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CARLISLE COMPANIES INC CSL

NYSE · stock · Fabricated Rubber Products, NEC · website · IPO 1960-01-06 · LEI

CARLISLE COMPANIES INC financials (annual)

Revenue
$3.68B $4.09B $4.48B $4.48B $3.97B $3.84B $5.45B $4.59B $5.00B $5.02B 2016201720182019202020212022202320242025
Net income
$250.1M $365.5M $611.1M $472.8M $320.1M $421.7M $924.0M $767.4M $1.31B $740.7M 2016201720182019202020212022202320242025
Free cash flow
$422.4M $298.8M $218.5M $614.2M $601.2M $286.9M $817.4M $1.06B $917.0M $970.6M 2016201720182019202020212022202320242025

Bars are annual figures from 2016 to 2025; red bars are negative (a loss or cash outflow).

MetricFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Revenue$5.0B$5.0B$4.6B$5.4B$3.8B$4.0B$4.5B$4.5B$4.1B$3.7B
Gross profit$1.6B$1.9B$1.4B$1.2B$1.0B$1.2B
R&D expense$47.1M$35.4M$28.7M$19.0M$16.4M$45.4M$52.2M$55.1M$51.3M$45.4M
SG&A expense$745.4M$722.8M$625.2M$623.5M$507.8M$603.2M$629.8M$625.4M$532.9M$495.4M
Operating income$1.0B$1.1B$982.8M$1.2B$573.4M$487.8M$634.1M$509.0M$464.0M$404.2M
Income tax$206.3M$245.8M$211.5M$265.7M$104.3M$78.5M$117.3M$87.3M$88.4M$148.1M
Net income$740.7M$1.3B$767.4M$924.0M$421.7M$320.1M$472.8M$611.1M$365.5M$250.1M
EPS (diluted)$17.12$27.82$15.18$17.56$7.91$5.80$8.19$10.02$5.71$3.82
Operating cash flow$1.1B$1.0B$1.2B$1.0B$421.7M$696.7M$703.1M$339.2M$458.7M$531.2M
Free cash flow$970.6M$917.0M$1.1B$817.4M$286.9M$601.2M$614.2M$218.5M$298.8M$422.4M
Cash & equivalents$1.1B$753.5M$576.7M$364.8M$324.4M$897.1M$351.2M$803.6M$378.3M$385.0M
Inventory$447.3M$472.7M$361.7M$518.0M$605.1M$432.7M$510.6M$457.5M$448.8M$377.0M
Total assets$6.3B$5.8B$6.6B$7.2B$7.2B$5.9B$5.5B$5.2B$5.3B$4.0B
Shareholders' equity$1.8B$2.5B$2.8B$3.0B$2.6B$2.5B$2.6B$2.6B$2.5B$2.5B

Growth · year-over-year · Revenue CAGR 3.5%

MetricFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Revenue growth+0.3%+9.1%-15.8%+42.0%-3.4%-11.5%+0.1%+9.5%+11.3%+3.7%
Net income growth-43.5%+70.9%-16.9%+119.1%+31.7%-32.3%-22.6%+67.2%+46.1%-21.8%
EPS growth-38.5%+83.3%-13.6%+122.0%+36.4%-29.2%-18.3%+75.5%+49.5%-20.7%
Free cash flow growth+5.8%-13.4%+29.6%+184.9%-52.3%-2.1%+181.1%-26.9%-29.3%-7.6%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · US · as of 2025-12-31. Facts plus Stocktoria's own computed scores — not investment advice.