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RMD ResMed Inc

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  • 36.840
  • +0.240+0.66%
20min DelayNot Open Nov 19 16:00 AET
54.08BMarket Cap35.49P/E (Static)

ResMed Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
103.90%426.36M
4.59%238.36M
4.59%238.36M
4.40%237.91M
-16.96%210.25M
0.94%209.1M
-16.74%227.89M
-16.74%227.89M
12.95%227.89M
30.20%253.2M
-Cash and cash equivalents
103.90%426.36M
4.59%238.36M
4.59%238.36M
4.40%237.91M
-16.96%210.25M
0.94%209.1M
-16.74%227.89M
-16.74%227.89M
12.95%227.89M
30.20%253.2M
Receivables
17.16%811.2M
18.78%837.28M
18.78%837.28M
13.55%779.27M
8.55%729.74M
11.59%692.39M
22.39%704.91M
22.39%704.91M
34.94%686.26M
27.80%672.27M
-Accounts receivable
17.16%811.2M
18.78%837.28M
18.78%837.28M
13.55%779.27M
8.55%729.74M
11.59%692.39M
22.39%704.91M
22.39%704.91M
34.94%686.26M
27.80%672.27M
Inventory
-4.20%917.98M
-17.61%822.25M
-17.61%822.25M
-17.98%829.46M
-5.64%933.21M
10.80%958.23M
34.16%998.01M
34.16%998.01M
52.08%1.01B
67.01%988.96M
Prepaid assets
-3.74%272.6M
8.84%279.82M
8.84%279.82M
26.09%323.9M
23.53%325.24M
--283.2M
24.41%257.09M
24.41%257.09M
135.89%256.88M
195.07%263.29M
Other current assets
31.75%212.99M
0.05%180.01M
0.05%180.01M
16.24%180.77M
21.83%179.63M
-52.62%161.66M
37.07%179.93M
37.07%179.93M
-29.35%155.51M
1.44%147.44M
Total current assets
14.60%2.64B
-0.43%2.36B
-0.43%2.36B
0.58%2.35B
2.28%2.38B
13.32%2.3B
22.59%2.37B
22.59%2.37B
37.17%2.34B
50.28%2.33B
Non current assets
Net PPE
9.11%717.28M
5.01%699.15M
5.01%699.15M
4.65%686.82M
8.33%705.21M
7.30%657.4M
5.60%665.81M
5.60%665.81M
0.28%656.29M
4.35%650.97M
-Gross PPE
11.83%1.48B
6.92%1.43B
6.92%1.43B
7.03%1.4B
6.87%1.42B
7.49%1.33B
5.56%1.33B
5.56%1.33B
0.37%1.31B
5.64%1.33B
-Accumulated depreciation
-14.51%-764.75M
-8.83%-726.97M
-8.83%-726.97M
-9.42%-716.82M
-5.46%-714.37M
-7.68%-667.83M
-5.51%-668.01M
-5.51%-668.01M
-0.45%-655.1M
-6.91%-677.4M
Goodwill and other intangible assets
-0.32%3.36B
0.16%3.33B
0.16%3.33B
-0.49%3.34B
1.07%3.39B
48.24%3.38B
45.58%3.32B
45.58%3.32B
45.65%3.35B
44.35%3.35B
-Goodwill
2.63%2.89B
2.59%2.84B
2.59%2.84B
1.88%2.84B
3.42%2.86B
45.04%2.81B
43.06%2.77B
43.06%2.77B
43.02%2.78B
41.80%2.77B
-Other intangible assets
-15.03%478.61M
-12.03%485.9M
-12.03%485.9M
-12.05%501.02M
-10.00%528.18M
66.58%563.28M
59.66%552.34M
59.66%552.34M
60.03%569.68M
57.75%586.86M
Non current deferred assets
59.49%220.53M
53.09%203.57M
53.09%203.57M
69.56%162.11M
81.80%155.96M
71.24%138.27M
66.75%132.97M
66.75%132.97M
27.74%95.6M
14.88%85.78M
Other non current assets
5.18%278.85M
8.21%284M
8.21%284M
2.38%277.33M
6.02%275.82M
52.86%265.11M
52.81%262.45M
52.81%262.45M
59.90%270.87M
