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Carlisle Companies Incorporated  (CSL)
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Suppliers by CSL's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Carlisle Companies Incorporated CSL Total 1,096.5 192.3 17.54 %
Alpha And Omega Semiconductor Limited AOSL Total 149.6 -11.2 -
Lyondellbasell Industries N v LYB Total O&P 4,712.0 1,390.0 29.5 %
Air Products And Chemicals Inc APD Equipment 125.4 27.4 21.85 %
Alcoa Corp AA Alumina & Chemicals 926.0 186.0 20.09 %
Ati Inc ATI High Performance Metals 474.7 18.8 3.96 %
Chevron Corp CVX Refining, Marketing & Transportation 31,689.0 2,956.0 9.33 %
Csx Corporation CSX Chemicals 529.0 0.0 -
Dow Inc DOW Performance Plastics 4,665.0 1,349.0 28.92 %
Dow Inc DOW Performance Chemicals 3,142.0 540.0 17.19 %
Dow Inc DOW Agricultural Sciences 1,167.0 582.0 49.87 %
Dupont De Nemours Inc DD Agriculture & Nutrition 3,828.0 1,136.0 29.68 %
Dupont De Nemours Inc DD Coatings & Color Technologies 1,302.0 102.0 7.83 %
Eastman Chemical Co EMN CASPI Segment 486.0 114.0 23.46 %
Eastman Chemical Co EMN PCI Segment 732.0 104.0 14.21 %
Emerson Electric Co EMR Process Control 2,291.0 429.0 18.73 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
Norfolk Southern Corp NSC Chemicals 451.0 0.0 -
Occidental Petroleum Corporation OXY Chemical 1,008.0 231.0 22.92 %
Occidental Petroleum Corporation OXY Midstream & marketing 231.0 -177.0 -
Union Pacific Corp UNP Chemicals 882.0 0.0 -
Agilent Technologies inc A Bio-analytical Measurement 511.0 95.0 18.59 %
Rockwell Automation Inc ROK Total 2,125.4 265.3 12.48 %
Hess Corporation HES Refining marketing & shipping 148.0 16.0 10.81 %
Fmc Corporation FMC Industrial Chemicals 254.2 36.5 14.36 %
Fmc Corporation FMC Specialty Chemicals 226.3 44.0 19.44 %
Berkshire Hathaway Inc BRKA Marmon 1,680.0 290.0 17.26 %
Danaher Corporation DHR Life Sciences & Diagnostics 1,997.6 214.8 10.75 %
Dupont De Nemours Inc DD Agriculture 1,093.0 -63.0 -
Ashland Inc ASH Specialty Ingredients 579.0 75.0 12.95 %
Eastman Chemical Co EMN Additives & Functional Products 602.0 126.0 20.93 %
Eastman Chemical Co EMN Adhesives & Plasticizers 305.0 74.0 24.26 %
Fmc Corporation FMC FMC Minerals 263.2 36.2 13.75 %
Thermo Fisher Scientific Inc TMO Life & Laboratory Sciences 1,640.9 236.4 14.41 %
Thermo Fisher Scientific Inc TMO Life Sciences Solutions 1,080.4 332.7 30.79 %
Thermo Fisher Scientific Inc TMO Laboratory Sciences 1,638.2 249.6 15.24 %
Air Products And Chemicals Inc APD Materials Technologies 490.0 116.4 23.76 %
Saia Inc SAIA Total 775.1 98.2 12.67 %
Werner Enterprises Inc WERN Total 769.1 6.2 0.81 %
Old Dominion Freight Line Inc ODFL Total 1,515.3 339.3 22.39 %
J b Hunt Transport Services Inc JBHT Total 2,944.0 127.5 4.33 %
Arcbest Corporation ARCB Total 1,036.4 -2.3 -
Hub Group Inc HUBG Total 1,024.8 30.5 2.97 %
Ampco pittsburgh Corp AP Total 102.2 1.2 1.21 %
Usd Partners Lp USDP Total 11.1 -2.8 -
Amtech Systems Inc ASYS Total 23.7 -12.0 -
Badger Meter Inc BMI Total 185.7 26.0 13.98 %
Hubbell Inc HUBB Total 1,398.7 149.1 10.66 %
Cf Industries Holdings inc CF Total 1,470.0 238.0 16.19 %
S and w Seed Co SANW Total 16.0 -6.0 -
Haynes International inc HAYN Total 152.0 8.6 5.63 %
Universal Stainless and Alloy Products Inc USAP Total 76.7 4.1 5.4 %
Intrepid Potash inc IPI Total 79.3 -3.1 -
Adm Tronics Unlimited Inc ADMT Total 0.8 -0.4 -
Albemarle Corporation ALB Total 1,360.7 16.6 1.22 %
Cabot Corporation CBT Total 965.0 246.0 25.49 %
Celanese Corporation CE Total 2,611.0 124.0 4.75 %
Gevo inc GEVO Total 4.0 -18.9 -
Huntsman Corporation HUN Total 1,470.0 -23.0 -
Innospec Inc IOSP Total 463.2 39.2 8.46 %
Quaker Chemical Corporation KWR Total 469.6 35.3 7.51 %
Lsb Industries Inc LXU Total 113.6 -7.7 -
Newmarket Corporation NEU Total 696.4 107.7 15.47 %
Olin Corporation OLN Total 1,635.3 47.8 2.92 %
Westlake Corporation WLK Total 2,975.0 185.0 6.22 %
Westlake Chemical Partners Lp WLKP Total 284.7 89.6 31.49 %
American Superconductor Corp AMSC Total 43.4 -1.6 -
Barnes Group Inc B Total 430.6 1.9 0.45 %
Liquidmetal Technologies Inc LQMT Total 0.2 -0.3 -
Mueller Water Products Inc MWA Total 353.4 44.3 12.54 %
Antero Midstream Corporation AM Total 279.1 103.9 37.24 %
Blue Dolphin Energy Co BDCO Total 90.8 6.6 7.29 %
Genesis Energy Lp GEL Total 770.1 19.0 2.46 %
Gaming And Leisure Properties inc GLPI Total 376.0 179.5 47.75 %
Cvr Energy Inc CVI Total 1,863.0 90.0 4.83 %
Delek Us Holdings Inc DK Total 3,227.6 -25.2 -
Icahn Enterprises l p IEP Total 2,262.0 -20.0 -
Imperial Oil Limited IMO Total 9,408.8 915.4 9.73 %
Pbf Energy Inc PBF Total 8,645.6 107.5 1.24 %
Model N Inc MODN Total 64.2 -1.4 -
Diodes Inc DIOD Total 403.9 49.8 12.34 %
Schneider National Inc SNDR Total 1,319.0 18.5 1.4 %
Magnachip Semiconductor Corporation MX Total 49.1 -15.4 -
On Semiconductor Corporation ON Total 1,862.6 453.7 24.36 %
Photronics Inc PLAB Total 216.3 56.4 26.07 %
Power Integrations Inc POWI Total 91.7 4.0 4.31 %
Vishay Precision Group Inc VPG Total 80.1 5.8 7.28 %
APROX. MARKET   SUBTOTAL 130,388 15,037 11.53 %







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