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[RMD] ResMed Inc. Balance Sheet

Data updated 2024-Mar-16 (Saturday)

  Note: Easy to read Balance Sheet for ResMed Inc. [NYSE:RMD] with charts that analyze trends of statement items & metrics and compare them with peers

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Annual Balance Sheet values for ResMed Inc. are rounded to enhance readability. Hover on cells below for additional contextual info. Key metrics are also provided for your convenience
   2023-Jun  2022-Jun  2021-Jun  2020-Jun  2019-Jun  2018-Jun
   Cash & Short-Term Investments  Detail 228 M 274 M 295 M 463 M 147 M 189 M
   Net Receivables  Detail 736 M 602 M 625 M 484 M 538 M 484 M
   Inventory  Detail 998 M 744 M 457 M 417 M 350 M 269 M
   Other Current Assets  Detail 406 M 311 M 198 M 159 M 110 M 124 M
   Total Current Assets  Detail 2.37 B 1.93 B 1.58 B 1.52 B 1.15 B 1.07 B
      Cash Equivalents / Assets  Detail 3.4% 5.4% 6.2% 10.1% 3.6% 6.2%
      Inventory on Hand  Detail 167 138 115 110 98.7 95.7
   Long-Term Investments  Detail 147 M 58 M 69 M 44 M 52 M 41 M
   Fixed Assets  Detail 666 M 630 M 592 M 536 M 387 M 387 M
   Other Non-Current Assets  Detail 3.57 B 2.48 B 2.49 B 2.48 B 2.52 B 1.57 B
   Total Non-Current Assets  Detail 4.38 B 3.17 B 3.15 B 3.06 B 2.96 B 2 B
   Total Assets  Detail 6.75 B 5.1 B 4.73 B 4.59 B 4.11 B 3.06 B
      Return on Assets  Detail 15.2% 15.9% 10.2% 14.3% 11.3% 9.7%
      Asset Turnover  Detail 0.71 0.73 0.69 0.68 0.73 0.72
      Fixed Asset Turnover  Detail 6.52 5.86 5.67 6.41 6.74 5.99
      Inventory Turnover  Detail 2.19 2.64 3.18 3.31 3.7 3.81
 
   Accounts Payable  Detail 151 M 159 M 138 M 136 M 116 M 93 M
   Short-Term Debt  Detail 32 M 32 M 36 M 33 M 12 M 11 M
   Other Current Liabilities  Detail 576 M 498 M 738 M 434 M 428 M 407 M
   Total Current Liabilities  Detail 759 M 689 M 912 M 603 M 556 M 511 M
      Cash Ratio  Detail 30.0% 39.8% 32.4% 76.8% 26.4% 37.0%
      Quick Ratio  Detail 127.0% 127.1% 100.9% 157.1% 123.2% 131.7%
      Current Ratio  Detail 312.0% 280.3% 172.7% 252.6% 205.9% 208.6%
   Long-Term Debt  Detail 1.55 B 886 M 758 M 1.27 B 1.26 B 270 M
   Other Non-Current Liabilities  Detail 315 M 160 M 172 M 221 M 220 M 224 M
   Total Non-Current Liabilities  Detail 1.86 B 1.05 B 930 M 1.49 B 1.48 B 494 M
   Total Liabilities  Detail 2.62 B 1.74 B 1.84 B 2.09 B 2.04 B 1.01 B
      Debt / Asset  Detail 38.8% 34.1% 39.0% 45.6% 49.5% 32.8%
      Debt / Equity  Detail 63.5% 51.6% 63.8% 83.7% 98.2% 48.8%
      Debt / Capital  Detail 38.8% 34.1% 39.0% 45.6% 49.6% 32.8%
 
   Common Stock  Detail 1 M 1 M 1 M 1 M 1 M 1 M
   Retained Earnings  Detail 4.25 B 3.61 B 3.08 B 2.83 B 2.44 B 2.43 B
   Other Equity  Detail -124 M -254 M -195 M -337 M -365 M -374 M
   Total Shareholder Equity  Detail 4.13 B 3.36 B 2.89 B 2.5 B 2.07 B 2.06 B
      Shareholder Equity / Assets  Detail 61.2% 66.0% 61.0% 54.4% 50.4% 67.2%
      Return on Equity  Detail 24.0% 24.9% 17.7% 27.2% 19.6% 15.7%
   Accumulated Minority Interest  Detail - - - - 1 M -
   Total Equity  Detail 4.13 B 3.36 B 2.89 B 2.5 B 2.07 B 2.06 B

Chart shows absolute values of Cash & Short-Term Investments using annual statements for ResMed Inc.. Fiscal Dates standardized to enable peer comparisons


     

 
Select Balance Sheet line/metric for chart. Other fields & statement line items available when different statement type selected
Subsequent stock performance post annual earnings date till next announcement for ResMed Inc.. Dates correspond to earnings announcement dates for the period when new financial data became available to the market. Prices have been adjusted for any splits



Related to ResMed Inc.

Information for ResMed Inc.

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