Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business. At the most fundamental level, a company’s ability to create value for shareholders is determined by its ability to generate positive cash flows, or more specifically, maximize long-term free cash flow (FCF).

RMD Free Cash Flow Analysis

Free cash flow, a measure commonly used by analysts to assess a company's profitability, represents the cash a company generates after accounting for cash outflows to support operations and maintain its capital assets.

The Free Cash Flow is calculated using a number of methods including using Operating Cash Flow. Following is the formula to calculate Free Cash Flow based on Operating Cash Flow.

Free Cash Flow = Operating Cash Flow - Capital Expenditures

Using above formula to calculate Free Cash Flow for ResMed Inc. (RMD), the free cash flow value is 1.65B.

All amounts in USD

Operating Cash
1,751,588,000
Capital Expenditure
-100,642,000
Free Cash Flow
1.65B

ResMed Inc. has a positive free cash flow as per the latest annual Cash flow statement released by the company. Positive free cash flow is cruscial for the financial health of a company, which can be used to pay dividends, expand operations, and deleverage its balance sheet (i.e., reduce debt).

RMD Cash Flow Statement History

Following table shows the history of Cash Flow Statements sheet for ResMed Inc. (ASX:RMD).

30 Jun 2022 30 Jun 2023 30 Jun 2024 30 Jun 2025
Total Cash From Operating Activities 351,147,000 693,299,000 1,401,260,000 1,751,588,000
Capital Expenditures [object Object] [object Object] [object Object] [object Object]
Investing Cash Flow -229,918,000 -1,159,845,000 -269,784,000 -200,045,000
Financing Cash Flow -128,363,000 422,874,000 -1,119,287,000 -606,253,000
Free Cash Flow 195,111,000 559,299,000 1,286,404,000 1,650,946,000
Stock Based Compensation 65,257,000 71,142,000 80,184,000 91,661,000
Repayment Of Debt -166,000,000 -405,000,000 -835,000,000 -40,000,000
Net Issuance Payments Of Debt 122,000,000 665,000,000 -730,000,000 -40,000,000
Issuance Of Capital Stock 47,384,000 49,142,000 53,094,000 74,439,000
Net P P E Purchase And Sale -134,835,000 -119,672,000 -99,460,000 -89,865,000
Operating Gains Losses 20,688,000 216,000 5,893,000 6,655,000
Cash Flow From Continuing Investing Activities -229,918,000 -1,159,845,000 -269,784,000 -200,045,000
Depreciation Amortization Depletion 193,841,000 197,562,000 216,209,000 235,811,000
Beginning Cash Position
End Cash Position
Changes In Cash
Common Stock Dividend Paid
Cash Dividends Paid
Effect Of Exchange Rate Changes
Long Term Debt Payments
Purchase Of P P E
Operating Cash Flow 351,147,000 693,299,000 1,401,260,000 1,751,588,000
Capital Expenditure -156,036,000 -134,000,000 -114,856,000 -100,642,000
Net Income From Continuing Operations