CA Stock MarketDetailed Quotes

NOWS ServiceNow CDR (CAD Hedged)

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  • 27.310
  • +0.650+2.44%
15min DelayMarket Closed May 13 15:59 ET
290.54BMarket Cap132.57P/E (TTM)

ServiceNow CDR (CAD Hedged) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
29.10%6.6B
18.15%5.76B
18.15%5.76B
30.19%5.3B
14.03%5.41B
3.99%5.11B
13.95%4.88B
13.95%4.88B
2.81%4.07B
23.81%4.75B
-Cash and cash equivalents
63.86%3.37B
21.45%2.3B
21.45%2.3B
69.51%1.89B
29.83%2.16B
11.02%2.06B
29.05%1.9B
29.05%1.9B
-10.90%1.11B
-0.06%1.66B
-Short term investments
5.70%3.23B
16.04%3.46B
16.04%3.46B
15.40%3.41B
5.51%3.25B
-0.26%3.05B
6.05%2.98B
6.05%2.98B
9.12%2.96B
42.12%3.08B
Receivables
4.06%1.36B
10.02%2.24B
10.02%2.24B
11.99%1.31B
38.88%1.52B
17.76%1.31B
18.03%2.04B
18.03%2.04B
30.07%1.17B
28.14%1.09B
-Accounts receivable
4.06%1.36B
10.02%2.24B
10.02%2.24B
11.99%1.31B
38.88%1.52B
17.76%1.31B
18.03%2.04B
18.03%2.04B
30.07%1.17B
28.14%1.09B
Current deferred assets
12.45%533M
12.15%517M
12.15%517M
20.38%502M
20.20%482M
20.92%474M
24.93%461M
24.93%461M
26.36%417M
24.15%401M
Other current assets
62.03%781M
65.76%668M
65.76%668M
50.00%591M
67.96%608M
51.10%482M
43.93%403M
43.93%403M
34.93%394M
12.42%362M
Total current assets
25.75%9.27B
18.13%9.19B
18.13%9.19B
27.29%7.7B
21.48%8.02B
9.47%7.37B
16.88%7.78B
16.88%7.78B
10.41%6.05B
23.84%6.6B
Non current assets
Net PPE
25.47%2.7B
18.48%2.46B
18.48%2.46B
25.34%2.38B
26.44%2.28B
19.40%2.15B
19.48%2.07B
19.48%2.07B
26.96%1.9B
21.89%1.8B
-Gross PPE
22.88%4.27B
18.05%3.96B
18.05%3.96B
25.31%3.86B
25.13%3.66B
21.36%3.47B
23.00%3.36B
23.00%3.36B
26.61%3.08B
22.68%2.92B
-Accumulated depreciation
-18.67%-1.57B
-17.35%-1.51B
-17.35%-1.51B
-25.25%-1.48B
-23.01%-1.37B
-24.69%-1.32B
-29.15%-1.29B
-29.15%-1.29B
-26.07%-1.18B
-23.97%-1.12B
Investments and advances
18.25%4.34B
28.35%4.11B
28.35%4.11B
30.28%3.83B
26.72%3.47B
63.73%3.67B
51.30%3.2B
51.30%3.2B
93.74%2.94B
70.40%2.74B
-Financial asset investment
18.25%4.34B
28.35%4.11B
28.35%4.11B
30.28%3.83B
26.72%3.47B
63.73%3.67B
51.30%3.2B
51.30%3.2B
93.74%2.94B
70.40%2.74B
-Including:Available-for-sale securities
18.25%4.34B
28.35%4.11B
28.35%4.11B
30.28%3.83B
26.72%3.47B
63.73%3.67B
51.30%3.2B
51.30%3.2B
93.74%2.94B
70.40%2.74B
Goodwill and other intangible assets
6.01%1.54B
1.86%1.48B
1.86%1.48B
4.08%1.51B
44.17%1.46B
39.90%1.45B
37.78%1.46B
37.78%1.46B
40.66%1.45B
-4.53%1.01B
-Goodwill
6.62%1.31B
3.41%1.27B
3.41%1.27B
7.23%1.29B
50.91%1.24B
48.72%1.22B
49.39%1.23B
49.39%1.23B
