ResMed Inc. (LON:0KW4)
London flag London · Delayed Price · Currency is GBP · Price in USD
252.13
-4.44 (-1.73%)
Jan 30, 2026, 5:14 PM GMT

ResMed Balance Sheet

Millions USD. Fiscal year is Jul - Jun.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Jun '25 Jun '24 Jun '23 Jun '22 Jun '21
Cash & Equivalents
1,4171,209238.36227.89273.71295.28
Short-Term Investments
----9.17-
Cash & Short-Term Investments
1,4171,209238.36227.89282.88295.28
Cash Growth
171.50%407.40%4.59%-19.44%-4.20%-36.25%
Receivables
1,047990.67875.46704.91601.64625.19
Inventory
945.21975.96994.451,141851.2463.99
Prepaid Expenses
409.48329.53249.45293.93195.61190.31
Other Current Assets
----0.15-
Total Current Assets
3,8193,5062,3582,3681,9311,575
Property, Plant & Equipment
730.17718.29699.15665.81630.5592.07
Long-Term Investments
144.14139.82139.2134.1149.2140.16
Goodwill
3,0443,0472,8422,7701,9361,928
Other Intangible Assets
430.24464.86485.9552.34345.94392.58
Long-Term Accounts Receivable
14.414.5818.4510.088.846.21
Long-Term Deferred Tax Assets
285.91253.12203.57132.9779.7579.9
Other Long-Term Assets
35.3331.44126.35118.26113.7114.55
Total Assets
8,5038,1746,8726,7525,0964,728
Accounts Payable
250.41278.16237.73150.76159.25138.01
Accrued Expenses
390.16362.33337.89328.48316.89298.57
Current Portion of Long-Term Debt
259.919.99.99.99.9212
Current Portion of Leases
29.7630.5125.2821.9221.8623.59
Current Income Taxes Payable
140.49132.27107.5272.2244.89307.96
Current Unearned Revenue
176.05166.03152.55138.07108.67109.61
Other Current Liabilities
1.3439.9339.7937.1827.8422.03
Total Current Liabilities
1,2481,019910.66758.53689.3911.77
Long-Term Debt
403.92658.39697.311,431765.33643.35
Long-Term Leases
154.13153.02141.44116.85120.45114.78
Long-Term Unearned Revenue
159.79156.8137.34119.1995.4691.5
Long-Term Deferred Tax Liabilities
77.9977.6879.3490.659.7111.32
Other Long-Term Liabilities
138.54141.5242.26105.3554.8669.74
Total Liabilities
2,1822,2072,0082,6221,7351,842
Common Stock
0.760.760.590.590.590.58
Additional Paid-In Capital
2,1032,0341,8971,7721,6821,622
Retained Earnings
6,6476,0814,9924,2533,6143,080
Treasury Stock
-2,400-2,073-1,773-1,623-1,623-1,623
Comprehensive Income & Other
-29.86-74.7-251.53-272.53-312.75-193.49
Shareholders' Equity
6,3215,9684,8644,1303,3612,886
Total Liabilities & Equity
8,5038,1746,8726,7525,0964,728
Total Debt
847.72851.81873.941,580917.55793.72
Net Cash (Debt)
569.35357.64-635.57-1,352-634.67-498.44
Net Cash Per Share
3.882.43-4.31-9.17-4.32-3.40
Filing Date Shares Outstanding
145.68146.41146.93147.07146.42145.68
Total Common Shares Outstanding
145.66146.39146.9147.06146.41145.65
Working Capital
2,5712,4861,4471,6091,242662.99
Book Value Per Share
43.3940.7733.1128.0822.9519.81
Tangible Book Value
2,8462,4561,536807.261,078565.2
Tangible Book Value Per Share
19.5416.7810.465.497.373.88
Land
-51.6851.9852.0651.8654.46
Buildings
-230.63231.07231.02229.5239.36
Machinery
-849.74889.85831.3769.07714.42
Leasehold Improvements
-124.05102.191.580.8677.39
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.