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RMD - Resmed Inc

362


$227.41

-$0.47 (-0.206%)
At market close

$225.01

-$2.41 (-1.058%)
After Hours 3/19/26, 9:14 PM
Stock Unlock LogoScore

4.12/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Balance Sheet Assets vs Liabilities
Metrics
2
KPIs
View as %
Resmed Inc logo

Resmed Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Liabilities
10.76%
8.01%
$2.15B
$2.18B
$2.02B
2025-03-31
$2.21B
2025-06-30
$2.18B
2025-12-31
Assets
16.75%
12.38%
$8.14B
$8.24B
$7.57B
2025-03-31
$8.50B
2025-12-31
$8.50B
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-302025-06-302025-03-312024-12-31
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2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-30
Assets
8,503,370
8,308,352
8,174,391
7,566,822
42,069,000
346524
8174817
8510492
7176898
7252501
9385170
5456978
7681689
3315540
2751321
2993434
1427298
4186059
Current Assets
3,818,801
3,625,736
3,505,605
3,208,420
42,069,000
1867411
4415664
5282974
6054901
6959355
8368229
1060477
631996
2882149
5591384
1674563
1862688
7996550
Cash & Cash Equivalents
1,417,069
1,383,848
1,209,450
932,711
42,069,000
4240192
8470550
682675
4475726
9169909
2006705
1504444
5009575
6614525
7064791
7853493
3183372
4761431
Short Term Investments
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Total Cash
1,417,069
1,383,848
1,209,450
932,711
42,069,000
1583862
9148667
7731303
6475404
1570737
5087100
8216304
9115848
5937379
5585480
4919836
6531078
5515579
Account Receivables
1,047,044
958,419
990,667
959,457
42,069,000
6455536
2486243
6766956
9881236
396176
8605962
2751541
6649678
5451863
8790229
922556
1637712
8828328
Other Receivables
0
0
0
31,691
42,069,000
194263
6390711
6030725
8924910
3577847
964943
8501407
7167715
3554382
432142
5193621
4933121
4917808
Net Receivables
1,047,044
958,419
990,667
991,148
42,069,000
2423526
8078708
7403649
9142523
5046560
1936965
6252462
2366816
9605267
1219434
8938984
5251636
4230367
Inventory
922,045
945,806
927,711
862,641
42,069,000
8599680
1665890
7349763
1599621
6685101
2598127
1044198
8179679
2716337
9547632
514849
2891703
6337901
Other Current Assets
432,643
337,663
377,777
421,920
42,069,000
5416765
5789788
2200152
458334
2535123
7143160
2938877
9255629
9751109
6653800
2111492
2489146
5856485
Non Current Assets
4,684,569
4,682,616
4,668,786
4,358,402
42,069,000
4739956
8203275
4623750
6739476
2330051
318165
6027904
4244169
5987182
6391034
7014879
4392157
4121856
Property Plant & Equipment
730,170
725,636
718,287
687,942
42,069,000
4840175
8310390
1961975
5831943
6556609
6616708
7698333
2071533
1862199
4682420
176447
1456942
2150034
Long Term Investments
79,363
77,599
76,178
68,896
42,069,000
1973839
1378281
550168
5428651
2587613
9639260
8204758
437883
4196273
8025946
7930771
7157969
2450919
Goodwill
3,044,370
3,044,123
3,046,680
2,848,921
42,069,000
2107719
6967656
9902994
2166084
6766173
444499
9717272
9125857
2802744
282520
6771352
1992717
3765278
Intangible Assets
430,240
447,067
464,861
430,109
42,069,000
7374499
6063610
4006524
5274284
1682343
4000825
2398525
7162450
1779535
1564883
3794577
7551880
9146251
Other Long Term Assets
339,016
373,886
348,199
308,389
42,069,000
7894367
3114566
9631373
9387391
9990965
8066085
8185198
2754086
446721
9808906
8554405
3325336
5534415
Liabilities
2,182,491
2,187,088
2,206,532
2,020,689
42,069,000
2856405
3239874
5115460
1615744
6747985
3158228
5438865
166965
162730
2176233
6318042
1303427
9756731
Current Liabilities
1,248,114
1,255,502
1,019,120
940,516
42,069,000
2811657
6171692
9608049
3076573
100872
4076189
4451897
3775899
8822227
84337
7514562
7059305
7252083
Current Debt
259,906
259,899
9,900
9,906
42,069,000
6834139
1590728
7298210
6957861
7961876
9526655
5548902
836216
2627752
7541602
5238162
2675861
321571
Short Term Debt
0
0
0
0
42,069,000
674762
3124082
1939912
4343669
5334261
1972466
3344875
1205710
3202979
2847467
554358
2664580
7028097
Accrued Liability
421,259
425,808
432,759
415,074
42,069,000
1983359
3556652
9113578
7289191
2711309
4770765
143776
2619526
7934645
6666451
7274381
180629
6954270
Accounts Payable
250,406
266,775
278,157
222,561
42,069,000
4039833
5588894
5940564
8963662
3372357
5521621
2764221
6590761
9802471
2094137
530712
9229807
4817710
Other Current Liabilities
316,543
303,020
298,304
292,975
42,069,000
4807084
2584692
1904874
5012092
673170
6351982
270230
7643550
3053126
5727696
5940651
4443681
3411498
Non-Current Liabilities
934,377
931,586
1,187,412
1,080,173
42,069,000
4133747
9107570
375305
4541614
1256452
1097926
6923327
1467419
466998
9856519
5483662
6517246
5668501
Long Term Debt
403,923
408,661
658,392
663,126
42,069,000
1009334
5869208
6695439
3070162
3182141
8372929
7490137
3818773
7041898
2164291
9295697
6410334
272814
Other Liabilities
452,460
445,354
451,338
338,064
42,069,000
3629556
5763006
2115134
2525283
6059014
6536195
8486307
4928436
2377933
8846913
8297868
5618495
3019821
Book Value
6,320,879
6,121,264
5,967,859
5,546,133
42,069,000
9168147
2884429
8125996
5538694
9829456
6867075
5830009
4815486
4058394
8301427
4283216
4051585
4754290
Retained Earnings
6,647,285
6,342,276
6,081,490
5,779,375
42,069,000
1539961
647137
6418362
9083149
1660699
9920081
3674500
1641901
2135459
8405053
8002119
6697895
775037
Total Tangible Assets
5,028,760
4,817,162
4,662,850
4,287,792
42,069,000
6846388
365396
2781625
6498447
9598946
1372749
7445277
3818664
7138230
6039014
4367737
2352921
3212157
Total Intangible Assets
3,474,610
3,491,190
3,511,541
3,279,030
42,069,000
6791268
4900188
9497386
2316060
4825274
14860
4766648
9688428
4485790
7665496
7880380
5814115
9051854
Tangible Book Value
2,846,275.27054
2,630,079.3358
2,456,316.05694
2,267,107.85688
42,069,000
3926751
5349937
1529424
1045022
662517
296980
6589659
5169866
4954572
3888176
4682649
9176328
1089451
Total Liabilities & Book Value
8,503,370
8,308,352
8,174,391
7,566,822
42,069,000
9230300
2901114
7190539
7343636
2085495
7022796
6245110
6391237
7727910
3000959
9436966
5234629
7256406