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Carlisle Companies Incorporated

Industrials US CSL

352.88USD
-8.08(2.24%)

Last update at 2026-06-23T20:01:00Z

Day Range

351.21358.75
LowHigh

52 Week Range

292.64431.97
LowHigh

Fundamentals

  • Previous Close 360.96
  • Market Cap14619.25M
  • Volume292148
  • P/E Ratio20.84
  • Dividend Yield1.16%
  • EBITDA1199.60M
  • Revenue TTM5019.90M
  • Revenue Per Share TTM117.29
  • Gross Profit TTM 1792.60M
  • Diluted EPS TTM17.16

Source: TradingView
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Financials

Income Statement

Balance Sheet

Change in Cash

Total Operating Cash

Dividends Paid

Breakdown 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Type yearly yearly yearly yearly yearly
Date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Income before tax 948.80M 1110.90M 930.40M 1195.60M 482.50M
Minority interest - - - - -
Net income 740.70M 1311.80M 767.40M 924.00M 421.70M
Selling general administrative 745.40M 107.90M 797.70M 811.50M 698.20M
Selling and marketing expenses - 614.90M 536.40M - -
Gross profit 1792.60M 1887.70M 1634.20M 2157.40M 1314.70M
Reconciled depreciation 196.50M 172.60M 230.40M 251.30M 226.20M
Ebit 1027.30M 1184.20M 1006.00M 1275.70M 336.60M
Ebitda 1223.80M 1356.80M 1210.70M 1281.50M 562.80M
Depreciation and amortization 196.50M 172.60M 204.70M 5.80M 226.20M
Non operating income net other - - - 5.80M -4.70000M
Operating income 1000.10M 1143.10M 982.80M 1275.70M 336.60M
Other operating expenses 4019.80M 3860.50M 3604.10M 5316.20M 4242.80M
Interest expense 78.50M 73.30M 75.60M 85.90M 80.30M
Tax provision 206.30M 245.80M 208.00M 270.40M 95.50M
Interest income 52.60M 60.30M 16.00M 7.10M 1.20M
Net interest income -52.60000M -13.00000M -59.30000M -78.80000M -79.10000M
Extraordinary items -1.80000M 446.70M 48.50M -1.20000M 34.70M
Non recurring - - - - -
Other items - - - - -
Income tax expense 206.30M 245.80M 211.50M 270.40M 95.50M
Total revenue 5019.90M 5003.60M 4586.90M 6591.90M 4810.30M
Total operating expenses 792.50M 744.60M 651.40M 881.70M 747.20M
Cost of revenue 3227.30M 3115.90M 2952.70M 4434.50M 3495.60M
Total other income expense net -51.30000M -32.20000M -52.40000M -80.10000M 145.90M
Discontinued operations - - - -1.20000M 34.70M
Net income from continuing ops 742.50M 865.10M 747.40M 925.20M 387.00M
Net income applicable to common shares 740.70M 1309.30M 765.60M 924.00M 421.70M
Preferred stock and other adjustments - - - - -
Breakdown 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Type yearly yearly yearly yearly yearly
Date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total assets 6263.00M 5816.60M 6620.00M 7222.00M 7246.80M
Intangible assets 1425.50M 1504.90M 1252.90M 1837.30M 2008.70M
Earning assets - - - - -
Other current assets 124.20M 120.40M 1854.40M 140.80M 284.80M
Total liab 4467.60M 3353.30M 3791.00M 4197.60M 4617.30M
Total stockholder equity 1795.40M 2463.30M 2829.00M 3024.40M 2629.50M
Deferred long term liab - - - - -
Other current liab 503.00M 317.90M 491.80M 365.80M 351.20M
Common stock 78.70M 78.70M 78.70M 78.70M 78.70M
Capital stock 78.70M 78.70M 78.70M 78.70M 78.70M
Retained earnings 7332.50M 6773.10M 5634.00M 5027.10M 4237.70M
Other liab - - - 786.90M 808.00M
Good will 1538.90M 1478.00M 1202.50M 2200.70M 2199.00M
Other assets 84.50M 74.00M 50.90M 48.10M 46.90M
Cash 1112.10M 753.50M 576.70M 400.00M 324.40M
Cash and equivalents 1112.10M 753.50M 576.70M 400.00M 324.40M
Total current liabilities 736.00M 665.80M 1186.30M 1078.40M 1169.50M
Current deferred revenue - 28.30M 26.40M 40.30M 33.90M
