CoverageForm 410-K10-Q8-K13D13G13F

CSL · Carlisle Companies Inc - Financials

Annual line items from SEC XBRL filings, sourced from EDGAR's Company Facts API with fallback to the quarterly Financial Statement Data Sets. See issuer overview for Form 4 activity and 10-K signals.

Price · CSL

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$5.02B$5.00B$4.59B$6.59B$4.81B$4.25B
Cost of Revenue$3.23B$3.12B$2.95B$4.43B$3.50B$3.06B
Gross Profit$1.79B$1.89B$1.87B$2.16B$1.31B$1.18B
R&D$47.10M$35.40M$28.70M$50.80M$49.90M$54.80M
SG&A$745.40M$722.80M$625.20M$811.50M$698.20M$641.50M
Total Operating Expenses------
D&A$196.50M$172.60M$151.10M$251.30M$226.20M$224.20M
Operating Income$1.00B$1.14B$982.80M$1.28B$567.50M$483.60M
Interest Expense$78.50M$73.30M----
Income Tax$206.30M$245.80M$211.50M$270.40M$95.50M$77.10M
Net Income$740.70M$1.31B$767.40M$924.00M$421.70M$320.10M
EPS - Basic$17.27$28.17$15.35$17.80$8.01$5.85
EPS - Diluted$17.12$27.82$15.18$17.56$7.91$5.80

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$1.11B$753.50M$576.70M$400.00M$324.40M$902.20M
Accounts Receivable$593.80M$579.70M$615.30M$829.10M$814.60M$612.70M
Inventory$447.30M$472.70M$361.70M$748.80M$605.10M$503.50M
Accounts Payable$233.00M$261.10M$245.50M$370.50M$432.40M$317.60M
Current Assets$2.28B$1.93B$3.41B$2.25B$2.15B$2.21B
Total Assets$6.26B$5.82B$6.62B$7.22B$7.25B$5.87B
Current Liabilities$736.00M$665.80M$1.19B$1.08B$1.17B$646.20M
Long-term Debt$2.88B$1.89B$1.89B$2.28B$2.58B$2.08B
Total Liabilities------
Stockholders' Equity$1.80B$2.46B$2.83B$3.02B$2.63B$2.54B
Retained Earnings$7.33B$6.77B$5.63B$5.03B$4.24B$3.93B

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$1.10B$1.03B$1.20B$1.00B$421.70M$696.70M
Investing Cash Flow($240.40M)$1.23B$352.40M($61.10M)($1.49B)($122.60M)
Financing Cash Flow($503.70M)($2.11B)($1.35B)($862.00M)$488.10M($24.70M)
CapEx$131.20M$113.30M$142.20M$183.50M$134.80M$95.50M
Free Cash Flow$970.60M$917.00M$1.06B$817.40M$286.90M$601.20M