51.64%1.2B
2.24%821M
-Other intangible assets
2.68%230M
-6.70%209M
-6.70%209M
-11.57%214M
15.18%220M
5.66%224M
-3.45%224M
-3.45%224M
3.42%242M
-25.68%191M
Non current deferred assets
-1.45%2.37B
-1.77%2.38B
-1.77%2.38B
3.37%2.39B
2.02%2.38B
69.94%2.41B
76.12%2.43B
76.12%2.43B
84.37%2.31B
81.59%2.33B
Other non current assets
52.19%764M
68.81%763M
68.81%763M
41.11%635M
37.39%599M
28.72%502M
25.91%452M
25.91%452M
33.93%450M
28.24%436M
Total non current assets
15.04%11.7B
16.50%11.2B
16.50%11.2B
18.72%10.74B
22.43%10.19B
47.85%10.17B
44.62%9.61B
44.62%9.61B
60.66%9.05B
44.19%8.32B
Total assets
19.54%20.97B
17.23%20.38B
17.23%20.38B
22.15%18.43B
22.01%18.21B
28.87%17.54B
30.74%17.39B
30.74%17.39B
35.88%15.09B
34.42%14.92B
Liabilities
Current liabilities
Current debt and capital lease obligation
11.96%103M
14.61%102M
14.61%102M
16.48%106M
8.89%98M
-5.15%92M
-7.29%89M
-7.29%89M
2.25%91M
3.45%90M
-Current capital lease obligation
11.96%103M
14.61%102M
14.61%102M
16.48%106M
8.89%98M
-5.15%92M
-7.29%89M
-7.29%89M
2.25%91M
3.45%90M
Payables
38.57%309M
-7.63%230M
-7.63%230M
139.13%165M
73.10%296M
-2.19%223M
-34.99%249M
-34.99%249M
-64.62%69M
-35.47%171M
-accounts payable
38.57%309M
-46.03%68M
-46.03%68M
139.13%165M
73.10%296M
-2.19%223M
-54.01%126M
-54.01%126M
-64.62%69M
-35.47%171M
-Total tax payable
----
31.71%162M
31.71%162M
----
----
----
12.84%123M
12.84%123M
----
----
Current accrued expenses
8.94%1.11B
7.69%700M
7.69%700M
5.69%1.06B
30.24%1.16B
46.69%1.02B
32.65%650M
32.65%650M
52.36%1B
26.67%893M
Pension and other retirement benefit plans
----
17.37%196M
17.37%196M
----
----
----
11.33%167M
11.33%167M
----
----
Current deferred liabilities
18.19%6.74B
17.87%6.82B
17.87%6.82B
22.91%5.46B
21.72%5.62B
20.20%5.7B
24.14%5.79B
24.14%5.79B
27.18%4.44B
25.15%4.61B
Other current liabilities
----
-26.82%311M
-26.82%311M
----
----
----
88.05%425M
88.05%425M
----
----
Current liabilities
17.42%8.26B
13.48%8.36B
13.48%8.36B
21.16%6.79B
24.36%7.17B
22.08%7.03B
22.65%7.37B
22.65%7.37B
26.38%5.6B
21.59%5.77B
Non current liabilities
Long term debt and capital lease obligation
5.27%2.3B
-0.87%2.18B
-0.87%2.18B
-1.38%2.14B
1.65%2.16B
1.87%2.18B
2.76%2.2B
2.76%2.2B
6.53%2.17B
3.16%2.12B
-Long term debt
0.13%1.49B
0.07%1.49B
0.07%1.49B
0.13%1.49B
0.07%1.49B
0.13%1.49B
0.13%1.49B
0.13%1.49B
0.13%1.49B
0.13%1.49B
-Long term capital lease obligation
16.31%806M
-2.83%687M
-2.83%687M
-4.69%650M
5.35%669M
5.80%693M
8.77%707M
8.77%707M
23.77%682M
11.01%635M
Non current deferred liabilities
17.00%117M
17.28%95M
17.28%95M
