Cash Flow from Operating Activities: A company's cash flows from operations.
CoStar Group, Inc. (CSGP) had Cash Flow from Operating Activities of $53.20M for the most recently reported fiscal quarter, ending 2025-03-31.
Income Statement Financials | |
$732.20M |
|
$-14.80M |
|
$153.30M |
|
$578.90M |
|
$775.00M |
|
$-42.80M |
|
$36.10M |
|
$-6.70M |
|
$-6.70M |
|
$-14.80M |
|
$-14.80M |
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$-14.80M |
|
$-14.80M |
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$-42.80M |
|
-- |
|
410.50M |
|
410.50M |
|
$-0.04 |
|
$-0.04 |
|
Balance Sheet Financials | |
$4.35B |
|
$1.10B |
|
$6.07B |
|
$10.43B |
|
$724.40M |
|
$992.20M |
|
$1.15B |
|
$1.87B |
|
-- |
|
$3.93B |
|
$8.56B |
|
-- |
|
Cash Flow Statement Financials | |
Cash Flow from Operating Activities |
$53.20M |
$-910.60M |
|
$-47.30M |
|
$4.68B |
|
$3.78B |
|
$-902.80M |
|
$30.40M |
|
-- |
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-- |
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Fundamental Metrics & Ratios | |
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