bf/NYSE:NOW_icon.jpeg

COM:SERVICENOW

ServiceNow

  • Stock

USD

Last Close

1,047.05

22/11 21:00

Market Cap

152.35B

Beta: -

Volume Today

1.36M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-73.71M
-
-179.39M
143.38%
-198.43M
10.61%
-451.80M
127.69%
-149.13M
66.99%
-26.70M
82.09%
626.70M
2,446.83%
118.50M
81.09%
230M
94.09%
325M
41.30%
1.73B
432.62%
depreciation and amortization
24.15M
-
42.06M
74.14%
60.36M
43.50%
83.08M
37.65%
113.88M
37.06%
149.60M
31.38%
252.11M
68.52%
336.38M
33.42%
472M
40.32%
433M
8.26%
562M
29.79%
deferred income tax
-1.89M
-
-3.23M
71.25%
-3.94M
21.95%
-3.42M
13.21%
-9.08M
165.13%
-34.18M
276.51%
-575.76M
1,584.51%
-24.48M
95.75%
-34M
38.88%
15M
144.12%
-857M
5,813.33%
stock based compensation
65.58M
-
154.32M
135.31%
257.71M
67.00%
317.58M
23.23%
394.08M
24.09%
543.95M
38.03%
662.20M
21.74%
870.45M
31.45%
1.13B
29.93%
1.40B
23.87%
1.60B
14.49%
change in working capital
29.43M
-
41.20M
39.98%
101.91M
147.36%
96.23M
5.58%
125.33M
30.24%
140.75M
12.31%
78.35M
44.33%
281.47M
259.23%
58M
79.39%
174M
200%
-101M
158.05%
accounts receivables
-29.51M
-
-56.78M
92.45%
-50.85M
10.44%
-125.11M
146.01%
-98.43M
21.32%
-146.15M
48.48%
-259.83M
77.79%
-151.43M
41.72%
-401M
164.81%
-340M
15.21%
-300M
11.76%
inventory
19.73M
-
-6.84M
134.70%
22.23M
424.70%
61.18M
175.27%
22.21M
63.70%
62.19M
180.04%
35.19M
43.41%
120.75M
243.15%
9M
92.55%
-27M
-
accounts payables
-252K
-
10.22M
4,156.75%
14.79M
44.62%
-3.55M
124.04%
-5.50M
54.87%
-4.76M
13.57%
21.36M
548.92%
-33.58M
257.26%
55M
263.77%
172M
212.73%
-142M
182.56%
other working capital
39.46M
-
94.61M
139.74%
115.76M
22.36%
163.71M
41.42%
207.06M
26.48%
229.47M
10.83%
281.64M
22.73%
345.73M
22.76%
395M
14.25%
342M
13.42%
368M
7.60%
other non cash items
38.18M
-
83.94M
119.88%
97.48M
16.12%
118.26M
21.32%
167.75M
41.85%
37.66M
77.55%
192.38M
410.80%
204.27M
6.18%
334M
63.51%
375M
12.28%
459M
22.40%
net cash provided by operating activities
81.75M
-
138.90M
69.92%
315.09M
126.85%
159.92M
49.25%
642.83M
301.96%
811.09M
26.18%
1.24B
52.38%
1.79B
44.55%
2.19B
22.64%
2.72B
24.28%
3.40B
24.79%
investments in property plant and equipment
-55.32M
-
-54.38M
1.70%
-89.23M
64.09%
-128.41M
43.91%
-157.18M
22.40%
-248.86M
58.33%
-337.58M
35.65%
-432.52M
28.12%
-399M
7.75%
-550M
37.84%
-694M
26.18%
acquisitions net
-13.33M
-
-99.81M
648.78%
-1.10M
98.90%
-34.30M
3,017.91%
-58.20M
69.70%
-37.44M
35.67%
-7.41M
80.20%
-107.24M
1,346.40%
-785M
632.03%
-91M
88.41%
-282M
209.89%
purchases of investments
-570.68M
-
-521.39M
8.64%
-723.28M
38.72%
-519.16M
28.22%
-1.19B
130.04%
-1.30B
8.50%
-1.60B
