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ZZillow Group, Inc. Class C
$31.38$7.5B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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P/E HistoryRevenue HistoryEarnings HistoryDividend HistoryTotal Return
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HomeStocksZQuarterly Cash Flow

Zillow Group, Inc. Class C (Z) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Zillow Group, Inc. Class C (Z) quarterly cash flow statement — complete operating, investing & financing history

Z Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations198M72M105M87M104M122M171M55M80M86M75M100M93M84M165M863M3.39B-215.37M-2.8B-399M
Operating CF Margin %27.97%11.01%15.53%13.28%17.39%22.02%29.43%9.62%15.12%18.14%15.12%19.76%19.83%19.31%34.16%171.23%632.84%-40.26%-509.82%-30.46%
Operating CF Growth %90.38%-40.98%-38.6%58.18%30%41.86%128%-45%-13.98%2.38%-54.55%-88.41%-97.26%139%105.88%316.29%1307.47%33.93%-4973.3%-202.14%
Net Income46M3M10M2M8M-52M-20M-17M-23M-73M-28M-35M-22M-72M-53M8M16M-261.21M-329M10M
Depreciation & Amortization73M71M69M69M67M64M56M66M64M70M55M51M46M42M40M49M49M46.75M35M35M
Stock-Based Compensation095M99M99M97M119M108M113M108M109M109M130M103M110M148M102M91M80.21M79M88M
Deferred Taxes0000000009M-9M000000454K-3.2M3M
Other Non-Cash Items63M8M5M1M02M15M-1M1M1M8M-10M5M15M7M14M47M204.75M358.2M35M
Working Capital Changes16M-105M-78M-84M-68M-11M12M-106M-70M-30M-60M-36M-39M-11M23M690M3.19B-286.33M-2.94B-570M
Change in Receivables-4M8M-6M-36M-11M13M-2M-15M-4M2M-7M-16M-3M6M-5M25M56M6.31M-56M-20M
Change in Inventory000000000-19M-56M00023M467M3.41B-256.63M-2.89B-697M
Change in Payables32M-2M-18M21M5M-23M14M5M6M-1M7M002M2M-7M6M-13.19M15M4M
Cash from Investing376M-50M19M77M-52M274M328M-3M-204M-314M255M181M-97M-410M-189M-371M-563M467.71M-674M391M
Capital Expenditures-44M-28M-32M-37M-36M-34M-19M-44M-46M-40M-41M-35M-40M-28M-33M-33M-33M-27.86M-20M-13M
CapEx % of Revenue6.21%4.28%4.73%5.65%6.02%6.14%3.27%7.69%8.7%8.44%8.27%6.92%8.53%6.44%6.83%6.55%6.16%5.21%3.64%0.99%
Acquisitions00000-7M000-399M-34M09M-4M162M344M0-579K00
Investments--------------------
Other Investing0-11M-8M-7M-108M-7M-21M000-34M-9M-9M-8M-162M-344M-5M-6.79M-511M-6M
Cash from Financing-664M-128M163M-490M-219M-386M-607M-311M71M-126M-49M-109M-68M-181M-184M-995M-2.98B60M2.15B340M
Debt Issued (Net)-29M92M42M-362M28M-502M-642M-30M30M-54M25M24M5M-9M-10M-752M-2.67B332.05M2.13B325M
Equity Issued (Net)-608M-220M-38M-128M-250M116M35M-281M-9M-72M-100M-150M-86M-174M-176M-249M-348M-273M00
Dividends Paid00000000000000000000
Share Repurchases-626M-232M-38M-150M-250M00-292M-9M-88M-100M-150M-86M-174M-176M-249M-348M-302M00
Other Financing-27M0159M03M00050M026M17M13M2M2M6M36M951K22M15M
Net Change in Cash-90M-106M287M-326M-167M10M-108M-259M-53M-354M281M172M-72M-507M-208M-503M-152M311.76M-1.33B332M
Free Cash Flow164M44M65M158M-40M81M152M11M34M46M34M56M53M48M132M830M3.35B-250.02M-2.84B-418M
FCF Margin %23.16%6.73%9.62%24.12%-6.69%14.62%26.16%1.92%6.43%9.7%6.85%11.07%11.3%11.03%27.33%164.68%625.75%-46.73%-516%-31.91%
FCF Growth %510%-45.68%-57.24%1336.36%-217.65%76.09%347.06%-80.36%-35.85%-4.17%-74.24%-93.25%-98.42%119.2%104.65%298.56%1390.67%27.49%-8458.61%-215.46%
FCF per Share0.680.170.250.66-0.160.340.650.050.140.200.150.240.230.200.553.3913.31-0.98-10.70-1.60
FCF Conversion (FCF/Net Income)4.30x24.00x10.50x43.50x13.00x-2.35x-8.55x-3.24x-3.48x-1.18x-2.68x-2.86x-4.23x-1.17x-3.11x107.88x212.00x0.83x8.52x-41.39x
Interest Paid018M000000000008M7M025M50.74M30M14M
Taxes Paid00000000000001M1M00000