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CoStar Group, Inc.
CSGP
NASDAQ
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Income
Balance
Cash Flow
Annual
Quarterly
3Y
5Y
10Y
All
Revenue
$3B
↑19%
Gross Profit
$2B
↑12%
Operating Income
$-72M
↓1632%
Net Income
$7M
↓95%
EBITDA
$272M
↑79%
EPS Diluted
0.0
Cost of Revenue
$804M
Gross Margin %
75.2%
R&D Expenses
$406M
SG&A Expenses
$2B
Operating Expenses
$3B
Operating Margin %
-2.2%
Interest Expense
$0
Income Before Tax
$30M
Income Tax Expense
$23M
Net Margin %
0.2%
EPS
0.0
Shares Out (Diluted)
420.7M
Shares Out (Basic)
416.8M
Total Costs & Expenses
$3B
Interest Income
$110M
EBITDA Margin %
8.4%
Pre-Tax Margin %
0.9%
Other Income/Expenses
$102M
Revenue CAGR (5Y)
+14.4%
Margin Trend
declining
Free Cash Flow
Turned positive
Profitability
Profitable
Metric
Dec 21
Dec 22
Dec 23
Dec 24
Dec 25
Revenue
1,944
2,182
↑12.3%
2,455
↑12.5%
2,736
↑11.5%
3,247
↑18.7%
Gross Profit
1,587
1,768
↑11.4%
1,964
↑11.0%
2,178
↑10.9%
2,443
↑12.2%
Operating Income
432
451
↑4.3%
282
↓37.4%
5
↓98.3%
-72
↓1631.9%
Net Income
293
370
↑26.3%
375
↑1.4%
139
↓63.0%
7
↓95.0%
EBITDA
572
589
↑3.0%
390
↓33.8%
152
↓61.1%
272
↑79.4%
EPS Diluted
0.74
0.93
↑25.7%
0.92
↓1.1%
0.34
↓63.0%
0.02
↓95.1%
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Values in millions except EPS · Ratios shown as percentages