23.14%
-2.93B
83.87%
-2.56B
12.88%
-4.21B
64.51%
-4.71B
11.99%
sales maturities of investments
236.71M
-
358.71M
51.54%
582.09M
62.27%
569.53M
2.16%
525.70M
7.70%
1.23B
134.86%
1.22B
1.50%
1.97B
61.72%
2.12B
7.74%
2.25B
5.95%
3.52B
56.88%
other investing activites
-177K
-
-55K
68.93%
-222K
303.64%
-210K
5.41%
14M
-
18M
28.57%
-4M
122.22%
net cash used for investing activites
-402.80M
-
-316.93M
21.32%
-231.74M
26.88%
-112.55M
51.43%
-883.95M
685.40%
-347.42M
60.70%
-724.48M
108.53%
-1.51B
107.99%
-1.61B
6.64%
-2.58B
60.73%
-2.17B
16.11%
debt repayment
-223K
-
-448K
100.90%
-4.92M
997.77%
-430.58M
8,655.14%
-9K
100.00%
-1.63B
18,085,344.44%
-61M
96.25%
-94M
54.10%
common stock issued
107.87M
-
145.77M
35.13%
167M
14.57%
177M
5.99%
194M
9.60%
common stock repurchased
-55M
-
-410M
-
-509M
24.15%
-612M
20.24%
-427M
30.23%
-538M
26.00%
dividends paid
-302.13M
-
-363.23M
20.22%
-445M
22.51%
-250M
43.82%
other financing activites
568.57M
-
70.77M
87.55%
83.22M
17.58%
-51.20M
161.53%
598.81M
1,269.46%
-176.85M
129.53%
302.42M
271.00%
2.95B
875.74%
445M
84.92%
250M
43.82%
-459M
283.60%
net cash used provided by financing activities
568.57M
-
70.77M
87.55%
82.99M
17.27%
-51.65M
162.24%
538.89M
1,143.31%
-607.43M
212.72%
-301.86M
50.31%
596.65M
297.66%
-506M
184.81%
-344M
32.02%
-803M
133.43%
effect of forex changes on cash
-207K
-
-6.59M
3,084.54%
-6.49M
1.53%
-6.79M
4.58%
28.13M
514.38%
-15.53M
155.21%
-186K
98.80%
25.07M
13,575.81%
-25M
199.74%
-53M
112.00%
1M
101.89%
net change in cash
247.31M
-
-113.85M
146.03%
159.85M
240.41%
-11.07M
106.92%
325.90M
3,044.76%
-159.29M
148.88%
209.45M
231.49%
901.44M
330.38%
53M
94.12%
-257M
584.91%
429M
266.93%
cash at beginning of period
118.99M
-
366.30M
207.85%
252.46M
31.08%
412.31M
63.32%
401.93M
2.52%
727.83M
81.08%
568.54M
21.89%
777.99M
36.84%
1.68B
115.81%
1.73B
3.16%
1.48B
14.84%
cash at end of period
366.30M
-
252.46M
31.08%
412.31M
63.32%
401.24M
2.68%
727.83M
81.40%
568.54M
21.89%
777.99M
36.84%
1.68B
115.87%
1.73B
3.13%
1.48B
14.84%
1.90B
29.08%
operating cash flow
81.75M
-
138.90M
69.92%
315.09M
126.85%
159.92M
49.25%
642.83M
301.96%
811.09M
26.18%
1.24B
52.38%
1.79B
44.55%
2.19B
22.64%
2.72B
24.28%
3.40B
24.79%
capital expenditure
-55.32M
-
-54.38M
1.70%
-89.23M
64.09%
-128.41M
43.91%
-157.18M
22.40%
-248.86M
58.33%
-337.58M
35.65%
-432.52M
28.12%
-399M
7.75%
-550M
37.84%
-694M
26.18%
free cash flow
26.43M
-
84.52M
219.85%
225.86M
167.22%
31.51M
86.05%
485.64M
1,441.29%
562.23M
15.77%
898.39M
59.79%
1.35B
50.72%
1.79B
32.34%
2.17B
21.26%
2.70B
24.44%

All numbers in USD (except ratios and percentages)