CoStar Group, Inc. (FRA:RLG)
Germany flag Germany · Delayed Price · Currency is EUR
50.81
-2.56 (-4.80%)
At close: Jan 30, 2026

CoStar Group Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
1,9354,6815,2164,9683,8273,694
Cash & Short-Term Investments
1,9354,6815,2164,9683,8273,694
Cash Growth
-60.80%-10.26%4.99%29.81%3.61%244.98%
Accounts Receivable
252.5193.7195.8157.9124.82103.95
Receivables
252.5193.7195.8157.9124.82103.95
Prepaid Expenses
111.575.564.46036.1828.65
Restricted Cash
99.5----62.1
Total Current Assets
2,4054,9505,4765,1863,9883,889
Property, Plant & Equipment
1,3811,118552401.7372.11235.07
Goodwill
4,9152,5282,3862,3152,3212,236
Other Intangible Assets
1,844433.2313.7329.3435.66426.75
Long-Term Accounts Receivable
3.5688.4--
Long-Term Deferred Tax Assets
65.930.64.39.75.034.98
Long-Term Deferred Charges
181.1173.4169.3145.2105.6898.17
Other Long-Term Assets
23.617.910.17.529.2525.94
Total Assets
10,8209,2578,9208,4037,2576,915
Accounts Payable
46.54723.128.622.2415.73
Accrued Expenses
362.2308.5280.8194.1163.47191.3
Current Portion of Leases
28.432403626.2732.65
Current Income Taxes Payable
9.523.27.710.431.2416.32
Current Unearned Revenue
207.5141.6104.2103.695.4774.85
Other Current Liabilities
116.4-----
Total Current Liabilities
770.5552.3455.8372.7338.69330.85
Long-Term Debt
992.9991.9990.5989.2987.94986.72
Long-Term Leases
110.7103.775.976.199.37105.33
Long-Term Unearned Revenue
3818.70.10.21.252.51
Long-Term Deferred Tax Liabilities
248.67.636.776.298.6672.99
Other Long-Term Liabilities
35.329.122.118.119.2941.66
Total Liabilities
2,1961,7031,5811,5331,5451,540
Common Stock
4.24.14.14.13.953.94
Additional Paid-In Capital
6,3665,2325,1485,0654,2534,205
Retained Earnings
2,3042,3432,2041,8301,4601,168
Comprehensive Income & Other
57-25.5-17.6-29.1-5.76-0.89
Shareholders' Equity
8,6247,5547,3396,8705,7125,375
Total Liabilities & Equity
10,8209,2578,9208,4037,2576,915
Total Debt
1,1321,1281,1061,1011,1141,125
Net Cash (Debt)
803.33,5534,1103,8672,7142,569
Net Cash Growth
-79.03%-13.53%6.28%42.50%5.62%178.98%
Net Cash Per Share
1.948.7110.109.726.886.70
Filing Date Shares Outstanding
423.82410.13408.41406.77394.99394.1
Total Common Shares Outstanding
423.5409.5408.1406.67394.94394.14
Working Capital
1,6354,3985,0204,8133,6493,558
Book Value Per Share
20.3418.4517.9816.8914.4613.64
Tangible Book Value
1,8564,5934,6394,2262,9552,713
Tangible Book Value Per Share
4.3811.2211.3710.397.486.88
Land
-69.852.252.238.7724.64
Buildings
-373.4108.6105.196.52.97
Machinery
-193.3170.9140.6146.39183.9
Construction In Progress
-431.8163.7---
Leasehold Improvements
-81.582.3108.975.6380.96
Source: S&P Global Market Intelligence. Standard template. Financial Sources.