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Resmed (RMD)
NYSE:RMD
US Market

Resmed (RMD) Cash flow

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Resmed Cash Flow

RMD's free cash flow for Q3 2025 was $554.87M. For the 2025 fiscal year, RMD's free cash flow was decreased by $727.11M and operating cash flow was $578.66M. See a summary of the company’s cash flow.
Cash Flow
Jun 24Jun 23Jun 22Jun 21Jun 20
Operating Cash Flow
$ 1.40B$ 693.30M$ 351.15M$ 736.72M$ 802.25M
Investing Cash Flow
$ -269.78M$ -1.16B$ -229.92M$ -158.46M$ -179.86M
Financing Cash Flow
$ -1.12B$ 422.87M$ -128.36M$ -764.63M$ -317.29M
End Cash Position
$ 238.36M$ 227.89M$ 273.71M$ 295.28M$ 463.16M
Free Cash Flow
$ 1.29B$ 559.30M$ 195.11M$ 619.89M$ 696.32M
Currency in USD

Resmed Cash Flow

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