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CSL - CARLISLE COMPANIES INC


336.14
1.740   0.518%

Share volume: 348,491
Last Updated: 03-07-2025
Rubber And Plastic Products/Fabricated Rubber Products: -0.05%

PREVIOUS CLOSE
CHG
CHG%

$334.40
1.74
0.01%
5D - 1M - 3M - 1Y - 3Y - 5Y - 10Y - 15Y
Income statement Balance sheet Cash flow To see more then 2 years history Buy Premium
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Fiscal Date 12-31-2023 12-31-2023 03-31-2024 03-31-2024 06-30-2024 06-30-2024 09-30-2024 12-31-2024
Fiscal Quarter Q4 2023 Q4 2023 Q1 2024 Q1 2024 Q2 2024 Q2 2024 Q3 2024 Q4 2024
Report Date 02-14-2025 02-16-2024 04-26-2024 04-26-2024 07-25-2024 07-25-2024 10-25-2024 02-14-2025
Cash flow financing -355.200 M -355.200 M -166.100 M -166.100 M -575.800 M -575.800 M -501.000 M -867.300 M
Other financing cash flows 6.700 M 0.000 26.300 M 0.000 17.400 M 0.000 11.700 M 6.700 M
Cash flow 472.800 M 388.900 M -34.600 M 163.500 M 1.166 B 183.400 M -205.900 M -776.000 M
Net income 205.500 M 205.500 M 192.300 M 192.300 M 712.400 M 712.400 M 244.300 M 162.800 M
Depreciation 17.400 M 35.400 M 16.600 M 38.900 M 17.600 M 43.100 M 17.500 M 18.500 M
Changes in inventories 0.000 361.700 M 52.800 M 399.800 M 0.000 426.300 M 0.000 0.000
Changes in receivables 0.000 615.300 M 0.000 700.800 M 0.000 903.600 M 0.000 0.000
Investing Cashflow 439.100 M 439.100 M -32.000 M -32.000 M 1.559 B 1.559 B -17.700 M -279.300 M
Net Borrowings 0.000 1.584 B 0.000 1.651 B 0.000 467.900 M 0.000 0.000
Investing Activity Other 300.000 K 0.000 300.000 K 0.000 800.000 K 0.000 200.000 K -300.000 K
Dividends Paid -41.000 M 0.000 -41.500 M 0.000 -40.200 M 0.000 -45.700 M -45.000 M
Exchange Rate Effect 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Capital Expenditures 35.900 M -35.900 M 32.500 M -32.500 M 24.900 M -24.900 M 19.300 M 36.600 M
Cash Change 474.300 M 576.700 M -35.300 M 552.600 M 1.166 B 1.736 B -205.700 M -777.100 M