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin35.7%37.7%40.7%32.7%27.3%27.9%
Operating margin20.0%22.8%21.4%19.4%11.8%11.4%
EBITDA margin23.9%26.3%24.7%23.2%16.5%16.7%
Net margin14.8%26.2%16.7%14.0%8.8%7.5%
Free cash flow margin19.3%18.3%23.1%12.4%6.0%14.2%
FCF / Net income1.310.701.380.880.681.88
R&D / Revenue0.9%0.7%0.6%0.8%1.0%1.3%
SG&A / Revenue14.8%14.4%13.6%12.3%14.5%15.1%
Effective tax rate21.8%15.8%21.6%22.6%18.5%19.4%
Return on assets11.8%22.6%11.6%12.8%5.8%5.5%
Return on equity41.3%53.3%27.1%30.6%16.0%12.6%
Return on invested capital16.8%22.1%16.3%18.6%8.9%8.4%
Liquidity
Current ratio3.092.892.872.081.843.42
Quick ratio2.492.182.571.391.322.64
Cash ratio1.511.130.490.370.281.40
Leverage
Debt / Equity1.600.770.670.750.980.82
Debt / Assets0.460.320.280.320.360.35
Debt / EBITDA2.401.431.661.493.242.94
Interest coverage12.8x15.6x----
Equity multiplier3.492.362.342.392.762.31
Liabilities / Assets------
Efficiency
Asset turnover0.800.860.690.910.660.72
Inventory turnover7.226.598.165.925.786.08
Days sales outstanding43d42d49d46d62d53d
Days inventory outstanding51d55d45d62d63d60d
Days payable outstanding26d31d30d30d45d38d
Cash conversion cycle67d67d63d77d80d75d
Valuation
P / E18.7x13.3x20.6x13.4x31.4x26.9x
P / B7.7x7.1x5.6x4.1x5.0x3.4x
P / S2.8x3.5x3.4x1.9x2.7x2.0x
EV / EBITDA13.0x14.1x15.0x9.3x19.5x13.8x
Growth
Revenue growth (YoY)0.3%9.1%-30.4%37.0%13.3%-11.8%
Revenue CAGR (3y)-8.7%1.3%2.6%11.1%2.4%1.3%
Revenue CAGR (5y)3.4%0.8%0.5%10.0%5.5%3.7%
Gross profit growth (YoY)-5.0%1.2%-13.5%64.1%11.2%-13.8%
Operating income growth (YoY)-12.3%16.3%-23.0%124.8%17.3%-26.1%
Net income growth (YoY)-43.5%70.9%-16.9%119.1%31.7%-32.3%
EPS growth (YoY)-38.5%83.3%-13.6%122.0%36.4%-29.2%
EPS CAGR (3y)-0.8%52.1%37.8%28.9%-7.6%0.5%
EPS CAGR (5y)24.2%27.7%8.7%25.2%15.7%3.8%
FCF growth (YoY)5.8%-13.4%29.6%184.9%-52.3%-2.1%
FCF CAGR (5y)10.1%8.3%37.1%22.3%-7.4%5.6%
Book value growth (YoY)-27.1%-12.9%-6.5%15.0%3.6%-4.0%

Sales by segment

From XBRL dimensional facts in the 10-K period ending 2025-12-31.

Business segments

$10.04B total
Reportable Segments$5.02B · 50.0%
Construction Materials$3.72B · 37.1%
Carlisle Weatherproofing Technologies$1.30B · 12.9%

Geographic

$4.05B total
US$3.39B · 83.7%
International$329.70M · 8.1%
Europe$231.90M · 5.7%
North America Excluding US$75.70M · 1.9%
Other Countries$22.10M · 0.5%

Stability scores

Piotroski F-score

FY 2025 · 9-point quality

5/9
Neutral
  • Net income positive
  • Operating cash flow positive
  • ROA improved YoY
  • Cash flow > net income
  • Long-term debt decreased
  • Current ratio improved
  • No share dilution
  • Gross margin improved
  • Asset turnover improved

Peer comparison

Same SIC group: Fabricated Rubber Products, NEC

CompanyRevenue (last FY)Net marginROE
VYST$54.8K-2793.9%23.5%

Comparing CARLISLE COMPANIES INC against the 1 most active filer in the same SIC group.

Dividends

$4.40/share trailing 12 months · +10.0% YoY

Ex-datePer share
May 18, 2026$1.1000
Feb 17, 2026$1.1000
Nov 14, 2025$1.1000
Aug 19, 2025$1.1000
May 19, 2025$1.0000
Feb 18, 2025$1.0000
Nov 15, 2024$1.0000
Aug 20, 2024$1.0000
May 17, 2024$0.8500
Feb 15, 2024$0.8500
Nov 14, 2023$0.8500
Aug 16, 2023$0.8500
May 16, 2023$0.7500
Feb 16, 2023$0.7500
Nov 16, 2022$0.7500
Aug 17, 2022$0.7500
May 16, 2022$0.5400
Feb 17, 2022$0.5400
Nov 16, 2021$0.5400
Aug 17, 2021$0.5400
May 14, 2021$0.5250
Feb 18, 2021$0.5250
Nov 16, 2020$0.5250
Aug 17, 2020$0.5250