67.39%77M
88.89%85M
88.68%100M
15.71%81M
15.71%81M
-26.98%46M
-22.41%45M
Other non current liabilities
31.71%162M
22.88%145M
22.88%145M
52.69%142M
101.59%127M
108.47%123M
110.71%118M
110.71%118M
78.85%93M
26.00%63M
Total non current liabilities
7.11%2.58B
0.92%2.42B
0.92%2.42B
2.17%2.36B
6.23%2.37B
6.70%2.4B
5.84%2.39B
5.84%2.39B
7.30%2.31B
3.00%2.23B
Total liabilities
14.79%10.83B
10.40%10.77B
10.40%10.77B
15.62%9.14B
19.31%9.54B
17.76%9.44B
18.05%9.76B
18.05%9.76B
20.14%7.91B
15.76%8B
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
----
----
Additional paid-in capital
20.14%7.77B
20.73%7.4B
20.73%7.4B
21.87%7.13B
23.43%6.77B
24.78%6.47B
27.84%6.13B
27.84%6.13B
29.73%5.85B
31.03%5.49B
Retained earnings
63.66%3.95B
68.87%3.49B
68.87%3.49B
75.31%3.11B
74.80%2.68B
395.08%2.42B
512.13%2.07B
512.13%2.07B
843.62%1.77B
1,318.52%1.53B
Less: Treasury stock
114.00%1.51B
127.85%1.22B
127.85%1.22B
228.37%926M
--704M
--707M
--535M
--535M
--282M
----
Gains losses not affecting retained earnings
-2.94%-70M
-83.78%-68M
-83.78%-68M
87.26%-20M
14.29%-78M
2.86%-68M
63.73%-37M
63.73%-37M
8.72%-157M
9.00%-91M
Total stockholders'equity
25.06%10.14B
25.97%9.61B
25.97%9.61B
29.35%9.29B
25.12%8.67B
44.77%8.11B
51.59%7.63B
51.59%7.63B
58.79%7.18B
65.14%6.93B
Total equity
25.06%10.14B
25.97%9.61B
25.97%9.61B
29.35%9.29B
25.12%8.67B
44.77%8.11B
51.59%7.63B
51.59%7.63B
58.79%7.18B
65.14%6.93B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 29.10%6.6B18.15%5.76B18.15%5.76B30.19%5.3B14.03%5.41B3.99%5.11B13.95%4.88B13.95%4.88B2.81%4.07B23.81%4.75B
-Cash and cash equivalents 63.86%3.37B21.45%2.3B21.45%2.3B69.51%1.89B29.83%2.16B11.02%2.06B29.05%1.9B29.05%1.9B-10.90%1.11B-0.06%1.66B
-Short term investments 5.70%3.23B16.04%3.46B16.04%3.46B15.40%3.41B5.51%3.25B-0.26%3.05B6.05%2.98B6.05%2.98B9.12%2.96B42.12%3.08B
Receivables 4.06%1.36B10.02%2.24B10.02%2.24B11.99%1.31B38.88%1.52B17.76%1.31B18.03%2.04B18.03%2.04B30.07%1.17B28.14%1.09B
-Accounts receivable 4.06%1.36B10.02%2.24B10.02%2.24B11.99%1.31B38.88%1.52B17.76%1.31B18.03%2.04B18.03%2.04B30.07%1.17B28.14%1.09B
Current deferred assets 12.45%533M12.15%517M12.15%517M20.38%502M20.20%482M20.92%474M24.93%461M24.93%461M26.36%417M24.15%401M
Other current assets 62.03%781M65.76%668M65.76%668M50.00%591M67.96%608M51.10%482M43.93%403M43.93%403M34.93%394M12.42%362M
Total current assets 25.75%9.27B18.13%9.19B18.13%9.19B27.29%7.7B21.48%8.02B9.47%7.37B16.88%7.78B16.88%7.78B10.41%6.05B23.84%6.6B
Non current assets
