ResMed Inc.
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Financials

Cash flow

Fundamentals currency is USD
Fiscal date Sep 2025 Jun 2025 Mar 2025 Dec 2024
Operating activities 377.3M 376.2M 367.2M 296.3M
Net income 297.0M 323.6M 311.1M 293.7M
Depreciation 49.1M 63.3M 44.2M 47.6M
Deferred taxes
StockBased compensation 18.0M 21.1M 20.6M 19.3M
Other non cash items
Accounts receivable 25.5M -4.4M -34.1M -57.8M
Accounts payable
Other assets liabilities -12.5M -27.4M 25.5M -6.5M
Investing activities -42.4M -111.2M -24.5M -28.9M
Capital expenditures -36.6M -26.1M -17.7M -17.6M
Net intangibles -2.4M -2.7M -2.5M -2.4M
Net acquisitions -444.9K -118.1M 0 -571.0K
Purchase of investments -5.3M -1.7M -1.7M -852.3K
Sale of investments 0 34.6M -5.1M -9.8M
Other investing activity
Financing activities -196.3M -139.7M -122.8M -125.7M
Long term debt issuance 0 0 0
Long term debt payments 0 -4.3M 0 -4.3M
Short term debt issuance
Common stock issuance 7.0M 25.7M 7.7M 22.9M
Common stock repurchase -127.8M -85.2M -63.9M -63.9M
Common dividends -74.8M -66.1M -66.2M -66.2M
Other financing charges -612.8K -9.8M -310.2K -14.3M
End cash position 1.2B 1.0B 794.9M 444.8M
Income tax paid 52.7M 13.8M -22.6M 101.1M
Interest paid 5.8M 5.9M 12.1M -56.2K
Free cash flow 350.7M 430.4M 472.9M 243.0M
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