57.16%260.16M
Total non current assets
3.27%4.58B
2.98%4.51B
2.98%4.51B
1.99%4.46B
4.05%4.53B
41.11%4.44B
38.54%4.38B
38.54%4.38B
36.71%4.38B
36.50%4.35B
Total assets
7.15%7.22B
1.79%6.87B
1.79%6.87B
1.50%6.81B
3.43%6.91B
30.19%6.74B
32.49%6.75B
32.49%6.75B
36.87%6.71B
41.00%6.68B
Liabilities
Current liabilities
Current debt and capital lease obligation
20.42%38.17M
10.55%35.18M
10.55%35.18M
3.19%34.09M
5.03%33.96M
2.32%31.7M
0.15%31.82M
0.15%31.82M
-8.50%33.03M
-9.98%32.33M
-Current debt
-0.09%9.9M
-0.02%9.9M
-0.02%9.9M
0.02%9.9M
-0.02%9.9M
-0.01%9.91M
-0.14%9.9M
-0.14%9.9M
-17.26%9.9M
-17.50%9.9M
-Current capital lease obligation
29.75%28.28M
15.32%25.28M
15.32%25.28M
4.55%24.18M
7.26%24.06M
3.41%21.8M
0.29%21.92M
0.29%21.92M
-4.15%23.13M
-6.20%22.43M
Payables
40.49%342.97M
50.95%372.26M
50.95%372.26M
-3.39%232.12M
-2.05%249.09M
6.40%244.12M
7.00%246.62M
7.00%246.62M
24.85%240.26M
36.21%254.31M
-accounts payable
40.80%249.28M
57.69%237.73M
57.69%237.73M
9.60%177.45M
3.26%202.4M
-2.44%177.05M
-5.33%150.76M
-5.33%150.76M
8.08%161.9M
19.98%196M
-Total tax payable
39.68%93.69M
40.34%134.53M
40.34%134.53M
-30.24%54.67M
-19.92%46.69M
39.90%67.07M
34.57%95.86M
34.57%95.86M
83.76%78.37M
149.88%58.3M
Current accrued expenses
5.02%365.75M
4.07%346.01M
4.07%346.01M
2.51%356.08M
6.40%332.14M
7.47%348.26M
5.07%332.47M
5.07%332.47M
6.46%347.35M
8.84%312.17M
Current deferred liabilities
7.14%157.19M
10.49%152.55M
10.49%152.55M
6.88%150.75M
11.19%148.9M
35.61%146.72M
27.06%138.07M
27.06%138.07M
25.43%141.04M
19.94%133.91M
Other current liabilities
----
-51.31%4.65M
-51.31%4.65M
----
----
----
390.91%9.56M
390.91%9.56M
----
----
Current liabilities
17.29%904.08M
20.05%910.66M
20.05%910.66M
1.49%773.03M
4.28%764.07M
11.28%770.8M
10.04%758.53M
10.04%758.53M
14.15%761.69M
17.98%732.71M
Non current liabilities
Long term debt and capital lease obligation
-44.53%812.07M
-45.82%838.76M
-45.82%838.76M
-32.98%1.13B
-28.82%1.36B
62.73%1.46B
74.77%1.55B
74.77%1.55B
112.45%1.69B
138.11%1.91B
-Long term debt
-50.61%667.58M
-51.28%697.31M
-51.28%697.31M
-36.73%997.05M
-32.05%1.22B
72.07%1.35B
87.01%1.43B
87.01%1.43B
135.66%1.58B
168.08%1.79B
-Long term capital lease obligation
28.49%144.49M
21.04%141.44M
21.04%141.44M
18.44%136.31M
20.79%140.65M
-1.55%112.45M
-2.99%116.85M
-2.99%116.85M
-9.56%115.09M
-12.43%116.45M
Long term accounts payable and other payables
----
--0
--0
-67.30%12.16M
-67.30%12.16M
-67.21%12.16M
-23.93%37.18M
-23.93%37.18M
-30.24%37.18M
-30.16%37.18M
Non current deferred liabilities
8.99%227.97M
3.26%216.68M
3.26%216.68M
-1.51%218.55M
3.02%216.69M
91.10%209.16M
99.52%209.84M
99.52%209.84M
111.72%221.89M
96.03%210.34M
Other non current liabilities
142.57%83.27M
