Resmed Free Cash Flow (FCF) History (RMD)

Resmed reported $1.65B in free cash flow for fiscal 2026, a decrease of 0.73% from the previous fiscal year, with a free cash flow margin of 29.18%.

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Resmed free cash flow by year

Resmed annual free cash flow

Fiscal yearPeriod endedFree cash flowChangeGrowthFCF margin
20262026-06-30$1.65B−$12.2M−0.73%+29.18%
20252025-06-30$1.66B$359.9M+27.65%+32.29%
20242024-06-30$1.30B$728.2M+126.94%+27.78%
20232023-06-30$573.6M$357.3M+165.19%+13.58%
20222022-06-30$216.3M−$417.7M−65.88%+6.05%
20212021-06-30$634.0M−$72.9M−10.31%+19.83%
20202020-06-30$706.9M$316.6M+81.10%+23.91%
20192019-06-30$390.3M−$52.1M−11.78%+14.98%
20182018-06-30$442.4M$90.6M+25.75%+18.91%
20172017-06-30$351.8M−$137.6M−28.11%+17.02%
20162016-06-30$489.4M$168.7M+52.61%+26.62%
20152015-06-30$320.7M$2.1M+0.67%+19.10%
20142014-06-30$318.5M−$20.7M−6.10%+20.49%
20132013-06-30$339.2M$3.2M+0.96%+22.40%
20122012-06-30$336.0M$119.4M+55.15%+24.55%
20112011-06-30$216.6M$85.2M+64.88%+17.42%
20102010-06-30$131.4M$2.2M+1.68%+12.03%
20092009-06-30$129.2M+14.03%

Resmed free cash flow growth trends

Over the last five reported fiscal years, free cash flow grew from $634.0M to $1.65B, a compound annual growth rate of 21.07%. Resmed's latest reported quarter, Q4 2026, generated $403.5M in free cash flow, a decrease of 20.60% year over year.

About the metric

What free cash flow means

Free cash flow is the cash a company generates from operations after capital expenditures. Positive FCF can fund dividends, buybacks, debt repayment, or reinvestment; negative FCF means capital spending exceeded operating cash flow for that period.

Calculation and source

How free cash flow is calculated

TickerStat calculates free cash flow as SEC-reported operating cash flow minus capital expenditures. FCF margin equals free cash flow divided by revenue. Fiscal periods can differ from calendar years, so the tables include exact period-end dates.

Review Resmed filings at SEC.gov ↗