Net debt 1769.50M 1237.60M 1747.50M 2234.10M 2667.40M
Short term debt 0.00000M 3.20M 402.70M 301.80M 352.00M
Short long term debt - 3.20M 402.70M 301.80M 352.00M
Short long term debt total 2881.60M 3.20M 2324.20M 2634.10M 2991.80M
Other stockholder equity -5545.80000M -4278.40000M -2772.60000M -1923.60000M -1581.70000M
Property plant equipment 936.70M 833.40M 705.60M 822.70M 759.90M
Total current assets 2277.40M 1926.30M 3408.10M 2245.00M 2150.90M
Long term investments - - - - -
Net tangible assets - - - -1013.60000M -1594.10000M
Short term investments - - - - -
Net receivables 593.80M 579.70M 615.30M 919.80M 886.70M
Long term debt 2881.60M 1887.40M 1886.70M 2281.50M 2575.40M
Inventory 447.30M 472.70M 361.70M 748.80M 605.10M
Accounts payable 233.00M 261.10M 245.50M 370.50M 432.40M
Total permanent equity - - - - -
Noncontrolling interest in consolidated entity - - - - -
Temporary equity redeemable noncontrolling interests - - - - -
Accumulated other comprehensive income -70.00000M -110.10000M -111.10000M -157.80000M -105.20000M
Additional paid in capital - - - - -
Common stock total equity - - - 78.70M 78.70M
Preferred stock total equity - - - - -
Retained earnings total equity - - - 5027.10M 4237.70M
Treasury stock - - - -2436.20000M -2063.20000M
Accumulated amortization - - - - -
Non currrent assets other 214.10M 195.60M 50.90M 116.30M 128.30M
Deferred long term asset charges - - - - -
Non current assets total 3985.60M 3890.30M 3211.90M 4977.00M 5095.90M
Capital lease obligations - 100.50M 34.80M 50.80M 64.40M
Long term debt total 2881.60M 1887.40M 1886.70M 2281.50M 2575.40M
Breakdown 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Type yearly yearly yearly yearly yearly
Date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Investments - 1229.60M -137.10000M -61.10000M -30.20000M
Change to liabilities - - - -78.40000M 62.10M
Total cashflows from investing activities -240.40000M 1229.60M 352.40M -61.10000M -1486.40000M
Net borrowings 987.80M -400.00000M -300.00000M -350.00000M 842.60M
Total cash from financing activities -503.70000M -2110.20000M -1349.70000M -862.00000M 488.10M
Change to operating activities - - - 3.70M -57.90000M
Net income 742.80M 1311.80M 767.40M 1000.90M 421.70M
Change in cash 358.60M 176.80M 211.90M 75.60M -572.70000M
Begin period cash flow 753.50M 576.70M 364.80M 324.40M 897.10M
End period cash flow 1112.10M 753.50M 576.70M 400.00M 324.40M
Total cash from operating activities 1100.00M 1059.10M 1207.70M 1000.90M 421.70M
Issuance of capital stock - - - - -
Depreciation 196.50M 70.20M 204.70M 251.30M 226.20M
Other cashflows from investing activities 0.40M 2019.80M 529.60M 122.40M 249.90M
Dividends paid 181.10M 172.40M 160.30M 134.40M 112.50M
Change to inventory 33.20M -103.70000M 158.00M -165.20000M -136.80000M
Change to account receivables 102.70M 79.90M 15.20M -25.90000M -206.90000M
Sale purchase of stock -1300.00000M -1585.90000M -900.00000M -400.00000M -315.60000M
Other cashflows from financing activities -33.90000M 48.10M 10.60M -18.00000M -12.30000M
Change to netincome - - - -2.10000M -212.80000M
Capital expenditures 131.20M 113.30M 142.20M 183.50M 134.80M
Change receivables - - - -25.90000M -206.90000M
Cash flows other operating - - - 97.20M 41.40M
Exchange rate changes - - - - -
Cash and cash equivalents changes - - - 77.80M -576.60000M
Change in working capital 73.70M -25.70000M 119.40M -239.40000M -290.00000M
Stock based compensation -13.50000M 30.10M 41.50M 31.20M 19.40M
Other non cash items 75.90M -267.20000M 146.40M -9.80000M 49.80M
Free cash flow 970.60M 945.80M 1065.50M 817.40M 286.90M

