ResMed
NYSE:RMD
$ 205,02
$-8,79 (-4,11%)
205,02 $
$-8,79 (-4,11%)
End-of-day quote: 05/01/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$9,55
Earnings Per Share
$35,15
Revenue Per Share
59,99%
Gross Margin %
$29,74 B
Market Cap
$0,66 B
Long-Term Debt
Earnings Per Share
$9,55
Revenue Per Share
$35,15
Gross Margin %
59,99%
Market Cap
$29,74 B
Long-Term Debt
$0,66 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $9,55 $7,72 $6,44 $5,79 $5,33 $4,76 $3,64 $3,53 $2,82 $2,68 $2,57 $2,47 $2,27 $1,78 $1,49 $1,28 $1,00 $0,76 $0,72 $0,71
Earnings Earnings $1,40B $1,13B $947,13M $847,77M $776,47M $689,72M $522,96M $503,66M $401,03M $377,08M $361,14M $346,22M $322,45M $252,83M $225,78M $193,75M $151,09M $114,86M $111,58M $107,82M
RPS Revenue Per Share $35,15 $31,89 $28,71 $24,44 $21,94 $20,41 $18,14 $16,40 $14,53 $13,07 $11,95 $11,09 $10,66 $9,63 $8,20 $7,22 $6,09 $5,53 $4,62 $4,00
Revenue Revenue $5,15B $4,69B $4,22B $3,58B $3,20B $2,96B $2,61B $2,34B $2,07B $1,84B $1,68B $1,55B $1,51B $1,37B $1,24B $1,09B $920,74M $835,40M $716,33M $607,00M
OCF Operating Cash Flow $1,75B $1,40B $693,30M $351,15M $736,72M $802,26M $459,05M $505,03M $414,05M $547,93M $383,18M $391,29M $402,82M $383,16M $283,19M $188,21M $238,88M $137,84M $91,11M $0,00M
FCF Free Cash Flow $1,66B $1,30B $573,63M $216,31M $634,01M $706,93M $390,34M $442,45M $351,83M $489,40M $320,68M $318,55M $339,24M $336,02M $216,58M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 32,79% 29,54% 27,28% 28,01% 28,70% 27,36% 24,40% 23,94% 22,10% 23,70% 24,38% 26,46% 25,06% 21,51% 21,65% 22,28% 21,05% 18,01% 20,92% 21,94%
GM % Gross Margin % 59,99% 57,38% 56,50% 57,68% 59,10% 59,77% 58,95% 58,21% 58,15% 58,00% 60,24% 63,65% 62,11% 59,97% 59,81% 60,01% 60,15% 59,48% 62,01% 62,09%
FCFS Free Cash Flow Per Share $11,25 $8,75 $3,81 $1,34 $4,27 $4,82 $2,67 $3,04 $2,42 $3,42 $2,22 $2,19 $2,32 $2,21 $1,38 $0,84 $0,81 $0,36 $0,06 $-0,05
LT Debt Long-Term Debt $658,39M $697,31M $1,43B $765,33M $643,35M $1,16B $1,26B $269,99M $1,08B $873,33M $300,59M $300,77M $0,77M $250,78M $100,00M N/A $94,19M $93,31M $87,16M $116,21M
Sha. Stocks 146,41M 146,93M 147,07M 146,42M 145,68M 144,9M 143,67M 142,68M 142,21M 140,7M 140,52M 140,17M 142,05M 142,04M 151,53M 151,37M 151,09M 151,13M 154,97M 151,86M
×