ResMed Inc.

RSMDF · OTC
Analyze with AI
6/30/2025
6/30/2024
6/30/2023
6/30/2022
Assets
Cash & Equivalents$1,209,450$238,361$227,891$273,710
Short-Term Investments$0$0$0$0
Receivables$990,667$837,275$704,909$575,950
Inventory$927,711$822,250$998,012$743,910
Other Curr. Assets$377,777$459,833$437,018$337,908
Total Curr. Assets$3,505,605$2,357,719$2,367,830$1,931,478
Property Plant & Equip (Net)$718,287$699,146$665,811$630,495
Goodwill$3,046,680$2,842,055$2,770,299$1,936,442
Intangibles$464,861$485,904$552,341$345,944
Long-Term Investments$85,033$169,766$156,894$67,215
Tax Assets$253,119$203,569$132,974$79,746
Other NC Assets$100,806$114,235$105,559$104,533
Total NC Assets$4,668,786$4,514,675$4,383,878$3,164,375
Other Assets$0$0$0$0
Total Assets$8,174,391$6,872,394$6,751,708$5,095,853
Liabilities
Payables$278,157$237,728$150,756$159,245
Short-Term Debt$40,406$35,178$31,821$31,772
Tax Payable$0$107,517$72,224$44,893
Deferred Revenue$166,030$152,554$138,072$108,667
Other Curr. Liab.$534,527$377,678$365,660$344,722
Total Curr. Liab.$1,019,120$910,655$758,533$689,299
LT Debt$811,407$838,757$1,548,087$885,778
Deferred Rev, NC$156,803$137,343$119,186$95,455
Deferred Tax Liab, NC$77,682$79,339$90,650$9,714
Other NC Liab.$141,520$42,257$105,349$54,856
Total NC Liab.$1,187,412$1,097,696$1,863,272$1,045,803
Other Liabilities$0$0$0$0
Cap. Leases$183,521$166,722$138,772$142,309
Total Liabilities$2,206,532$2,008,351$2,621,805$1,735,102
Equity
Pref Stock$0$0$0$0
Common Stock$761$588$588$586
Retained Earnings$6,081,490$4,991,647$4,253,016$3,613,736
AOCI-$74,699-$251,529-$272,528-$312,747
Other Equity-$39,693$123,337$148,827$59,176
Total Equity$5,967,859$4,864,043$4,129,903$3,360,751
Supplemental Information
Minority Interest$0$0$0$0
Total Liab. & Tot. Equity$8,174,391$6,872,394$6,751,708$5,095,853
Net Debt-$357,637$635,574$1,352,017$643,840