-38.01%42.26M
-38.01%42.26M
-31.63%47.55M
44.05%72.89M
488.01%34.33M
1,041.04%68.17M
1,041.04%68.17M
1,262.98%69.55M
696.90%50.6M
Total non current liabilities
-34.68%1.12B
-41.09%1.1B
-41.09%1.1B
-30.11%1.41B
-24.76%1.66B
63.46%1.72B
78.17%1.86B
78.17%1.86B
110.56%2.02B
127.85%2.21B
Total liabilities
-18.59%2.03B
-23.40%2.01B
-23.40%2.01B
-21.45%2.18B
-17.52%2.42B
42.74%2.49B
51.10%2.62B
51.10%2.62B
71.01%2.78B
84.91%2.94B
Shareholders'equity
Share capital
28.91%758K
0.00%588K
0.00%588K
0.00%588K
0.00%588K
0.34%588K
0.34%588K
0.34%588K
0.51%588K
0.51%588K
-common stock
28.91%758K
0.00%588K
0.00%588K
0.00%588K
0.00%588K
0.34%588K
0.34%588K
0.34%588K
0.51%588K
0.51%588K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Additional paid-in capital
7.44%1.92B
7.03%1.9B
7.03%1.9B
6.88%1.85B
6.56%1.82B
5.26%1.79B
5.33%1.77B
5.33%1.77B
5.08%1.73B
5.02%1.71B
Retained earnings
18.70%5.23B
17.37%4.99B
17.37%4.99B
16.68%4.77B
15.81%4.54B
17.08%4.4B
17.69%4.25B
17.69%4.25B
17.47%4.09B
16.58%3.92B
Less: Treasury stock
12.32%1.82B
9.24%1.77B
9.24%1.77B
6.16%1.72B
3.08%1.67B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
Gains losses not affecting retained earnings
58.72%-132.16M
7.71%-251.53M
7.71%-251.53M
-1.31%-265.31M
22.88%-208.35M
21.17%-320.15M
12.86%-272.53M
12.86%-272.53M
-16.84%-261.88M
-21.10%-270.17M
Total stockholders'equity
22.23%5.2B
17.78%4.86B
17.78%4.86B
17.73%4.63B
19.90%4.48B
23.81%4.25B
22.89%4.13B
22.89%4.13B
19.94%3.93B
18.83%3.74B
Total equity
22.23%5.2B
17.78%4.86B
17.78%4.86B
17.73%4.63B
19.90%4.48B
23.81%4.25B
22.89%4.13B
22.89%4.13B
19.94%3.93B
18.83%3.74B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 103.90%426.36M4.59%238.36M4.59%238.36M4.40%237.91M-16.96%210.25M0.94%209.1M-16.74%227.89M-16.74%227.89M12.95%227.89M30.20%253.2M
-Cash and cash equivalents 103.90%426.36M4.59%238.36M4.59%238.36M4.40%237.91M-16.96%210.25M0.94%209.1M-16.74%227.89M-16.74%227.89M12.95%227.89M30.20%253.2M
Receivables 17.16%811.2M18.78%837.28M18.78%837.28M13.55%779.27M8.55%729.74M11.59%692.39M22.39%704.91M22.39%704.91M34.94%686.26M27.80%672.27M
-Accounts receivable 17.16%811.2M18.78%837.28M18.78%837.28M13.55%779.27M8.55%729.74M11.59%692.39M22.39%704.91M22.39%704.91M34.94%686.26M27.80%672.27M
Inventory -4.20%917.98M-17.61%822.25M-17.61%822.25M-17.98%829.46M-5.64%933.21M10.80%958.23M34.16%998.01M34.16%998.01M52.08%1.01B67.01%988.96M
Prepaid assets -3.74%272.6M8.84%279.82M8.84%279.82M26.09%323.9M23.53%325.24M--283.2M24.41%257.09M24.41%257.09M135.89%256.88M195.07%263.29M
Other current assets 31.75%212.99M0.05%180.01M0.05%180.01M16.24%180.77M21.83%179.63M-52.62%161.66M37.07%179.93M37.07%179.93M-29.35%155.51M1.44%147.44M
