Financials.page
Company Fundamentals
Workspace
OverviewhomeCompaniesdirectoryLeague tablesrankingsAPI & MCPdevelopers
Company financial data, refreshed daily. Not investment advice.
Financials.page — company financial data, refreshed daily. Not investment advice. Legal & terms
Annual figures as reported in 10-K / 20-F / 40-F filings.
RMD · CIK 0000943819

ResMed Inc.

Annual figures as reported, FY2015–FY2026. Ratios and growth rates derived on-page.

RMD logo
Surgical & Medical Instruments & Apparatus
Company profile
NYSE · RMDHQ San Diego, CAIncorporated in DEFiscal year ends Jun 30Large accelerated filer
Revenue
$5.7B
▲ +9.9% vs FY2025
Net income
$1.5B
▲ +8.8% vs FY2025
Free cash flow
$1.6B
▼ −0.7% vs FY2025
Diluted EPS
$10.43
▲ +9.7% vs FY2025

Revenue

Annual, as reported

02B4B’15’17’19’21’23’25’26$5.7B

Net income

Annual, as reported

0500M1B1.5B’15’17’19’21’23’25’26$1.5B

Recent quarters

momentum · last 12 quarters
Revenue — Jun ’26 quarter
$1.5B
▲ +8.6% vs Jun ’25
Net income — Jun ’26 quarter
$383.4M
▲ +1.0% vs Jun ’25
Revenue — trailing 12 months
$5.7B
▲ +9.9% vs Jun ’25
Diluted EPS — trailing 12 months
$10.43
▲ +9.7% vs Jun ’25

Quarterly revenue

Discrete quarters; Q4 derived from the annual figure

0500M1BSep ’23Mar ’24Sep ’24Mar ’25Sep ’25Mar ’26Jun ’26$1.5B

Quarterly net income

Discrete quarters; Q4 derived from the annual figure

0100M200M300MSep ’23Mar ’24Sep ’24Mar ’25Sep ’25Mar ’26Jun ’26$383.4M
QuarterRevenueRev. YoYGross marginNet incomeNet marginDiluted EPS
Jun ’26$1.5B8.6%58.8%$383.4M26.2%$2.64
Mar ’26$1.4B10.8%62.2%$398.7M27.9%$2.74
Dec ’25$1.4B11.0%61.8%$392.6M27.6%$2.68
Sep ’25$1.3B9.1%61.5%$348.5M26.1%$2.37
Jun ’25$1.3B10.2%60.8%$379.7M28.2%$2.58
Mar ’25$1.3B7.9%59.3%$365.0M28.3%$2.48
Dec ’24$1.3B10.3%58.6%$344.6M26.9%$2.34
Sep ’24$1.2B11.1%58.6%$311.4M25.4%$2.11

Profitability & returns

quality of earnings

Margins

Share of revenue kept at each line

0%20%40%60%’15’17’19’21’23’25
Gross marginOperating marginNet margin

Returns on capital

Net income vs year-end equity and assets

0%10%20%’15’17’19’21’23’25
Return on equityReturn on assets

Cash flow

cash generation

Free cash flow

Operating cash flow less capital expenditure

0500M1B1.5B’15’17’19’21’23’25’26$1.6B

Operating cash flow

Net cash from operations

0500M1B1.5B’15’17’19’21’23’25’26$1.8B

Shareholder returns

capital allocation

Capital returned

Cash paid out as dividends and share repurchases

0500M1B’15’17’19’21’23’25’26
Dividends paidBuybacks

Diluted shares outstanding

Falling count means buybacks outpace dilution

050M100M’15’17’19’21’23’25’26146M

Balance sheet

financial position

Stockholders’ equity

At fiscal year end

02B4B6B’15’17’19’21’23’25’26$6.6B

Net debt

Long-term debt less cash — negative means net cash

−1B01B’15’17’19’21’23’25’26−$1.1B

Growth rates

compounding, annualized

Income statement

CAGR over 3, 5 and 10 years

0%+10%+20%Revenue CAGR3Y+10.2%5Y+12.1%10Y+11.9%Net income CAGR3Y+19.3%5Y+26.3%10Y+15.8%Diluted EPS CAGR3Y+19.6%5Y+26.3%10Y+15.4%

Cash flow & share count

FCF compounding; share count as total change

0%+10%+20%+30%+40%Free cash flow CAGR3Y+42.2%5Y+21.1%10Y+12.9%Share count change (split-adjusted, total)5Y−0.3%10Y+3.1%

