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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

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Scores
Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
View as %
Resmed Inc logo

Resmed Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
--
-120.38%
-$105.78M
-$105.83M
-$145.46M
2025-12-31
-$66.00M
2025-03-31
-$145.46M
2025-12-31
Investments In Property, Plant & Equipment
--
-45.26%
-$34.48M
-$34.17M
-$45.78M
2025-09-30
-$23.79M
2025-03-31
-$34.56M
2025-12-31
Debt Repayments
--
0%
-$2.50M
-$2.50M
-$5.00M
2025-06-30
$0.00
2025-03-31
-$5.00M
2025-12-31
Cash From Operating Activities
-50.68%
-41.29%
$478.62M
$498.04M
$339.75M
2025-12-31
$578.66M
2025-03-31
$339.75M
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
Cash From Operating Activities
339,745
457,321
538,766
578,661
42,069,000
5937537
6040076
6698199
4659087
7134098
9432411
8128971
2674428
7703396
3369108
4831985
7868986
1628292
Net Income
392,593
348,536
379,705
365,041
42,069,000
3462957
8490724
8844115
4030010
8114614
8883014
6269908
1729523
2063404
9666393
2160107
9741287
9481070
Stock Based Compensation
28,938
21,160
24,751
24,120
42,069,000
3752088
8122159
2406180
231571
8771949
3428528
7761144
6864120
9667668
730385
9933689
2483100
4145375
Depreciation & Amortization
49,885
47,698
63,628
43,676
42,069,000
4673178
3075848
418132
1119993
4149637
6131168
8112841
9893594
7408208
1392987
5342653
7471589
9602905
Deferred Income Taxes
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Change In Working Capital
-142,295
25,255
58,757
132,278
42,069,000
1774235
7146426
5006772
1289887
8828473
3643204
3945678
3463351
6483578
7316625
4689705
8797442
2614833
Cash Interest Paid
6,614
6,852
6,912
14,218
42,069,000
7898087
9045742
2918819
715820
3376189
9992946
1722175
8160822
2500740
976915
1772153
4999637
1784294
Cash Taxes Paid
147,546
61,873
16,178
-26,516
42,069,000
3174394
4616547
403042
294230
2138794
603766
7188030
2664870
796841
9101751
6127375
621699
615177
Other Non Cash Items
39,562
35,832
36,676
37,666
42,069,000
6958084
6123580
4166270
3973302
4676786
3097945
6551980
6730849
8399459
5391825
395090
139336
967359
Cash From Investing Activities
-50,942
-52,578
-133,713
-31,786
42,069,000
8073086
5802849
2500375
806049
590217
2168358
852512
8741592
3797563
8510241
1712326
3937787
2757179
Investments In Property, Plant & Equipment
-34,555
-45,779
-33,778
-23,788
42,069,000
8150500
8602352
5860800
3395845
7571212
9973125
5379537
3978683
9385592
4280189
4931283
4983588
4822630
Other Investing Activities
-16,387
-6,799
-99,935
-7,998
42,069,000
7995246
4804685
7506565
5799385
9515904
3390384
4820979
2206089
2396032
9358454
1948212
3162011
6795642
Cash From Financing Activities
-258,349
-230,274
-163,887
-144,071
42,069,000
7683151
8726419
897284
7305910
5181279
3654578
2799457
3357744
8962073
2251677
2054343
1537778
8818068
Debt Repayments
-5,000
0
-5,000
0
42,069,000
1736433
8091227
6433124
8351087
8286232
7736668
3313857
5840742
1098398
4891687
6053418
814777
2633945
Net Common Stock Issued
-145,457
-141,805
-69,852
-66,003
42,069,000
5500842
7744581
2372273
3243515
1202145
7159965
8430593
4020167
3742422
8484184
640627
314171
9679599
Dividends Paid
87,584
87,750
77,590
77,704
42,069,000
6880237
4357846
3471926
3712908
7531146
9800311
2003341
4411991
7442410
7753927
5882541
4148497
609669
Net Change In Cash
33,221
174,398
276,739
410,767
42,069,000
9882085
6271864
5102269
9983911
8877401
3364157
2241070
485198
3139030
8095620
5354789
4540177
1597357
Free Cash Flow
305,190
411,542
504,988
554,873
42,069,000
234534
7310250
7906074
890510
6244704
3001230
5117781
9371892
3998114
6675058
8177041
3624777
7028576
Cash From Operating Activities
339,745
457,321
538,766
578,661
42,069,000
3954858
4790810
1506273
489405
6631552
4761925
2019953
8411339
5091467
891306
6655496
5862336
8360797
Investments In Property, Plant & Equipment
-34,555
-45,779
-33,778
-23,788
42,069,000
475706
5398042
7536591
4253878
4679425
6190528
704505
4523678
6008897
8956056
8369252
5340825
5961799
FCF excluding SBC
276,252
390,382
480,237
530,753
42,069,000
6137945
5383187
5190264
3450267
2220398
7421597
6528176
6035525
6694478
8847877
8794645
4950658
9835478
SBC as % of FCF
9.48%
5.14%
4.90%
4.35%
42K%
7272196
3023548
5211112
8140010
8458785
6757061
3984254
6058319
942493
5410129
1130283
6717074
5072029