Recent Annual Filings for CSGP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,256,800,000 $2,736,200,000 $2,526,100,000 $130,800,000 $392,600,000 $-13,700,000 $-534,900,000
2023 $8,919,700,000 $2,455,000,000 $1,953,700,000 $386,200,000 $489,500,000 $-3,700,000 $247,900,000
2022 $8,402,470,000 $2,182,399,000 $1,695,942,000 $346,136,000 $478,620,000 $733,977,000 $1,140,844,000
2021 $7,256,871,000 $1,944,135,000 $1,540,167,000 $287,695,000 $469,731,000 $-15,679,000 $71,214,000
2020 $6,915,420,000 $1,659,019,000 $1,388,039,000 $234,824,000 $486,106,000 $2,662,297,000 $2,685,181,000
2019 $3,853,986,000 $1,399,719,000 $1,008,770,000 $318,066,000 $457,780,000 $-4,154,000 $-29,685,000
2018 $3,312,957,000 $1,191,832,000 $907,817,000 $235,666,000 $335,458,000 $2,744,000 $-111,047,000
2017 $2,873,441,000 $965,230,000 $800,172,000 $126,714,000 $234,703,000 $480,430,000 $644,240,000