Total current assets 14.60%2.64B-0.43%2.36B-0.43%2.36B0.58%2.35B2.28%2.38B13.32%2.3B22.59%2.37B22.59%2.37B37.17%2.34B50.28%2.33B
Non current assets
Net PPE 9.11%717.28M5.01%699.15M5.01%699.15M4.65%686.82M8.33%705.21M7.30%657.4M5.60%665.81M5.60%665.81M0.28%656.29M4.35%650.97M
-Gross PPE 11.83%1.48B6.92%1.43B6.92%1.43B7.03%1.4B6.87%1.42B7.49%1.33B5.56%1.33B5.56%1.33B0.37%1.31B5.64%1.33B
-Accumulated depreciation -14.51%-764.75M-8.83%-726.97M-8.83%-726.97M-9.42%-716.82M-5.46%-714.37M-7.68%-667.83M-5.51%-668.01M-5.51%-668.01M-0.45%-655.1M-6.91%-677.4M
Goodwill and other intangible assets -0.32%3.36B0.16%3.33B0.16%3.33B-0.49%3.34B1.07%3.39B48.24%3.38B45.58%3.32B45.58%3.32B45.65%3.35B44.35%3.35B
-Goodwill 2.63%2.89B2.59%2.84B2.59%2.84B1.88%2.84B3.42%2.86B45.04%2.81B43.06%2.77B43.06%2.77B43.02%2.78B41.80%2.77B
-Other intangible assets -15.03%478.61M-12.03%485.9M-12.03%485.9M-12.05%501.02M-10.00%528.18M66.58%563.28M59.66%552.34M59.66%552.34M60.03%569.68M57.75%586.86M
Non current deferred assets 59.49%220.53M53.09%203.57M53.09%203.57M69.56%162.11M81.80%155.96M71.24%138.27M66.75%132.97M66.75%132.97M27.74%95.6M14.88%85.78M
Other non current assets 5.18%278.85M8.21%284M8.21%284M2.38%277.33M6.02%275.82M52.86%265.11M52.81%262.45M52.81%262.45M59.90%270.87M57.16%260.16M
Total non current assets 3.27%4.58B2.98%4.51B2.98%4.51B1.99%4.46B4.05%4.53B41.11%4.44B38.54%4.38B38.54%4.38B36.71%4.38B36.50%4.35B
Total assets 7.15%7.22B1.79%6.87B1.79%6.87B1.50%6.81B3.43%6.91B30.19%6.74B32.49%6.75B32.49%6.75B36.87%6.71B41.00%6.68B
Liabilities
Current liabilities
Current debt and capital lease obligation 20.42%38.17M10.55%35.18M10.55%35.18M3.19%34.09M5.03%33.96M2.32%31.7M0.15%31.82M0.15%31.82M-8.50%33.03M-9.98%32.33M
-Current debt -0.09%9.9M-0.02%9.9M-0.02%9.9M0.02%9.9M-0.02%9.9M-0.01%9.91M-0.14%9.9M-0.14%9.9M-17.26%9.9M-17.50%9.9M
-Current capital lease obligation 29.75%28.28M15.32%25.28M15.32%25.28M4.55%24.18M7.26%24.06M3.41%21.8M0.29%21.92M0.29%21.92M-4.15%23.13M-6.20%22.43M
Payables 40.49%342.97M50.95%372.26M50.95%372.26M-3.39%232.12M-2.05%249.09M6.40%244.12M7.00%246.62M7.00%246.62M24.85%240.26M36.21%254.31M
-accounts payable 40.80%249.28M57.69%237.73M57.69%237.73M9.60%177.45M3.26%202.4M-2.44%177.05M-5.33%150.76M-5.33%150.76M8.08%161.9M19.98%196M
-Total tax payable 39.68%93.69M40.34%134.53M40.34%134.53M-30.24%54.67M-19.92%46.69M39.90%67.07M34.57%95.86M34.57%95.86M83.76%78.37M149.88%58.3M
Current accrued expenses 5.02%365.75M4.07%346.01M4.07%346.01M2.51%356.08M6.40%332.14M7.47%348.26M5.07%332.47M5.07%332.47M6.46%347.35M8.84%312.17M
Current deferred liabilities 7.14%157.19M10.49%152.55M10.49%152.55M6.88%150.75M11.19%148.9M35.61%146.72M27.06%138.07M27.06%138.07M25.43%141.04M19.94%133.91M