Key ratios

derived per fiscal year
Fiscal yearGross marginOp. marginNet marginFCF marginROEROACurrent ratioDebt / equityDPS
FY202661.1%33.4%26.9%29.2%23.1%17.0%3.10×0.06×$2.40
FY202559.4%32.7%27.2%32.3%23.5%17.1%3.44×0.11×$2.12
FY202456.7%28.2%21.8%27.8%21.0%14.9%2.59×0.14×$1.92
FY202355.8%26.8%21.3%13.6%21.7%13.3%3.12×0.35×$1.76
FY202256.6%28.0%21.8%6.0%23.2%15.3%2.80×0.23×$1.68
FY202157.5%28.3%14.8%19.8%16.4%10.0%1.73×0.22×$1.56
FY202058.1%27.4%21.0%23.9%24.9%13.6%2.53×0.47×$1.56
FY201957.3%22.2%15.5%15.0%19.5%9.8%2.06×0.61×$1.48
FY201857.0%23.2%13.5%18.9%15.3%10.3%2.08×0.13×$1.40
FY201758.1%20.6%16.6%17.0%17.5%9.9%4.57×0.55×$1.32
FY201658.0%23.3%19.2%26.6%20.8%10.8%2.23×0.52×$1.20
FY201560.2%24.4%21.0%19.1%22.2%16.2%5.28×0.19×$1.12

Annual figures

as reported
Fiscal yearRevenueGross profitOp. incomeNet incomeDiluted EPSOp. cash flowCapexTotal assetsLiabilitiesEquityCashLT debt
FY2026$5.7B$3.5B$1.9B$1.5B$10.43$1.8B$156.3M$9.0B$2.4B$6.6B$1.5B$399.4M
FY2025$5.1B$3.1B$1.7B$1.4B$9.51$1.8B$89.9M$8.2B$2.2B$6.0B$1.2B$658.4M
FY2024$4.7B$2.7B$1.3B$1.0B$6.92$1.4B$99.5M$6.9B$2.0B$4.9B$238.4M$697.3M
FY2023$4.2B$2.4B$1.1B$897.6M$6.09$693.3M$119.7M$6.8B$2.6B$4.1B$227.9M$1.4B
FY2022$3.6B$2.0B$1.0B$779.4M$5.30$351.1M$134.8M$5.1B$1.7B$3.4B$273.7M$765.3M
FY2021$3.2B$1.8B$903.7M$474.5M$3.24$736.7M$102.7M$4.7B$1.8B$2.9B$295.3M$643.4M
FY2020$3.0B$1.7B$809.7M$621.7M$4.27$802.3M$95.3M$4.6B$2.1B$2.5B$463.2M$1.2B
FY2019$2.6B$1.5B$579.3M$404.6M$2.80$459.1M$68.7M$4.1B$2.0B$2.1B$147.1M$1.3B
FY2018$2.3B$1.3B$541.8M$315.6M$2.19$505.0M$62.6M$3.1B$1.0B$2.1B$188.7M$270.0M
FY2017$2.1B$1.2B$425.8M$342.3M$2.40$414.1M$62.2M$3.5B$1.5B$2.0B$821.9M$1.1B
FY2016$1.8B$1.1B$429.0M$352.4M$2.49$547.9M$58.5M$3.3B$1.6B$1.7B$731.4M$873.3M
FY2015$1.7B$1.0B$409.2M$352.9M$2.47$383.2M$62.5M$2.2B$594.5M$1.6B$717.2M$300.6M

Latest filings

the most recent regulatory filings
10-KAnnual report2026-08-13 ↗4PRIMARY DOCUMENT2026-08-11 ↗144Notice of proposed insider sale2026-08-07 ↗SCHEDULE 13GSEC filing2026-08-07 ↗8-KCurrent report — material event2026-08-06 ↗4PRIMARY DOCUMENT2026-08-06 ↗144Notice of proposed insider sale2026-08-05 ↗4PRIMARY DOCUMENT2026-07-09 ↗144Notice of proposed insider sale2026-07-07 ↗8-KCurrent report — material event2026-07-07 ↗

Company logos by Elbstream and unavatar.

All third-party trademarks, service marks, logos, and brand names used on this site are the property of their respective owners. The use of these logos is for identification and illustrative purposes only and does not imply any affiliation, sponsorship, or endorsement by the respective owners.