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RSMDF Financials - Resmed Income & Cash Flow | Ledgeburg
RSMDF - Resmed Inc.
USD | NYSE | Healthcare
Summary
Summary RSMDF Stock
Financials
Financials RSMDF Stock
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Income Statement
Income Statement RSMDF Stock
Balance Sheet
Balance Sheet RSMDF Stock
Cash Flow Statement
Cash Flow Statement RSMDF Stock
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Stocks
Resmed Inc. (RSMDF)
Financials
Financials of RSMDF
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Revenue
$5.146327B
Operating Income
$1.685363B
Net Income
$1.400723B
Share Count (Basic)
146.716M
Operating Cash Flow
$1.751588B
Free Cash Flow
$1.661723B
Cash And Short-Term Equivalents
$1.20945B
Total Debt
$668.292M
Annual
Quarterly
Revenue $USD
0
1B
2B
3B
4B
5B
FY2021
FY2022
FY2023
Revenue $USD
0
500M
1B
1.5B
Q3 FY25
Q4 FY25
Q1 FY26
Q2 FY26
Q3 FY26
Annual
Quarterly
Net Income $USD
0
500M
1B
1.5B
Annual
Quarterly
Margins
Gross
Operating
Net
0%
20%
40%
60%
FY2024
FY2025
FY2021
FY2022
FY2023
FY2024
FY2025
Net Income $USD
0
100M
200M
300M
400M
Q3 FY25
Q4 FY25
Q1 FY26
Q2 FY26
Q3 FY26
FY2021
FY2022
FY2023
FY2024
FY2025
Margins
Gross
Operating
Net
0%
20%
40%
60%
Q3 FY25
Q4 FY25
Q1 FY26
Q2 FY26
Q3 FY26