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$218.27-0.60%
as of market close, Sep 11, 2026
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RMD financial statements

The full income statement, balance sheet, and cash-flow statement for ResMed Inc. (RMD), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.

Shares outstanding (point-in-time)

2024-06 146.9M2024-09 146.8M2024-12 146.9M2025-03 146.6M2025-06 146.4M2025-09 146.0M2025-12 145.7M2026-03 145.1M2026-06 144.3M-1.8% over 8 periods

SEC-filed end-of-period counts (cover pages and balance sheets, split-adjusted) — the series realized buyback yield is computed from. The weighted-average share lines in the statements below lag these by design: an average over the year sits near the midpoint of an ongoing buyback.

As-reported fiscal years.
Line itemTrendFY2026FY2025FY2024FY2023FY2022
Income Statementas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
5.65B+9.9%5.15B+9.8%4.69B+10.9%4.22B+18.0%3.58B+11.9%
Lease income
90.1M-3.6%
3.45B+13.0%3.05B+15.1%2.66B+12.7%2.36B+16.4%2.02B+10.1%
Cost of revenue2.20B+5.3%2.09B+3.0%2.03B+8.7%1.87B+20.2%1.55B+14.4%
1.57B+14.3%1.37B+2.6%1.34B+9.1%1.22B+19.5%1.02B+9.5%
Research & development378M+14.2%331M+7.7%308M+6.9%288M+13.4%254M+12.6%
Selling, general & administrative1.12B+12.7%993M+8.3%917M+4.9%874M+18.5%738M+10.0%
Restructuring21.7M0.00-100.0%64.2M+599.9%9.18M0.00-100.0%
Amortization of intangibles31.8M-1.0%32.1M-2.6%33.0M+8.4%30.4M-23.3%39.6M-12.1%
Operating income1.89B+11.9%1.69B+27.7%1.32B+16.6%1.13B+13.2%1.00B+10.7%
Net interest income-47.4M-112.3%-22.3M+5.6%
Other non-operating income-9.15M-74.2%-5.26M-50.4%-3.49M+38.8%-5.71M-278.7%3.20M+962.1%
Equity-method income6.96M+90.9%3.64M+297.2%-1.85M+74.6%-7.26M+14.4%-8.49M+24.3%
Gain (loss) on equity securities-15.0M-45.8%-10.3M-154.6%-4.04M-140.8%9.92M+181.3%-12.2M-184.1%
Pre-tax income1.92B+14.4%1.68B+32.6%1.26B+14.8%1.10B+14.7%960M+8.7%
Income tax396M+43.1%277M+13.5%244M+19.5%204M+12.7%181M-55.8%
Net income1.52B+8.8%1.40B+37.2%1.02B+13.7%898M+15.2%779M+64.3%
$10.43+9.7%$9.51+37.4%$6.92+13.6%$6.09+14.9%$5.30+63.6%
EPS (basic)$10.47+9.6%$9.55+37.6%$6.94+13.4%$6.12+14.6%$5.34+63.3%
Weighted-avg shares (basic)146M-0.8%147M-0.2%147M+0.2%147M+0.5%146M+0.5%
Weighted-avg shares (diluted)146M-0.9%147M-0.1%148M+0.1%147M+0.3%147M+0.4%
Dividends per share$2.40+13.2%$2.12+10.4%$1.92+9.1%$1.76+4.8%$1.68+7.7%
Balance Sheetas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
4.32B+23.4%3.51B+48.7%2.36B-0.4%2.37B+22.6%1.93B+22.7%
Cash & equivalents1.47B+21.5%1.21B+407.4%238M+4.6%228M-16.7%274M-7.3%
Accounts receivable1.04B+10.3%939M+12.2%837M+18.8%705M+22.4%576M-6.2%
Inventory946M+2.0%928M+12.8%822M-17.6%998M+34.2%744M+62.8%
Prepaid expenses416M-3.0%429M-6.7%460M+5.2%437M+29.3%338M+62.3%
Other current assets185M+12.7%164M+16.0%142M-21.2%180M+37.1%131M+1.9%
8.97B+9.7%8.17B+18.9%6.87B+1.8%6.75B+32.5%5.10B+7.8%
Property, plant & equipment582M+5.6%551M+0.5%548M+1.9%538M+8.0%498M+7.5%
Operating lease right-of-use153M-8.6%167M+10.8%151M+18.1%128M-3.3%132M+2.9%
Goodwill2.91B-4.5%3.05B+7.2%2.84B+2.6%2.77B+43.1%1.94B+0.4%
Intangible assets453M-2.6%465M-4.3%486M-12.0%552M+59.7%346M-11.9%
Other non-current assets215M+15.5%186M-34.6%284M+8.2%262M+52.8%172M+6.7%
Total non-current assets4.64B-0.6%4.67B+3.4%4.51B+3.0%4.38B+38.5%3.16B+0.3%
1.40B+36.9%1.02B+11.9%911M+20.1%759M+10.0%689M-24.4%
Accounts payable309M+11.1%278M+17.0%238M+57.7%151M-5.3%159M+15.4%
Accrued liabilities495M+23.0%402M+6.5%378M+3.3%366M+6.1%345M+7.5%
Deferred revenue163M-1.9%166M+8.8%153M+10.5%138M+27.1%109M-0.9%
Short-term & current debt260M+2525.8%9.90M+0.0%9.90M-0.0%9.90M-0.1%9.92M-17.4%
Current lease liability29.1M-4.5%30.5M+20.7%25.3M+15.3%21.9M+0.3%21.9M-7.3%
