ServiceNow Inc
0L5N.L
$892.32 -1.74%
Exchange: LSE | Sector: Technology | Industry: Software Services
Q4 2024
Published: Jan 30, 2025

Earnings Highlights

  • Revenue of $2.96B up 21.3% year-over-year
  • EPS of $1.84 increased by 29.2% from previous year
  • Gross margin of 78.7%
  • Net income of 384.00M
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ServiceNow Inc (0L5N.L) QQ4 2024 Results Analysis – Cloud Platform Leadership, Strong FCF Amid Premium Valuation

Executive Summary

ServiceNow reported a solid Q4 2024, underscoring the continued strength of the Now Platform across enterprise workflows. Revenue of $2.957 billion rose 21.3% year-over-year and 5.7% quarter-over-quarter, while gross margins held near 78.7%, supporting operating leverage even as operating expenses remained elevated. Net income of $384 million and an EPS of $1.86 (diluted $1.84) contributed to a free cash flow generation of approximately $1.382 billion, with operating cash flow of $1.635 billion and free cash flow per share of about $6.71. The balance sheet remains highly liquid, with cash and short-term investments totaling roughly $5.762 billion and a net cash position of about $26 million, against modest debt of $2.177 billion. The quarterly results reinforce ServiceNow’s position as a platform-centric, enterprise-grade automation leader, leveraging strong margin discipline and robust cash generation to fund R&D and GTM investments.

Key Performance Indicators

Revenue

2.96B
QoQ: 5.72% | YoY:21.34%

Gross Profit

2.33B
78.66% margin
QoQ: 5.11% | YoY:21.08%

Operating Income

374.00M
QoQ: -10.53% | YoY:38.52%

Net Income

384.00M
QoQ: -11.11% | YoY:30.17%

EPS

1.86
QoQ: -11.43% | YoY:29.17%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $2.957B in Q4 2024, YoY +21.34%, QoQ +5.72%. Gross Profit: $2.326B, Gross Margin 78.66%, YoY +21.08%, QoQ +5.11%. Operating Income: $374M, Margin 12.65%, YoY +38.52%, QoQ -10.53%. Net Income: $384M, Margin 12.99%, YoY +30.17%, QoQ -11.11%. EPS: $1.86 (GAAP), Diluted $1.84, YoY +29.17%, QoQ -11.43%. Cash Flow and liquidity: Operating cash flow $1.635B; Free cash flow $1.382B; Capex $253M; FCF Margin ~46.8% of revenue. Balance sheet highlights: Total assets $20.383B; cash and short-term i...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 3,407.00 2.40 +21.8% View
Q2 2025 3,215.00 1.84 +22.4% View
Q1 2025 3,088.00 2.20 +18.6% View
Q4 2024 2,957.00 1.84 +21.3% View
Q3 2024 2,797.00 2.07 +22.3% View