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 |