Net PPE 25.47%2.7B18.48%2.46B18.48%2.46B25.34%2.38B26.44%2.28B19.40%2.15B19.48%2.07B19.48%2.07B26.96%1.9B21.89%1.8B
-Gross PPE 22.88%4.27B18.05%3.96B18.05%3.96B25.31%3.86B25.13%3.66B21.36%3.47B23.00%3.36B23.00%3.36B26.61%3.08B22.68%2.92B
-Accumulated depreciation -18.67%-1.57B-17.35%-1.51B-17.35%-1.51B-25.25%-1.48B-23.01%-1.37B-24.69%-1.32B-29.15%-1.29B-29.15%-1.29B-26.07%-1.18B-23.97%-1.12B
Investments and advances 18.25%4.34B28.35%4.11B28.35%4.11B30.28%3.83B26.72%3.47B63.73%3.67B51.30%3.2B51.30%3.2B93.74%2.94B70.40%2.74B
-Financial asset investment 18.25%4.34B28.35%4.11B28.35%4.11B30.28%3.83B26.72%3.47B63.73%3.67B51.30%3.2B51.30%3.2B93.74%2.94B70.40%2.74B
-Including:Available-for-sale securities 18.25%4.34B28.35%4.11B28.35%4.11B30.28%3.83B26.72%3.47B63.73%3.67B51.30%3.2B51.30%3.2B93.74%2.94B70.40%2.74B
Goodwill and other intangible assets 6.01%1.54B1.86%1.48B1.86%1.48B4.08%1.51B44.17%1.46B39.90%1.45B37.78%1.46B37.78%1.46B40.66%1.45B-4.53%1.01B
-Goodwill 6.62%1.31B3.41%1.27B3.41%1.27B7.23%1.29B50.91%1.24B48.72%1.22B49.39%1.23B49.39%1.23B51.64%1.2B2.24%821M
-Other intangible assets 2.68%230M-6.70%209M-6.70%209M-11.57%214M15.18%220M5.66%224M-3.45%224M-3.45%224M3.42%242M-25.68%191M
Non current deferred assets -1.45%2.37B-1.77%2.38B-1.77%2.38B3.37%2.39B2.02%2.38B69.94%2.41B76.12%2.43B76.12%2.43B84.37%2.31B81.59%2.33B
Other non current assets 52.19%764M68.81%763M68.81%763M41.11%635M37.39%599M28.72%502M25.91%452M25.91%452M33.93%450M28.24%436M
Total non current assets 15.04%11.7B16.50%11.2B16.50%11.2B18.72%10.74B22.43%10.19B47.85%10.17B44.62%9.61B44.62%9.61B60.66%9.05B44.19%8.32B
Total assets 19.54%20.97B17.23%20.38B17.23%20.38B22.15%18.43B22.01%18.21B28.87%17.54B30.74%17.39B30.74%17.39B35.88%15.09B34.42%14.92B
Liabilities
Current liabilities
Current debt and capital lease obligation 11.96%103M14.61%102M14.61%102M16.48%106M8.89%98M-5.15%92M-7.29%89M-7.29%89M2.25%91M3.45%90M
-Current capital lease obligation 11.96%103M14.61%102M14.61%102M16.48%106M8.89%98M-5.15%92M-7.29%89M-7.29%89M2.25%91M3.45%90M
Payables 38.57%309M-7.63%230M-7.63%230M139.13%165M73.10%296M-2.19%223M-34.99%249M-34.99%249M-64.62%69M-35.47%171M
-accounts payable 38.57%309M-46.03%68M-46.03%68M139.13%165M73.10%296M-2.19%223M-54.01%126M-54.01%126M-64.62%69M-35.47%171M
-Total tax payable ----31.71%162M31.71%162M------------12.84%123M12.84%123M--------
Current accrued expenses 8.94%1.11B7.69%700M7.69%700M5.69%1.06B30.24%1.16B46.69%1.02B32.65%650M32.65%650M52.36%1B26.67%893M
Pension and other retirement benefit plans ----17.37%196M17.37%196M------------11.33%167M11.33%167M--------
