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Carlisle Companies Incorporated  (NYSE: CSL)
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Carlisle Companies Incorporated

CSL's Fundamental analysis








Carlisle Companies Incorporated's sales fell by -0.06 % in I. Quarter 2025 from the same quarter a year ago. Ranking at No. 261

Medical Equipment & Supplies industry recorded deterioration of revenues by -12.27 %

Carlisle Companies Incorporated's net profit decreased by -25.48 % in I. Quarter 2025 year on year, to $143 millions.

More on CSL's Growth


Carlisle Companies Incorporated
current PE on trailing twelve month basis is above Medical Equipment & Supplies industry average.

Carlisle Companies Incorporated PEG ratio is at 0.18 Carlisle Companies Incorporated realized cash reduction of $ -7.83 per share in trailing twelve-month period.
Company
14.09
PE TTM   
Industry
-
PE TTM    
Company's Price to Sales ratio is at 3.39.
Medical Equipment & Supplies industry's Price to Sales ratio is at 4.14.


More on CSL's Valuation
 
 Total Debt (Millions $) 1,891
 Dividend TTM ($) 3.79 $
 Dividend Yield TTM (%) 1.07 %
 Revenue/Employee (TTM) $ 454,809
 Net Income/Employee (TTM) $ 114,800
 Receivable Turnover (TTM) 6.71
 Tangible Book Value (Per Share $) -66.80

Carlisle Companies Incorporated
current PE on trailing twelve month basis is above Medical Equipment & Supplies industry average.

Carlisle Companies Incorporated PEG ratio is at 0.18 Carlisle Companies Incorporated realized cash outflow of $ -7.83per share in trailing twelve-month period.
Company
14.09
PE TTM   
Industry
-
PE TTM    
Company's Price to Sales ratio is at 3.39.
Medical Equipment & Supplies industry's Price to Sales ratio is at 4.14.


More on CSL's Valuation

  Market Capitalization (Millions $) 16,950
  Shares Outstanding (Millions) 45
  Employees 11,000
  Revenues (TTM) (Millions $) 5,003
  Net Income (TTM) (Millions $) 1,263
  Cash Flow (TTM) (Millions $) -350
  Capital Exp. (TTM) (Millions $) -110
  Total Debt (Millions $) 1,891
  Dividend TTM ($) 3.79 $
  Dividend Yield TTM (%) 1.07 %
  Revenue/Employee (TTM) $ 454,809
  Net Income/Employee(TTM) $ 114,800
  Receivable Turnover Ratio (TTM) 6.71
  Tangible Book Value (Per Share $) -66.80

  Market Capitalization (Millions $) 16,950
  Shares Outstanding (Millions) 45
  Employees 11,000
  Revenues (TTM) (Millions $) 5,003
  Net Income (TTM) (Millions $) 1,263
  Cash Flow (TTM) (Millions $) -350
  Capital Exp. (TTM) (Millions $) -110


    CSL's Profitability Comparisons
Carlisle Companies Incorporated faced margin deterioration, primarily through cost pressure. Operating Margin fell in I. Quarter 2025 to 16.75 % from 19.95 % in IV. Quarter.

Carlisle Companies Incorporated net profit margin of 13.08 % is currently ranking no. 4 in Medical Equipment & Supplies industry, ranking no. 8 in Healthcare sector and number 128 in S&P 500.


Profitability by Segment
Information FromExternalCustomersAndLongLivedAssetsLineItems 19.26 %
CCM 24.4 %
CWT 5.45 %
Total 13.08 %



  Ratio
   Capital Ratio (MRQ) 2.58
  Total Debt to Equity (MRQ) -
  Tangible Leverage Ratio (MRQ) -
  Asset Turnover Ratio (TTM) 0.82
  Inventory Turnover Ratio (TTM) 6.62



Carlisle Companies Incorporated faced margin deterioration, primarily through cost pressure. Operating Margin fell in I. Quarter 2025 to 16.75 % from 19.95 % in IV. Quarter.

Carlisle Companies Incorporated net profit margin of 13.08 % is currently ranking no. 4 in Medical Equipment & Supplies industry, ranking no. 8 in Healthcare sector and number 128 in S&P 500.

More on CSL's Key Ratios





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