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Balance Sheet - RESMED INC (RMD)

$ (Billion, Million)
Jun-25 Jun-24 Jun-23 Jun-22 Jun-21 Jun-20 Jun-19 Jun-18 Jun-17 Jun-16 Jun-15 Jun-14 Jun-13 Jun-12 Jun-11 Jun-10 Jun-09 Jun-08 Jun-07 Jun-06
Total cash and short-term investments + 1,222.53 250.39 240.31 282.88 295.28 463.16 147.13 188.70 821.94 731.43 717.25 905.73 876.05 809.54 735.27 488.78 415.65 321.08 277.74 219.54
Accounts receivable, net 990.67 837.28 704.91 575.95 614.29 474.64 528.48 483.68 450.53 382.09 362.57 359.59 327.26 285.44 283.65 232.23 214.16 209.32 175.77 138.15
Inventories 927.71 822.25 998.01 743.91 457.03 416.92 349.64 268.70 268.32 224.46 246.86 165.42 145.85 174.35 200.78 185.64 157.43 158.25 157.20 116.19
Other current assets 377.78 459.83 437.02 337.91 208.15 168.75 120.11 124.63 103.22 81.74 117.51 125.47 99.70 91.82 72.76 78.70 66.04 50.60 58.08 36.40
Total current assets 3,505.61 2,357.72 2,367.83 1,931.48 1,574.76 1,523.46 1,145.37 1,065.72 1,644.00 1,419.72 1,444.18 1,556.21 1,448.85 1,361.15 1,292.45 985.34 853.28 739.24 668.80 510.28
Total non-current assets + 4,668.79 4,514.68 4,383.88 3,164.38 3,153.37 3,063.92 2,962.32 1,998.21 1,824.48 1,839.22 740.08 804.75 761.87 776.72 776.47 641.06 654.68 666.76 583.24 496.94
Total assets 8,174.39 6,872.39 6,751.71 5,095.85 4,728.13 4,587.38 4,107.68 3,063.92 3,468.49 3,258.94 2,184.26 2,360.96 2,210.72 2,137.87 2,068.92 1,626.40 1,507.97 1,406.00 1,252.04 1,007.22
Total current liabilities + 1,019.12 910.66 758.53 689.30 911.77 602.76 555.99 511.25 360.13 638.55 267.26 269.56 574.05 252.85 208.84 312.67 269.10 192.59 202.40 129.00
Total non-current liabilities + 1,187.41 1,097.70 1,863.27 1,045.80 930.68 1,487.59 1,479.50 493.69 1,148.10 925.55 329.69 333.16 26.16 277.39 129.35 26.19 123.68 131.63 118.42 140.07
Total liabilities 2,206.53 2,008.35 2,621.81 1,735.10 1,842.45 2,090.35 2,035.49 1,004.94 1,508.22 1,564.10 596.95 602.71 600.21 530.24 338.19 338.86 392.78 324.23 320.82 269.07
Total stockholders' equity + 5,967.86 4,864.04 4,129.90 3,360.75 2,885.68 2,497.03 2,072.19 2,058.98 1,960.27 1,694.83 1,587.31 1,758.25 1,610.52 1,607.63 1,730.74 1,287.54 1,115.19 1,081.78 931.22 738.15
Common shares outstanding 147 148 147 147 146 146 144 144 142 142 143 144 146 149 157 155 154 157 157 154
Show Quarterly Balance Sheet

Balance Sheet - RESMED INC (RMD)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 1,665.99 1,426.39 1,391.87 1,222.53 944.84 521.94 426.36 250.39 259.45 217.86 220.92 240.31 240.01 258.18 207.16 282.88 219.61 214.04 309.29 295.28 254.65 255.87 423.43 463.16 352.86 204.10 172.15 147.13 146.51 149.47 230.19 188.70 704.28 858.90 811.10 821.94 827.31 788.15 781.66 731.43 718.50 658.80 822.05 717.25 866.33 880.70 881.69 905.73 938.56 972.68 976.57 876.05 1,012.70 958.28 890.63 809.54 776.07 723.23 610.06 735.27 671.70 616.20 540.00 488.78 524.63 455.18 482.10 415.65 327.07 320.49 302.07 321.08 307.49 288.50 277.76 277.74 260.06 254.62 221.16 219.54 168.16
Accounts receivable, net 998.84 985.63 958.42 990.67 939.52 959.75 811.20 875.46 779.27 764.32 692.39 704.91 686.26 672.27 620.48 575.95 508.58 526.04 575.55 614.29 525.01 509.36 464.89 474.64 554.86 528.04 493.84 528.48 511.40 477.19 463.74 483.68 498.43 482.93 431.35 450.53 413.61 383.99 347.14 382.09 358.17 331.75 327.17 362.57 354.36 348.35 331.17 359.59 345.30 305.58 285.41 327.26 299.55 284.60 269.63 285.44 271.11 240.86 253.55 283.65 259.24 240.66 238.00 232.23 231.10 215.71 213.82 214.16 199.10 187.83 187.79 209.32 179.87 170.77 166.42 175.77 153.06 143.60 129.91 138.15 127.18
