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Servicenow Inc (NOW)

Servicenow Inc (NOW)
820.00 x 400 827.59 x 100
Post-market by (Cboe BZX)
827.74 -10.81 (-1.29%) 03/27/25 [NYSE]
820.00 x 400 827.59 x 100
Post-market 822.54 -5.20 (-0.63%) 19:44 ET
Cash Flow for Thu, Mar 27th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 1,425,000 1,731,000 325,000 230,000 119,000
Depreciation Amortization 1,114,000 1,021,000 791,000 766,000 578,000
Income taxes - deferred 98,000 -857,000 15,000 -34,000 -24,000
Accounts receivable -254,000 -300,000 -340,000 -401,000 -152,000
Accounts payable and accrued liabilities -52,000 -142,000 172,000 55,000 -34,000
Other Working Capital -65,000 -101,000 174,000 58,000 280,000
Other Operating Activity 2,001,000 2,046,000 1,586,000 1,517,000 1,019,000
Operating Cash Flow $4,267,000 $3,398,000 $2,723,000 $2,191,000 $1,786,000
Cash Flows From Investing Activities
PPE Investments -852,000 -694,000 -550,000 -392,000 -419,000
Net Acquisitions -113,000 -279,000 -91,000 -785,000 -107,000
Purchase Of Investment -5,212,000 -4,709,000 -4,205,000 -2,556,000 -2,934,000
Sale Of Investment 3,752,000 3,522,000 2,245,000 2,119,000 1,965,000
Purchase Sale Intangibles -40,000 -3,000 N/A N/A -13,000
Other Investing Activity -76,000 -7,000 18,000 7,000 -12,000
Investing Cash Flow $-2,501,000 $-2,167,000 $-2,583,000 $-1,607,000 $-1,507,000
Cash Flows From Financing Activities
Debt Issued N/A N/A N/A N/A 2,588,000
Debt Repayment N/A N/A -94,000 -61,000 -1,628,000
Common Stock Issued 237,000 194,000 177,000 167,000 146,000
Common Stock Repurchased -696,000 -538,000 N/A N/A N/A
Other Financing Activity -884,000 -459,000 -427,000 -612,000 -509,000
Financing Cash Flow $-1,343,000 $-803,000 $-344,000 $-506,000 $597,000
Exchange Rate Effect -17,000 1,000 -53,000 -25,000 25,000
Beginning Cash Position 1,904,000 1,475,000 1,732,000 1,679,000 778,000
End Cash Position 2,310,000 1,904,000 1,475,000 1,732,000 1,679,000
Net Cash Flow $406,000 $429,000 $-257,000 $53,000 $901,000
Free Cash Flow
Operating Cash Flow 4,267,000 3,398,000 2,723,000 2,191,000 1,786,000
Capital Expenditure -852,000 -694,000 -550,000 -392,000 -419,000
Free Cash Flow 3,415,000 2,704,000 2,173,000 1,799,000 1,367,000
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