2.38B+7.9%2.21B+9.9%2.01B-23.4%2.62B+51.1%1.74B-5.8%
Long-term debt399M-39.3%658M-5.6%697M-51.3%1.43B+87.0%765M+19.0%
Deferred revenue (non-current)171M+9.0%157M+14.2%137M+15.2%119M+24.9%95.5M+4.3%
Non-current lease liability137M-10.2%153M+8.2%141M+21.0%117M-3.0%120M+4.9%
Operating lease liability (total)167M-9.2%184M+10.1%167M+20.1%139M-2.5%142M+2.9%
Other non-current liabilities213M+50.5%142M+234.9%42.3M-38.0%68.2M+1041.0%5.97M-12.2%
Total non-current liabilities985M-17.0%1.19B+8.2%1.10B-41.1%1.86B+78.2%1.05B+12.4%
6.59B+10.3%5.97B+22.7%4.86B+17.8%4.13B+22.9%3.36B+16.5%
Preferred stock0.000.000.000.000.00
Additional paid-in capital2.19B+7.7%2.03B+7.2%1.90B+7.0%1.77B+5.3%1.68B+3.7%
Retained earnings7.26B+19.3%6.08B+21.8%4.99B+17.4%4.25B+17.7%3.61B+17.3%
Treasury stock2.78B+34.0%2.07B+16.9%1.77B+9.2%1.62B+0.0%1.62B+0.0%
Accumulated other comprehensive income-82.5M-10.5%-74.7M+70.3%-252M+7.7%-273M+12.9%-313M-61.6%
Total liabilities & equity8.97B+9.7%8.17B+18.9%6.87B+1.8%6.75B+32.5%5.10B+7.8%
Common shares issued191M+0.4%190M+0.4%190M+0.4%189M+0.3%188M+0.4%
Common shares outstanding144M-1.5%146M-0.4%147M-0.1%147M+0.4%146M+0.5%
Shares outstanding (cover)144M-1.5%146M-0.4%147M-0.1%147M+0.4%146M+0.5%
Cash Flowas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
1.81B+3.1%1.75B+25.0%1.40B+102.1%693M+97.4%351M-52.3%
Depreciation & amortization201M+1.4%198M+12.2%177M+7.1%165M+3.5%160M+1.8%
Intangible amortization31.8M-1.0%32.1M-2.6%33.0M+8.4%30.4M-23.3%39.6M-12.1%
Share-based compensation104M+13.8%91.7M+14.3%80.2M+12.7%71.1M+9.0%65.3M+2.1%
Deferred income taxes3.88M+106.4%-61.0M-22.3%-49.9M-9.8%-45.4M-284.4%-11.8M+28.8%
Change in receivables96.8M+26.2%76.7M-42.9%134M+26.1%107M+650.6%-19.3M-115.0%
Change in inventory9.92M-87.6%80.2M+146.6%-172M-169.2%249M-20.2%312M+1319.7%
-545M-172.5%-200M+25.8%-270M+76.7%-1.16B-404.5%-230M-45.1%
Capital expenditure156M+73.9%89.9M-9.6%99.5M-16.9%120M-11.2%135M+31.3%
Free cash flow1.65B-0.7%1.66B+27.6%1.30B+126.9%574M+165.2%216M-65.9%
Acquisitions351M+151.9%139M+4.3%133M-86.8%1.01B+2267.1%42.8M+9.5%
Purchases of investments28.5M+344.8%6.42M-49.7%12.8M-60.4%32.2M+55.5%20.7M-4.9%
Sales/maturities of investments2.75M-40.5%4.63M+362.8%1.00M-74.6%3.94M-42.1%6.80M
-1.01B-66.1%-606M+45.8%-1.12B-364.7%423M+429.4%-128M+83.2%
Long-term debt issued0.000.00-100.0%105M-90.2%1.07B+271.5%288M+220.0%
Long-term debt repaid10.0M-75.0%40.0M-95.2%835M+106.2%405M+144.0%166M-72.9%
Common stock issued74.5M+0.1%74.4M+40.2%53.1M+8.0%49.1M+3.7%47.4M+25.4%
Common stock repurchased700M+133.3%300M+100.0%150M0.000.00
Dividends paid350M+12.5%311M+10.1%282M+9.3%258M+5.3%245M+8.2%
FX effect on cash6.18M-76.0%25.8M+1600.8%-1.72M+19.9%-2.15M+85.1%-14.4M-178.0%
Net change in cash260M-73.2%971M+9175.0%10.5M+122.9%-45.8M-112.4%-21.6M+87.2%
Interest paid27.1M-4.8%28.4M-37.8%45.7M-3.5%47.4M+112.3%22.3M-7.0%
Income taxes paid357M+66.9%214M-23.1%278M+28.4%217M-54.6%478M+116.0%
Valuation Ratiosas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
Market cap28.1B-25.6%37.8B+34.3%28.1B-12.5%32.1B+4.7%30.7B-14.5%
P/E18.5×-31.4%27.0×-8.1%29.3×-18.0%35.8×-9.1%39.4×-48.0%
P/S5.1×-30.8%7.3×+19.7%6.1×-19.4%7.6×-11.3%8.6×-23.6%
P/B4.3×-31.6%6.3×+4.2%6.1×-21.9%7.8×-14.8%9.1×-26.6%
P/FCF16.0×-29.5%22.7×-11.9%25.8×-53.9%56.0×-60.5%141.9×+150.5%
Earnings yield5.4%+45.7%3.7%+8.8%3.4%+22.0%2.8%+10.0%2.5%+92.2%
FCF yield6.2%+41.8%4.4%+13.5%3.9%+117.1%1.8%+153.3%0.70%-60.1%
Dividend yield1.2%+50.7%0.82%-18.1%1.0%+24.5%0.81%+0.5%0.80%+26.6%
Source filing10-K10-K10-K10-K10-K

About this data

Source: RMD’s SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn’t file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all RMD filings on SEC EDGAR → Not investment advice.