← ServiceNow, Inc.

NOW

Free Cash Flow

Cash generated after capital expenditures.

Latest Free Cash Flow: $1.53B (2026Q1); +3.9% YoY; +27.5% CAGR (3y).

Revenue EPS Free Cash Flow Gross Margin FCF Margin P/E Ratio Cumulative FCF Shares Outstanding Rule of 40

Quarterly Free Cash Flow Data

Period Value
2023Q1 $737M
2023Q2 $448M
2023Q3 $175M
2023Q4 $1.34B
2024Q1 $1.21B
2024Q2 $358M
2024Q3 $469M
2024Q4 $1.38B
2025Q1 $1.47B
2025Q2 $526M
2025Q3 $578M
2025Q4 $2.00B
2026Q1 $1.53B

Enterprise SaaS Comparison

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Other NOW Charts

More quarter-by-quarter fundamentals for ServiceNow, Inc.

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