Inventories 911.88 922.05 945.81 927.71 862.64 882.10 917.98 822.25 829.46 1,129.81 958.23 998.01 1,011.27 988.96 864.85 743.91 664.94 592.15 506.64 457.03 484.06 474.82 478.01 416.92 358.77 377.78 357.03 349.64 319.93 296.51 282.56 268.70 288.70 296.06 300.47 268.32 259.87 253.11 253.83 224.46 232.93 237.46 258.61 246.86 225.19 218.06 197.23 165.42 164.89 178.08 175.36 145.85 166.48 194.80 193.17 174.35 183.49 184.42 187.95 200.78 205.00 214.89 214.21 185.64 197.81 182.87 175.11 157.43 147.67 143.06 145.60 158.25 169.49 166.40 167.07 157.20 156.92 141.88 122.97 116.19 108.74
Other current assets 492.84 494.05 337.66 377.78 461.42 472.38 485.58 421.65 504.66 266.09 444.86 437.02 412.39 410.73 341.20 337.91 329.01 234.58 227.91 208.15 226.44 211.44 178.30 168.75 203.27 190.57 138.08 120.11 124.85 140.37 111.76 124.63 113.00 116.45 115.02 103.22 104.57 95.03 92.23 81.74 90.50 122.83 124.97 117.51 106.89 111.38 124.66 125.47 115.15 107.80 120.59 99.70 101.14 92.17 96.79 91.82 95.18 98.25 91.24 72.76 66.71 73.51 76.30 78.70 76.82 73.88 68.78 66.04 54.22 55.01 51.35 50.60 62.22 64.12 61.45 58.08 68.56 50.82 43.92 36.40 28.54
Total current assets 4,064.06 3,818.80 3,625.74 3,505.61 3,208.42 2,836.18 2,641.13 2,357.72 2,351.30 2,378.08 2,304.59 2,367.83 2,337.82 2,325.16 2,033.70 1,931.48 1,704.30 1,547.24 1,586.26 1,574.76 1,466.15 1,451.49 1,542.61 1,523.46 1,469.76 1,300.49 1,161.10 1,145.37 1,102.70 1,063.54 1,088.24 1,065.72 1,604.41 1,754.35 1,657.95 1,644.00 1,605.36 1,520.27 1,474.85 1,419.72 1,400.09 1,350.84 1,532.80 1,444.18 1,552.77 1,558.49 1,534.75 1,556.21 1,563.90 1,564.13 1,557.93 1,448.85 1,579.88 1,529.85 1,450.22 1,361.15 1,325.85 1,246.77 1,142.80 1,292.45 1,202.66 1,145.25 1,068.51 985.34 1,030.36 927.63 939.81 853.28 728.06 706.39 686.81 739.24 719.07 689.80 672.70 668.80 638.60 590.91 517.95 510.28 432.62
Total non-current assets + 4,720.22 4,684.57 4,682.62 4,668.79 4,358.40 4,305.16 4,581.29 4,514.68 4,463.27 4,527.01 4,436.20 4,383.88 4,376.06 4,350.95 3,143.86 3,164.38 3,200.96 3,187.50 3,142.91 3,153.37 3,119.57 3,121.37 3,078.24 3,063.92 3,040.79 3,053.45 2,993.46 2,962.32 2,995.83 2,796.28 1,979.30 1,998.21 1,929.80 1,809.65 1,831.67 1,824.48 1,817.20 1,802.30 1,847.41 1,839.22 1,044.52 888.17 721.88 740.08 725.26 768.07 774.70 804.75 800.66 781.46 776.70 761.87 795.08 800.52 794.44 776.72 802.99 794.71 792.49 776.47 759.50 738.96 723.72 641.06 683.14 693.62 680.33 654.68 597.68 600.74 605.89 666.76 646.71 629.58 615.14 583.24 553.21 541.43 513.06 496.94 466.50
Total assets 8,784.29 8,503.37 8,308.35 8,174.39 7,566.82 7,141.33 7,222.42 6,872.39 6,814.56 6,905.09 6,740.79 6,751.71 6,713.88 6,676.10 5,177.56 5,095.85 4,905.26 4,734.74 4,729.17 4,728.13 4,585.72 4,572.86 4,620.84 4,587.38 4,510.54 4,353.94 4,154.56 4,107.68 4,098.53 3,859.82 3,067.54 3,063.92 3,534.21 3,564.00 3,489.62 3,468.49 3,422.56 3,322.57 3,322.26 3,258.94 2,444.61 2,239.01 2,254.68 2,184.26 2,278.03 2,326.56 2,309.45 2,360.96 2,364.57 2,345.59 2,334.64 2,210.72 2,374.96 2,330.38 2,244.66 2,137.87 2,128.84 2,041.48 1,935.29 2,068.92 1,962.16 1,884.21 1,792.23 1,626.40 1,713.49 1,621.25 1,620.14 1,507.97 1,325.74 1,307.13 1,292.70 1,406.00 1,365.78 1,319.38 1,287.84 1,252.04 1,191.81 1,132.34 1,031.01 1,007.22 899.12
