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Resmed Inc (RMD)

Resmed Inc (RMD)
220.42 -2.49 (-1.12%) 14:37 ET [NYSE]
220.38 x 48 220.68 x 15
Realtime by (Cboe BZX)
220.38 x 48 220.68 x 15
Realtime - - (-) -
Financial Summary for Tue, Mar 25th, 2025
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ResMed, Inc. holds a major position as designer, manufacturer, as well as a distributor in the worldwide market for generators, masks, and related accessories for the treatment of sleep-disordered breathing (SDB) and other respiratory disorders. SDB includes obstructive sleep apnea (OSA) and other respiratory disorders that occur during sleep. The company currently has two operating segments, which are the Sleep and Respiratory Care segment and the Software-as-a-Service segment.

Fiscal Year End Date: 06/30

(Values in U.S. Thousands) Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021 Jun, 2020
Sales 4,685,300 4,222,990 3,578,130 3,196,830 2,957,010
Sales Growth +10.95% +18.02% +11.93% +8.11% +13.44%
Net Income 1,020,950 897,560 779,440 474,510 621,670
Net Income Growth +13.75% +15.15% +64.26% -23.67% +53.65%
(Values in U.S. Thousands) Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021 Jun, 2020
Total Assets 6,872,390 6,751,710 5,095,850 4,728,130 4,587,380
Total Assets Growth +1.79% +32.49% +7.78% +3.07% +11.68%
Total Liabilities 2,008,350 2,621,810 1,735,100 1,842,450 2,090,350
Total Liabilities Growth -23.40% +51.10% -5.83% -11.86% +2.70%
(Values in U.S. Thousands) Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021 Jun, 2020
Operating Cash Flow 1,401,260 693,300 351,150 736,720 802,260
Operating Cash Flow Growth +102.11% +97.44% -52.34% -8.17% +74.77%
Net Cash Flow 10,470 -45,820 -21,570 -167,880 316,030
Change in Net Cash Flow +122.85% -112.42% +87.15% -153.12% +860.24%
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