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Enter

NOW - ServiceNow, Inc.

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ServiceNow, Inc.

NOW

NYSE

ServiceNow, Inc. provides enterprise cloud computing solutions that defines, structures, consolidates, manages, and automates services for enterprises worldwide. It operates the Now platform for workflow automation, artificial intelligence, machine learning, robotic process automation, performance analytics, electronic service catalogs and portals, configuration management systems, data benchmarking, encryption, and collaboration and development tools. The company also provides information technology (IT) service management applications; IT service management product suite for enterprise's employees, customers, and partners; IT business management product suite; IT operations management product that connects a customer's physical and cloud-based IT infrastructure; IT Asset Management to automate IT asset lifecycles; and security operations that connects with internal and third party. In addition, it offers governance, risk, and compliance product to manage risk and resilience; human resources, legal, and workplace service delivery products; safe workplace applications; customer service management product; and field service management applications. Further, it provides App Engine product; IntegrationHub enables application to extend workflows; and professional, industry solutions, and customer support services. It serves government, financial services, healthcare, telecommunications, manufacturing, IT services, technology, oil and gas, education, and consumer products through direct sales team and resale partners. It has a strategic partnership with Celonis to help customers identify and prioritize processes that are suitable for automation. The company was formerly known as Service-now.com and changed its name to ServiceNow, Inc. in May 2012. The company was founded in 2004 and is headquartered in Santa Clara, California.

977.36 USD

19.41 (1.99%)

NOW Financial Statements

Year

2024

2023

2022

2021

Current Assets

9.19B

7.78B

6.65B

5.22B

Cash & Short Term Investments

5.76B

4.88B

4.28B

3.3B

Cash And Cash Equivalents

2.3B

1.9B

1.47B

1.73B

Short Term Investments

3.46B

2.98B

2.81B

1.58B

Net Receivables

2.24B

2.04B

1.73B

1.39B

Inventory

0

0

369M

303M

Other Current Assets

1.19B

864M

896M

526M

Non-Current Assets

11.2B

9.61B

6.64B

5.58B

Property, Plant & Equipment

2.46B

2.07B

1.74B

1.36B

Goodwill And Intangible Assets

1.48B

1.46B

1.06B

1.06B

Goodwill

1.27B

1.23B

824M

777M

Intangible Assets

209M

224M

232M

287M

Long Term Investments

4.11B

3.2B

2.12B

1.63B

Tax Assets

1.39B

1.51B

636M

692M

Other Non-Current Assets

1.76B

1.37B

1.1B

835M

Other Assets

0

0

0

0

Total Assets

20.38B

17.39B

13.3B

10.8B

-

-

-

-

Current Liabilities

8.36B

7.37B

6B

4.95B

Accounts Payable

68M

126M

274M

89M

Short Term Debt

102M

379M

192M

256M

Tax Payables

162M

123M

109M

101M

Deferred Revenue

6.82B

5.79B

4.66B

3.84B

Other Current Liabilities

1.21B

1.24B

770M

667M

Total Current Liabilities

8.36B

7.37B

6B

4.95B

Total Non-Current Liabilities

2.42B

2.39B

2.26B

2.15B

Long-Term Debt

2.18B

2.19B

2.14B

2.04B

Deferred Revenue

95M

81M

70M

63M

Deferred Taxes Liabilities

0

0

0

0

Other Non Current liabilities

145M

118M

56M

51M

Total Liabilities

10.77B

9.76B

8.27B

7.1B

Other Liabilities

0

0

0

0

Stockholders Equity

9.61B

7.63B

5.03B

3.69B

Common Stock

0

0

0

0

Retained Earnings

3.49B

2.07B

338M

-4M

Accumulated Other Comprehensive Income/Loss

-68M

-37M

-102M

34M

Other Shareholders Equity

6.18B

5.6B

4.8B

3.67B

Total Liabilities and Stockholders Equity

20.38B

17.39B

13.3B

10.8B

Retained Earning Schedule

Year

2024

2023

2022

2021

Retained Earnings (Previous Year)

2.07B

338M

-4M

-233.74M

Net Income

1.43B

1.73B

325M

230M

Stock Repurchases

-696M

-538M

-427M

-612M

Dividend Paid

0

0

0

0

Retained Earnings

3.49B

2.07B

338M

-4M

Other Distributions

729M

1.19B

-85M

-382.26M

PPE Schedule

Year

2024

2023

2022

2021

Gross PPE

2.46B

2.07B

1.74B

1.36B

Annual Depreciation

465M

562M

342M

388M

Capital Expenditure

-852M

-694M

-550M

-399M

Net PPE

2.84B

2.21B

1.94B

1.37B

Intangible and Goodwill Schedule

Year

2024

2023

2022

2021

Acquisitions and Adjustments

42M

407M

47M

536.24M

Goodwill (Previous Year)

1.23B

824M

777M

240.76M

Goodwill

1.27B

1.23B

824M

777M

All figures are in USD.

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