Current deferred liabilities 18.19%6.74B17.87%6.82B17.87%6.82B22.91%5.46B21.72%5.62B20.20%5.7B24.14%5.79B24.14%5.79B27.18%4.44B25.15%4.61B
Other current liabilities -----26.82%311M-26.82%311M------------88.05%425M88.05%425M--------
Current liabilities 17.42%8.26B13.48%8.36B13.48%8.36B21.16%6.79B24.36%7.17B22.08%7.03B22.65%7.37B22.65%7.37B26.38%5.6B21.59%5.77B
Non current liabilities
Long term debt and capital lease obligation 5.27%2.3B-0.87%2.18B-0.87%2.18B-1.38%2.14B1.65%2.16B1.87%2.18B2.76%2.2B2.76%2.2B6.53%2.17B3.16%2.12B
-Long term debt 0.13%1.49B0.07%1.49B0.07%1.49B0.13%1.49B0.07%1.49B0.13%1.49B0.13%1.49B0.13%1.49B0.13%1.49B0.13%1.49B
-Long term capital lease obligation 16.31%806M-2.83%687M-2.83%687M-4.69%650M5.35%669M5.80%693M8.77%707M8.77%707M23.77%682M11.01%635M
Non current deferred liabilities 17.00%117M17.28%95M17.28%95M67.39%77M88.89%85M88.68%100M15.71%81M15.71%81M-26.98%46M-22.41%45M
Other non current liabilities 31.71%162M22.88%145M22.88%145M52.69%142M101.59%127M108.47%123M110.71%118M110.71%118M78.85%93M26.00%63M
Total non current liabilities 7.11%2.58B0.92%2.42B0.92%2.42B2.17%2.36B6.23%2.37B6.70%2.4B5.84%2.39B5.84%2.39B7.30%2.31B3.00%2.23B
Total liabilities 14.79%10.83B10.40%10.77B10.40%10.77B15.62%9.14B19.31%9.54B17.76%9.44B18.05%9.76B18.05%9.76B20.14%7.91B15.76%8B
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
-Preferred stock --0--0--0--0--0--0--0--0--------
Additional paid-in capital 20.14%7.77B20.73%7.4B20.73%7.4B21.87%7.13B23.43%6.77B24.78%6.47B27.84%6.13B27.84%6.13B29.73%5.85B31.03%5.49B
Retained earnings 63.66%3.95B68.87%3.49B68.87%3.49B75.31%3.11B74.80%2.68B395.08%2.42B512.13%2.07B512.13%2.07B843.62%1.77B1,318.52%1.53B
Less: Treasury stock 114.00%1.51B127.85%1.22B127.85%1.22B228.37%926M--704M--707M--535M--535M--282M----
Gains losses not affecting retained earnings -2.94%-70M-83.78%-68M-83.78%-68M87.26%-20M14.29%-78M2.86%-68M63.73%-37M63.73%-37M8.72%-157M9.00%-91M
Total stockholders'equity 25.06%10.14B25.97%9.61B25.97%9.61B29.35%9.29B25.12%8.67B44.77%8.11B51.59%7.63B51.59%7.63B58.79%7.18B65.14%6.93B
Total equity 25.06%10.14B25.97%9.61B25.97%9.61B29.35%9.29B25.12%8.67B44.77%8.11B51.59%7.63B51.59%7.63B58.79%7.18B65.14%6.93B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

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Berkshire 2025 highlights: Stepping aside as CEO, trade and market volatility
$Berkshire Hathaway-A (BRK.A.US)$ held its highly anticipated annual shareholders meeting Saturday. Here are some key takeaways from the eve Show More