.34$0.92$0.93$0.74$0.59$0.86$6.54$3.66$2.62
Total Assets$10.54B$9.26B$8.92B$8.40B$7.26B$6.92B$3.85B$3.31B$2.87B$2.19B
Total Liabilities$2.17B$1.70B$1.58B$1.53B$1.55B$1.54B$448.39M$291.01M$222.19M$530.85M
Shareholders' Equity$8.33B$7.55B$7.34B$6.87B$5.71B$5.38B$3.41B$3.02B$2.65B$1.65B
Cash & Equivalents$1.63B$4.68B$5.20B$5.00B$3.80B$3.69B$1.07B$1.10B$1.21B$567.22M
Operating Cash Flow$430.00M$393.00M$490.00M$478.70M$469.70M$486.11M$457.78M$335.46M$234.70M$200.64M
Capital Expenditures$307.00M$579.00M$118.00M$35.20M$123.70M$0$0
Shares Outstanding420.70M407.80M406.90M397.80M394.20M383.27M366.30M36.45M33.56M32.44M