ServiceNow Financial Ratios for Analysis 2009-2024 | NOW

Fifteen years of historical annual and quarterly financial ratios and margins for ServiceNow (NOW).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120112010201020092009
1.061.111.051.211.031.171.191.251.481.792.431.99---1.041.04-
0.160.230.290.370.250.370.450.570.460.510.51-------
0.200.300.430.580.330.601.511.310.841.031.05-------
78.5978.2977.0578.1676.9976.1373.9571.3267.2463.5563.4457.32-65.92-62.63-59.35
8.494.904.364.401.21-1.63-3.36-27.47-16.55-22.24-15.61-15.42-11.40--65.08--30.19
8.494.904.364.401.21-1.63-3.36-27.47-16.55-22.24-15.61-15.42-11.40--65.08--30.19
19.8815.8217.3517.1914.3111.6210.53-14.11-0.23-3.13-1.06-3.71-17.33--59.18--26.97
11.245.514.223.321.94-1.50-5.91-29.51-19.20-25.72-16.77-14.76-12.05--67.91--30.33
19.304.493.902.6318.12-1.02-6.09-29.78-19.73-26.28-17.36-15.32-10.61--70.03--33.81
0.520.540.550.520.570.670.540.680.560.480.360.51---0.84--
------------------
4.414.204.244.484.144.544.394.314.954.293.923.12---4.45--
82.8486.9086.0581.5088.1180.4283.1584.6973.8185.1293.12117---81.98--
22.696.466.224.2029.47-2.40-15.00-107.05-35.01-41.85-18.70-15.34---41.6867.54-
28.048.178.744.8834.31-3.10-20.75-173.64-42.39-56.21-19.41-15.38---7361,193-
9.962.442.131.3710.41-0.69-3.29-20.37-10.98-12.59-6.31-7.81----57.83-93.72-
18.994.994.442.6622.21-1.51-8.29-46.30-19.05-20.57-9.11-15.34---41.6867.56-
37.2624.8018.5114.4711.236.174.472.313.532.872.811.93----4.32--
16.5313.3810.788.826.274.563.760.972.040.970.600.660.001.330.00-0.330.000.00
13.1510.688.856.754.923.302.880.331.480.600.200.09-1.02--0.39-0.00

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-06-302009-06-30
1.131.121.051.061.081.151.171.111.241.121.121.051.131.081.231.211.401.171.031.031.051.101.131.171.261.281.191.191.661.731.231.251.251.291.141.481.551.611.821.791.962.102.272.431.281.511.951.991.991.00-1.03-----
0.140.150.160.160.170.180.210.230.250.260.270.290.300.310.350.370.390.220.240.250.320.350.360.370.390.420.420.450.680.700.550.570.580.600.610.460.470.500.500.510.510.520.510.51-------------
0.160.170.180.200.210.210.270.300.330.350.390.430.450.480.530.580.640.280.310.330.480.540.560.600.800.961.331.512.102.361.211.311.381.511.600.840.900.990.991.031.051.081.041.05-------------
79.1278.9980.0278.8378.3278.0979.1078.6178.1577.8078.5776.7876.8576.6578.0177.6878.1378.2478.6877.8477.3376.2476.3976.5076.5575.7375.6575.5774.1172.7672.9372.7471.2571.6869.1868.1768.6467.6963.7264.3363.0264.6661.8163.7662.6364.7862.4157.0257.1559.6855.23100.0065.1167.82100.00--
14.949.1412.7511.0810.105.446.877.994.971.265.052.174.893.627.131.445.995.884.682.986.36-3.24-1.990.041.42-5.07-3.44-0.16-0.79-8.43-5.084.41-7.49-14.14-105.97-10.80-10.74-21.58-25.59-18.53-19.30-26.67-26.01-15.46-13.17-18.92-15.03-12.69-20.74-16.06-11.77100.002.987.70100.00--
14.949.1412.7511.0810.105.446.877.994.971.265.052.174.893.627.131.445.995.884.682.986.36-3.24-1.990.041.42-5.07-3.44-0.16-0.79-8.43-5.084.41-7.49-14.14-105.97-10.80-10.74-21.58-25.59-18.53-19.30-26.67-26.01-15.46-13.17-18.92-15.03-12.69-20.74-16.06-11.77100.002.987.70100.00--
