Resmed Inc
NYSE:RMD

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Resmed Inc
NYSE:RMD
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Price: 232.58 USD 0.61%
Market Cap: 34.1B USD
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Balance Sheet

Balance Sheet Decomposition
Resmed Inc

Current Assets 2.6B
Cash & Short-Term Investments 426.4m
Receivables 811.2m
Other Current Assets 1.4B
Non-Current Assets 4.6B
PP&E 717.3m
Intangibles 3.4B
Other Non-Current Assets 499.4m
Current Liabilities 904.1m
Accounts Payable 249.3m
Accrued Liabilities 394m
Other Current Liabilities 260.8m
Non-Current Liabilities 1.1B
Long-Term Debt 667.6m
Other Non-Current Liabilities 455.7m

Balance Sheet
Resmed Inc

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Balance Sheet
Currency: USD
Jun-2015 Jun-2016 Jun-2017 Jun-2018 Jun-2019 Jun-2020 Jun-2021 Jun-2022 Jun-2023 Jun-2024
Assets
Cash & Cash Equivalents
717
731
822
189
147
463
295
274
228
238
Cash
0
292
277
3
0
0
0
0
0
0
Cash Equivalents
717
440
545
186
147
463
295
274
228
238
Total Receivables
363
382
451
484
538
484
625
602
736
875
Accounts Receivables
363
382
451
484
538
484
625
602
736
875
Other Receivables
0
0
0
0
0
0
0
0
0
0
Inventory
247
225
268
269
350
417
457
744
998
822
Other Current Assets
81
82
103
125
110
159
197
312
405
422
Total Current Assets
1 408
1 420
1 644
1 066
1 145
1 524
1 575
1 931
2 368
2 358
PP&E Net
388
384
394
387
388
536
592
630
666
699
PP&E Gross
388
384
394
387
388
536
592
630
666
699
Accumulated Depreciation
383
414
456
474
512
552
622
633
668
727
Intangible Assets
47
300
262
215
522
448
393
346
552
486
Goodwill
264
1 059
1 065
1 069
1 856
1 890
1 928
1 936
2 770
2 842
Note Receivable
0
0
0
0
5
7
6
9
10
18
Long-Term Investments
0
0
0
0
30
44
17
10
65
65
Other Long-Term Assets
75
94
104
328
162
139
217
233
320
404
Other Assets
264
1 059
1 065
1 069
1 856
1 890
1 928
1 936
2 770
2 842
Total Assets
2 182
N/A
3 257
+49%
3 469
+7%
3 064
-12%
4 108
+34%
4 587
+12%
4 728
+3%
5 096
+8%
6 752
+32%
6 872
+2%
Liabilities
Accounts Payable
81
93
93
93
116
136
138
159
151
238
Accrued Liabilities
131
157
185
183
266
291
344
367
388
403
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
299
0
12
12
12
12
10
10
10
Other Current Liabilities
54
89
82
224
162
164
418
154
210
260
Total Current Liabilities
267
638
360
511
556
603
912
689
759
911
Long-Term Debt
301
873
1 079
270
1 259
1 164
643
765
1 431
697
Deferred Income Tax
6
9
14
13
11
13
11
10
91
79
Other Liabilities
21
42
56
211
209
310
276
271
341
321
Total Liabilities
595
N/A
1 562
+163%
1 508
-3%
1 005
-33%
2 036
+103%
2 090
+3%
1 842
-12%
1 735
-6%
2 622
+51%
2 008
-23%
Equity
Common Stock
1
1
1
1
1
1
1
1
1
1
Retained Earnings
1 976
2 160
2 316
2 432
2 436
2 833
3 080
3 614
4 253
4 992
Additional Paid In Capital
1 229
1 303
1 379
1 451
1 512
1 571
1 622
1 682
1 772
1 897
Treasury Stock
1 445
1 547
1 547
1 600
1 623
1 623
1 623
1 623
1 623
1 773
Other Equity
174
223
189
224
253
284
193
313
273
252
Total Equity
1 587
N/A
1 695
+7%
1 960
+16%
2 059
+5%
2 072
+1%
2 497
+20%
2 886
+16%
3 361
+16%
4 130
+23%
4 864
+18%
Total Liabilities & Equity
2 182
N/A
3 257
+49%
3 469
+7%
3 064
-12%
4 108
+34%
4 587
+12%
4 728
+3%
5 096
+8%
6 752
+32%
6 872
+2%
Shares Outstanding
Common Shares Outstanding
141
141
142
143
144
145
146
146
147
147

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