Total current liabilities + 1,351.21 1,248.11 1,255.50 1,019.12 940.52 851.96 904.08 910.66 773.03 764.07 770.80 758.53 761.69 732.71 692.66 689.30 667.27 621.06 624.16 911.77 876.54 577.34 590.85 602.76 551.52 500.05 550.46 555.99 462.97 436.44 421.11 511.25 461.46 1,356.41 351.59 360.13 336.28 682.40 620.56 637.99 286.51 265.57 257.31 267.26 256.40 259.61 254.30 269.56 246.89 242.81 611.08 574.05 580.42 251.07 253.03 252.85 257.48 228.36 225.71 208.84 191.37 246.59 286.32 312.67 324.98 240.62 292.30 269.10 228.57 223.60 175.95 192.59 142.11 162.65 181.14 202.40 201.04 163.67 121.26 129.00 110.53
Total non-current liabilities + 941.16 934.38 931.59 1,187.41 1,080.17 1,036.37 1,123.31 1,097.70 1,411.61 1,659.16 1,719.61 1,863.27 2,019.68 2,205.26 1,251.44 1,045.80 959.20 967.84 1,078.96 930.68 999.95 1,130.54 1,351.13 1,487.59 1,702.59 1,595.79 1,486.85 1,479.50 1,614.23 1,467.33 746.17 493.69 1,005.78 188.06 1,088.50 1,148.10 1,231.33 930.03 929.14 923.89 484.69 449.17 536.56 329.69 485.35 478.50 401.95 333.16 426.77 463.83 31.02 26.16 26.38 327.80 292.71 277.39 262.41 252.05 160.56 129.35 107.40 26.82 29.07 26.19 56.28 123.11 124.91 123.68 124.86 119.95 142.50 131.63 154.38 141.98 124.72 118.42 118.26 117.85 138.29 140.07 114.26
Total liabilities 2,292.37 2,182.49 2,187.09 2,206.53 2,020.69 1,888.33 2,027.39 2,008.35 2,184.64 2,423.23 2,490.41 2,621.81 2,781.37 2,937.98 1,744.67 1,735.10 1,626.46 1,588.91 1,703.12 1,842.45 1,876.49 1,707.87 1,941.98 2,090.35 2,254.11 2,095.83 2,037.31 2,035.49 2,077.20 1,903.77 1,167.28 1,004.94 1,467.24 1,544.47 1,440.09 1,508.22 1,567.61 1,612.42 1,549.70 1,561.87 771.20 714.74 793.87 596.95 741.75 738.11 656.24 602.71 673.66 706.64 642.10 600.21 606.80 578.86 545.74 530.24 519.89 480.40 386.27 338.19 298.77 273.41 315.39 338.86 381.26 363.73 417.21 392.78 353.42 343.56 318.45 324.23 296.49 304.63 305.86 320.82 319.30 281.52 259.55 269.07 224.79
Total stockholders' equity + 6,491.91 6,320.88 6,121.26 5,967.86 5,546.13 5,253.01 5,195.03 4,864.04 4,629.92 4,481.85 4,250.38 4,129.90 3,932.51 3,738.13 3,432.89 3,360.75 3,278.80 3,145.84 3,026.05 2,885.68 2,709.23 2,864.98 2,678.86 2,497.03 2,256.43 2,258.11 2,117.25 2,072.19 2,021.33 1,956.04 1,900.26 2,058.98 2,066.96 2,019.53 2,049.53 1,960.27 1,854.96 1,710.15 1,772.57 1,694.83 1,673.41 1,524.27 1,460.81 1,587.31 1,536.28 1,588.45 1,653.21 1,758.25 1,690.91 1,638.95 1,692.54 1,610.52 1,768.16 1,751.51 1,698.92 1,607.63 1,608.95 1,561.08 1,549.02 1,730.74 1,663.39 1,610.80 1,476.85 1,287.54 1,332.23 1,257.52 1,202.93 1,115.19 972.32 963.57 974.25 1,081.78 1,069.30 1,014.75 981.99 931.22 872.50 850.82 771.46 738.15 674.34
Common shares outstanding 147 147 147 147 147 148 148 148 147 148 147 148 147 147 147 147 147 147 147 147 146 146 146 146 146 146 145 145 144 144 144 144 144 144 143 143 143 142 142 142 141 141 142 143 143 142 143 143 143 145 145 146 147 147 146 146 147 150 154 157 157 158 157 151 156 154 154 151 155 155 154 151 157 157 158 155 154 156 156 152 155
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