Carlisle Companies
NYSE:CSL
$ 333,62
+ $7,76 (2,38%)
333,62 $
+$7,76 (2,38%)
End-of-day quote: 03/31/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$19,40
Earnings Per Share
$123,07
Revenue Per Share
35,71%
Gross Margin %
$13,61 B
Market Cap
$1,89 B
Long-Term Debt
Earnings Per Share
$19,40
Revenue Per Share
$123,07
Gross Margin %
35,71%
Market Cap
$13,61 B
Long-Term Debt
$1,89 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $19,40 $20,20 $15,52 $20,01 $9,44 $6,32 $8,29 $6,22 $5,53 $5,86 $4,82 $3,83 $3,61 $4,27 $2,93 $2,32 $1,86 $2,53 $2,92 $2,79
Earnings Earnings $791,33M $898,09M $739,06M $1,02B $490,12M $335,78M $462,08M $355,22M $341,70M $378,38M $309,40M $248,95M $230,50M $269,82M $181,04M $141,59M $111,92M $154,30M $175,49M $170,22M
RPS Revenue Per Share $123,07 $112,54 $96,32 $129,20 $92,65 $79,90 $86,32 $78,44 $66,19 $56,92 $55,20 $49,29 $46,09 $57,44 $52,18 $41,42 $39,55 $48,72 $47,86 $42,17
Revenue Revenue $5,02B $5,00B $4,59B $6,59B $4,81B $4,25B $4,81B $4,48B $4,09B $3,68B $3,54B $3,20B $2,94B $3,63B $3,22B $2,53B $2,38B $2,97B $2,88B $2,57B
OCF Operating Cash Flow $1,10B $1,03B $1,20B $1,00B $421,70M $696,70M $703,10M $339,20M $458,70M $531,20M $529,20M $295,90M $414,70M $485,90M $191,20M $107,40M $447,20M $274,20M $259,30M $19,88M
FCF Free Cash Flow $713,15M $938,30M $982,78M $817,40M $326,20M $601,20M $614,20M $218,50M $298,80M $422,40M $457,10M $177,10M $303,90M $345,50M $111,60M $42,80M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 19,97% 22,37% 21,41% 22,61% 15,09% 12,77% 14,40% 11,76% 13,09% 16,61% 14,46% 13,11% 12,35% 13,72% 10,80% 8,84% 9,54% 8,05% 10,70% 11,59%
GM % Gross Margin % 35,71% 37,73% 35,63% 34,24% 28,61% 28,96% 29,24% 26,57% 28,24% 31,78% 28,67% 25,94% 25,37% 26,98% 23,46% 21,54% 22,20% 18,98% 20,90% 21,48%
FCFS Free Cash Flow Per Share $22,68 $20,34 $21,35 $15,59 $5,96 $11,10 $10,77 $3,60 $4,72 $6,57 $7,05 $2,76 $4,79 $5,53 $1,82 $0,70 $6,09 $3,41 $2,87 $-1,23
LT Debt Long-Term Debt N/A $1,89B $1,89B $2,28B $2,58B $2,08B $1,34B $1,59B $1,59B $596,40M $595,60M $749,80M $751,00M $752,30M $604,30M $405,10M $156,10M $273,30M $262,80M $274,66M
Sha. Stocks 40,79M 44,46M 47,62M 51,02M 51,92M 53,13M 55,74M 57,11M 61,79M 64,57M 64,19M 65M 63,85M 63,19M 61,79M 61,03M 60,17M 60,99M 60,1M 61,01M
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