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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
403,504
520,478
311,206
414,356
Return on Equity
5.822
6.142
6.211
5.694
Net Profit Margin
26.197
27.856
27.593
26.096
Debt to Asset Ratio
26.551
26.096
25.666
26.324
Cash Ratio
105.313
122.891
113.537
110.223
Quick Ratio
242.198
233.286
232.091
213.455
Current Ratio
309.993
300.772
305.966
288.788
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RESMED INC (RSMDF)
RESMED INC (RSMDF)