Peer Comparison

Sector: Industrials Industry: Building Products & Equipment

Company Change (USD) Price (USD) Trailing PE (x) Forward PE (x) Price Sales TTM (x) Price to Book Value (x) Enterprise Value to Revenue (x) Enterprise Value to EBITDA (x)
CSL
Carlisle Companies Incorporated
-8.08 2.24% 352.88 20.84 17.51 2.91 8.14 3.26 13.39
TT
Trane Technologies plc
-17.25 3.51% 474.34 28.25 23.87 3.13 8.12 3.36 19.06
CARR
Carrier Global Corp
-1.1 1.53% 70.75 36.51 22.03 2.37 3.73 2.86 17.62
CODYY
Compagnie de Saint-Gobain ADR
-0.21 1.18% 17.56 13.72 12.18 0.98 1.57 1.04 6.42
CODGF
Compagnie de Saint-Gobain S.A
- -% 89.95 13.41 12.12 0.94 1.57 1.04 6.42

Reports Covered

Stock Research & News

Profile

Carlisle Companies Incorporated operates as a manufacturer and supplier of building envelope products and solutions in the United States, Europe, North America, and internationally. It operates through two segments, Carlisle Construction Materials (CCM) and Carlisle Weatherproofing Technologies (CWT). The CCM segment offers single-ply roofing solutions, including ethylene propylene diene monomer, thermoplastic polyolefin, polyvinyl chloride membrane, polyiso insulation, and engineered metal roofing and wall panel systems for commercial and residential buildings. Its CWT segment provides waterproofing and moisture protection products; protective roofing underlayment; fully integrated liquid and sheet applied air/vapor barriers; sealants/primers and flashing systems; roof coatings and mastics; spray polyurethane foam and coating systems for a range of thermal protection applications and other premium polyurethane products; block-molded expanded polystyrene insulation; engineered products for HVAC applications; and products for a variety of industrial and surfacing applications. The company sells its products under the Carlisle SynTec, Versico, WeatherBond, Hunter Panels, Resitrix, and Hertalan brands. The company was founded in 1917 and is headquartered in Scottsdale, Arizona.

Carlisle Companies Incorporated

16430 North Scottsdale Road, Scottsdale, AZ, United States, 85254

Key Executives

Name Title Year Born
Mr. D. Christian Koch Chairman, Pres & CEO 1965
Mr. Scott C. Selbach VP, Sec. & Gen. Counsel 1956
Mr. John E. Berlin Pres of Carlisle Interconnect Technologies 1962
Mr. Kevin P. Zdimal VP & CFO 1970
Ms. Kelly P. Kamienski VP & Chief Accounting Officer 1983
Mr. James Giannakouros C.F.A. VP of Investor Relations NA
Ms. Lori A. Snyder VP of HR 1979
Mr. Karl T. Messmer Pres of Carlisle Brake & Friction 1971
Mr. Frank J. Ready Pres of Carlisle Weatherproofing Technologies 1962
Mr. Georg Harrasser Pres of Carlisle Construction Materials Europe 1966

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