---------------------------------------------------------
18.4512.7116.3314.2413.078.098.979.435.571.664.941.984.503.557.281.122.265.794.593.576.86-1.96-1.450.271.07-6.47-1.25-2.40-4.04-12.85-5.302.28-9.33-15.90-108.40-12.48-15.25-24.49-26.94-21.84-22.63-29.81-30.30-18.91-12.63-20.22-14.89-12.08-19.79-15.99-10.73100.000.857.92100.00--
15.459.9713.3312.1110.5848.567.167.734.371.144.361.614.174.196.031.361.133.834.5962.974.58-1.33-0.200.981.25-8.361.80-3.16-4.51-12.45-5.021.29-10.14-14.54-108.98-13.09-15.71-25.10-27.41-22.56-22.97-30.20-31.14-19.35-13.22-20.94-15.54-13.21-20.29-15.37-11.89-17.77-0.111.218.65--
0.150.140.150.140.150.140.150.150.160.160.160.150.160.150.150.140.150.160.170.160.190.180.180.180.190.180.160.150.160.150.200.190.200.200.160.160.160.160.140.140.140.130.110.110.190.190.170.160.170.28-0.25-----
---------------------------------------------------------
2.141.731.991.201.961.971.891.122.042.052.091.161.951.802.111.241.831.691.701.141.641.661.871.241.581.721.591.261.691.611.541.201.631.731.611.401.631.721.491.241.611.531.291.161.321.101.080.961.151.20-0.87-----
42.0952.0145.1675.1945.9445.7547.6280.0344.1443.8243.0777.4646.1949.8942.6872.6549.3053.1152.9479.0254.8054.3348.2172.3156.7952.4356.6771.6453.3656.0358.3875.2355.3852.0255.9864.0655.0652.2460.6072.3555.9858.9669.8477.8668.3881.6783.6293.5978.2275.04-103-----
4.653.024.283.873.3715.072.682.981.770.481.880.701.781.802.700.600.491.652.1228.152.84-0.88-0.130.630.82-5.921.23-2.23-4.02-11.57-5.031.28-10.00-15.30-110.24-6.59-7.94-13.37-12.77-10.42-9.83-12.65-10.73-6.15-5.12-7.99-5.06-4.08-6.8220.23-12.12-----
5.553.645.214.784.2217.653.293.772.290.642.540.992.562.723.340.700.571.952.5432.783.49-1.12-0.160.811.06-7.981.62-3.08-5.93-18.27-8.192.08-16.68-28.15-167.72-7.98-9.84-17.28-16.59-14.00-13.65-13.11-11.13-6.38-5.39-7.99-5.06-4.09-6.82-34.41--64.77-----
2.341.441.981.701.607.001.101.130.720.180.680.240.660.640.930.200.170.630.779.950.85-0.24-0.040.180.23-1.520.29-0.49-0.72-1.91-0.990.24-2.00-2.89-17.79-2.07-2.47-3.96-3.89-3.13-3.15-3.99-3.54-2.07-2.54-3.95-2.59-2.08-3.42-4.35--4.45-----
4.012.583.623.242.7912.412.122.301.330.351.370.501.261.241.760.380.301.291.6221.221.92-0.57-0.080.400.50-3.430.71-1.23-1.30-3.44-2.280.56-4.21-6.09-42.46-3.59-4.17-6.72-6.41-5.12-4.81-6.09-5.25-3.00-5.12-7.99-5.06-4.08-6.82-34.41--64.77-----
45.0342.1039.4737.2635.0233.9127.4924.8022.4320.8019.9418.5117.8416.5315.3814.4713.7012.9211.8811.237.586.736.476.175.695.014.904.473.192.832.522.312.181.971.863.533.252.972.962.872.812.732.822.812.071.961.971.931.550.21-0.48-----
12.629.446.4616.538.697.224.4213.387.696.384.2610.786.635.083.598.825.454.272.466.274.123.241.984.562.712.121.313.762.671.861.110.970.16-0.420.492.041.350.960.440.970.620.460.170.600.330.180.120.660.270.830.640.001.130.900.000.000.00
9.757.535.8113.156.595.773.6110.685.695.183.808.855.194.103.076.754.043.312.054.923.182.721.723.302.001.621.132.881.991.450.920.33-0.34-0.750.311.480.950.680.270.600.310.270.090.200.050.020.040.090.000.100.30-0.850.61---