Free Cash Flow: A measure of financial performance calculated as operating cash flow minus capital expenditures. Calculated as: Cash Flow from Operations + Net Property, Plant & Equipment Exp (a negative number)
ResMed Inc. (RMD) had Free Cash Flow of $414.36M for the most recently reported fiscal quarter, ending 2025-09-30.
| Income Statement Financials | |
$1.34B |
|
$348.54M |
|
$514.76M |
|
$820.82M |
|
$889.04M |
|
$446.54M |
|
$0.26M |
|
$446.79M |
|
$446.79M |
|
$348.54M |
|
$348.54M |
|
$348.54M |
|
$348.54M |
|
$446.54M |
|
$504.21M |
|
146.18M |
|
146.90M |
|
$2.38 |
|
$2.37 |
|
| Balance Sheet Financials | |
$3.63B |
|
$563.63M |
|
$4.68B |
|
$8.31B |
|
$1.26B |
|
$408.66M |
|
$931.59M |
|
$2.19B |
|
$6.12B |
|
$2.63B |
|
$6.12B |
|
145.94M |
|
| Cash Flow Statement Financials | |
$457.32M |
|
$-52.58M |
|
$-230.27M |
|
$1.21B |
|
$1.38B |
|
$174.40M |
|
$21.16M |
|
$-87.75M |
|
-- |
|
| Fundamental Metrics & Ratios | |
2.89 |
|
-- |
|
-- |
|
0.06 |
|
0.11 |
|
61.46% |
|
33.43% |
|
33.43% |
|
-- |
|
33.45% |
|
26.10% |
|
|
Free Cash Flow |
$414.36M |
-- |
|
-- |
|
-- |
|
0.16 |
|
0.54 |
|
1.47 |
|
61.14 |
|
5.69% |
|
13.25% |
|
4.20% |
|
5.34% |
|
$41.94 |
|
$2.82 |
|
$3.11 |
|