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RMD - Resmed Inc

362


$233.50

$2.89 (1.253%)
At market close

$233.84

$0.34 (0.143%)
After Hours 3/17/26, 11:00 PM
Stock Unlock LogoScore

4.12/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
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Resmed Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
8.38%
6.25%
33.12%
33.13%
32.1%
2025-03-31
34.11%
2025-12-31
34.11%
2025-12-31
Net Margin
7.03%
5.25%
27.06%
27.28%
26.15%
2025-03-31
27.53%
2025-12-31
27.53%
2025-12-31
Gross Margin
4.75%
3.56%
59.75%
59.69%
58.76%
2025-03-31
60.85%
2025-12-31
60.85%
2025-12-31
Free Cash Flow Margin
7.98%
5.96%
32.37%
32.5%
31.06%
2025-03-31
33.41%
2025-09-30
32.91%
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
Margins
Gross Margin
60.85%
60.05%
59.33%
58.76%
42K%
3590411
1674700
2956880
8559167
6803886
4595864
5680296
4217209
6597891
420040
1762456
8675505
1812896
SGA Margin
19.41%
19.23%
19.26%
19.28%
42K%
9483678
9038004
4166049
1774453
6478873
3957723
6436922
557265
3819115
5255783
6582147
3678094
2840904
Operating Margin
34.11%
33.49%
32.76%
32.10%
42K%
4300698
5671851
4075280
1985289
4286855
5011088
3572867
88951
7315227
2921173
4892393
8609173
3874107
EBITDA Margin
37.90%
37.15%
36.62%
35.88%
42K%
8411963
4553209
4061948
4845263
2202033
329130
2883145
3183765
519597
4843237
4835266
4330511
5128137
Net Margin
27.53%
27.35%
27.22%
26.15%
42K%
4601382
976074
2678048
8137713
7470039
9629663
216352
2196923
6623330
6762562
5119830
5172058
6097761
Free Cash Flow Margin
32.91%
33.41%
32.08%
31.06%
42K%
9820067
9338087
3920411
4221848
7847859
9996534
958218
6786147
4834888
5708046
1217822
343973
1143219
Operating Cash Flow Margin
35.47%
35.82%
34.04%
32.92%
42K%
8208391
4081536
2978197
7910953
2726042
6748537
8526276
3352293
9207566
6317718
4389637
85613
740378
Valuation Metrics
Market Cap
35,158,902
39,948,355
37,829,867
32,820,613
42,069,000
3729026
7981594
1948796
879823
9606109
135831
619306
4959215
284344
4434901
2940084
1489806
6585684
Enterprise Value
34,405,662
39,233,067
37,288,709
32,560,934
42,069,000
9958387
5632382
7919663
3603469
2071422
2591676
7089397
9182503
2972176
2228040
6822573
1889845
4198787
Price to Sales
6.51
7.6
7.35
6.54
42,069
3044441
9646136
907082
2979998
4109633
3079753
6599847
244360
8401377
1235479
3549559
6566678
9477539
Price to Gross
10.7
12.65
12.39
11.12
42,069
9080331
3652830
8258040
4159223
5453037
9900092
650281
6168148
6912020
3962663
2757220
6701007
2399884
Price to Operating Cash Flow
18.36
21.21
21.6
19.86
42,069
4788392
1468157
966341
5546637
8550036
7618873
9452094
2051193
5830742
9038195
6413565
5009616
6323476
Price to Operating Income
19.09
22.69
22.44
20.36
42,069
3487581
8950741
2128643
7452219
161872
677242
1745069
1596655
4772587
2810918
654793
7886919
5021384
Price to Earnings
23.66
27.78
27.01
24.99
42,069
2874707
7844061
9759119
9443210
7069183
1300310
2605088
8485409
7445235
5471583
9444160
4582702
5440871
Price to Free Cash Flow
19.79
22.74
22.91
21.04
42,069
605731
6501565
9802311
8033877
4543412
3057155
5955349
5574036
463279
5187535
4966839
6884074
3043201
Management
Return On Assets
17.47%
17.31%
17.14%
17.36%
42K%
6579293
9269338
6947031
3845300
5025260
6095198
1901331
8767360
6261430
8047302
8903664
4552137
6329763
Return On Capital Employed
25.38%
24.97%
23.56%
24.33%
42K%
9517498
2050937
9790889
8785984
7193816
1294528
6282638
5198837
5991111
1370782
6974754
1784315
258921
Return On Equity
23.51%
23.49%
23.47%
23.68%
42K%
5325270
2672046
9468099
6850088
9519188
9285581
5454119
66038
5148393
6201246
7810343
6931405
5156862
Return On Invested Capital
27.09%
26.97%
25.96%
25.50%
42K%
5159844
8091083
2536499
8929825
3009750
8322543
7698063
9761815
3744936
6307843
4850641
3083923
5169644
Dividends
Dividends Per Share
2.26
2.19
2.12
2.07
42,069
8060283
4904936
5065074
6805805
5685158
3369883
3406626
1947741
3707958
6821756
7338650
9075463
7163580
Free Cash Flow Payout Ratio
19.72%
19.94%
21.32%
19.93%
42K%
306285
8029317
58552
6490277
4520745
5681692
1919215
6991688
7042127
2547880
8077962
2085407
3499043
Payout Ratio
23.58%
24.36%
25.12%
23.67%
42K%
7649524
2047664
846974
2320378
5870731
3751498
6960800
7269518
306897
7622514
7568482
7465014
3887910
Stock Based Compensation
SBC as a % of FCF
5.57%
5.28%
5.55%
5.66%
42K%
2244455
3423274
8218148
2081428
3286495
1730321
4086707
4843992
8104585
8726054
874157
9424057
7215101
SBC as a % of OCF
5.17%
4.92%
5.23%
5.34%
42K%
9343104
5882907
3080787
4191405
4206675
1644079
308309
4804650
9614485
1885292
8867257
2226054
1253912
SBC as a % of Revenue
1.83%
1.76%
1.78%
1.76%
42K%
1936811
2622675
6327624
8219771
9702027
5705035
410613
3911627
7844976
4553773
9589371
8088913
5812271
FCF Excl. SBC Yield
4.77%
4.17%
4.12%
4.48%
42K%
9916593
8685530
9185010
7514863
619067
1242334
1174545
3325228
2298646
246059
5168753
5780011
5101367
Per Share
Free Cash Flow Per Share
12.14
11.96
11.23
10.59
42,069
8537706
5636521
5492974
2269161
2797177
392999
4842463
558166
7275764
5104098
9964324
4485665
1026776
Operating Cash Flow Per Share
13.08
12.82
11.91
11.23
42,069
641251
1634943
6777751
8499266
1261544
2911786
9857871
3940794
2840648
2283724
6362398
1056059
210484
Revenue Per Share
36.88
35.79
34.99
34.11
42,069
2057847
1812569
2030536
8889327
8945529
9583105
6217025
3660133
7059700
9199547
1361388
801788
1859868
Financial Health
Debt to EBITDA Ratio
0.32
0.34
0.35
0.37
42,069
6759405
3793159
9665776
8999548
3322753
492407
4364141
8910841
5603583
6411812
2350249
3139445
3799526
Interest Coverage Ratio
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Net Debt
-753,240
-715,288
-541,158
-259,679
42,069,000
2971379
2188942
2777418
8525630
6119721
3929163
4366472
2834078
6560841
7222833
726592
8278501
1947650
Total Debt
663,829
668,560
668,292
673,032
42,069,000
7268172
4001045
2340046
848354
927061
5105877
2710616
7308835
4654984
461246
8924338
1438151
9147494