Other current liabilities -----51.31%4.65M-51.31%4.65M------------390.91%9.56M390.91%9.56M--------
Current liabilities 17.29%904.08M20.05%910.66M20.05%910.66M1.49%773.03M4.28%764.07M11.28%770.8M10.04%758.53M10.04%758.53M14.15%761.69M17.98%732.71M
Non current liabilities
Long term debt and capital lease obligation -44.53%812.07M-45.82%838.76M-45.82%838.76M-32.98%1.13B-28.82%1.36B62.73%1.46B74.77%1.55B74.77%1.55B112.45%1.69B138.11%1.91B
-Long term debt -50.61%667.58M-51.28%697.31M-51.28%697.31M-36.73%997.05M-32.05%1.22B72.07%1.35B87.01%1.43B87.01%1.43B135.66%1.58B168.08%1.79B
-Long term capital lease obligation 28.49%144.49M21.04%141.44M21.04%141.44M18.44%136.31M20.79%140.65M-1.55%112.45M-2.99%116.85M-2.99%116.85M-9.56%115.09M-12.43%116.45M
Long term accounts payable and other payables ------0--0-67.30%12.16M-67.30%12.16M-67.21%12.16M-23.93%37.18M-23.93%37.18M-30.24%37.18M-30.16%37.18M
Non current deferred liabilities 8.99%227.97M3.26%216.68M3.26%216.68M-1.51%218.55M3.02%216.69M91.10%209.16M99.52%209.84M99.52%209.84M111.72%221.89M96.03%210.34M
Other non current liabilities 142.57%83.27M-38.01%42.26M-38.01%42.26M-31.63%47.55M44.05%72.89M488.01%34.33M1,041.04%68.17M1,041.04%68.17M1,262.98%69.55M696.90%50.6M
Total non current liabilities -34.68%1.12B-41.09%1.1B-41.09%1.1B-30.11%1.41B-24.76%1.66B63.46%1.72B78.17%1.86B78.17%1.86B110.56%2.02B127.85%2.21B
Total liabilities -18.59%2.03B-23.40%2.01B-23.40%2.01B-21.45%2.18B-17.52%2.42B42.74%2.49B51.10%2.62B51.10%2.62B71.01%2.78B84.91%2.94B
Shareholders'equity
Share capital 28.91%758K0.00%588K0.00%588K0.00%588K0.00%588K0.34%588K0.34%588K0.34%588K0.51%588K0.51%588K
-common stock 28.91%758K0.00%588K0.00%588K0.00%588K0.00%588K0.34%588K0.34%588K0.34%588K0.51%588K0.51%588K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Additional paid-in capital 7.44%1.92B7.03%1.9B7.03%1.9B6.88%1.85B6.56%1.82B5.26%1.79B5.33%1.77B5.33%1.77B5.08%1.73B5.02%1.71B
Retained earnings 18.70%5.23B17.37%4.99B17.37%4.99B16.68%4.77B15.81%4.54B17.08%4.4B17.69%4.25B17.69%4.25B17.47%4.09B16.58%3.92B
Less: Treasury stock 12.32%1.82B9.24%1.77B9.24%1.77B6.16%1.72B3.08%1.67B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B
Gains losses not affecting retained earnings 58.72%-132.16M7.71%-251.53M7.71%-251.53M-1.31%-265.31M22.88%-208.35M21.17%-320.15M12.86%-272.53M12.86%-272.53M-16.84%-261.88M-21.10%-270.17M
Total stockholders'equity 22.23%5.2B17.78%4.86B17.78%4.86B17.73%4.63B19.90%4.48B23.81%4.25B22.89%4.13B22.89%4.13B19.94%3.93B18.83%3.74B
Total equity 22.23%5.2B17.78%4.86B17.78%4.86B17.73%4.63B19.90%4.48B23.81%4.25B22.89%4.13B22.89%4.13B19.94%3.93B18.83%3.74B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------

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