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3 ASX Dividend Stocks Yielding Up To 4.2%
Mon 18 May 26, 07:39 PMCSL Restructure And Seqirus Split Reset Expectations After Share Price Slide
Sat 02 May 26, 06:15 AMASX Dividend Stocks To Watch For Reliable Income
Mon 13 Apr 26, 07:39 PMCSL Expands U.S. Manufacturing And Secures Canadian Vaccine Contract As Shares Slide
Mon 09 Mar 26, 04:10 PMCSL (ASX:CSL) Valuation in Focus After Facility of the Year Award Recognizes Biotech Innovation
Mon 27 Oct 25, 09:11 PMDeclining Stock and Decent Financials: Is The Market Wrong About CSL Limited (ASX:CSL)?
Mon 22 Sep 25, 01:20 AM| Breakdown | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
|---|---|---|---|---|---|
| Type | yearly | yearly | yearly | yearly | yearly |
| Date | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
| Income before tax | 948.80M | 1110.90M | 930.40M | 1195.60M | 482.50M |
| Minority interest | - | - | - | - | - |
| Net income | 740.70M | 1311.80M | 767.40M | 924.00M | 421.70M |
| Selling general administrative | 745.40M | 107.90M | 797.70M | 811.50M | 698.20M |
| Selling and marketing expenses | - | 614.90M | 536.40M | - | - |
| Gross profit | 1792.60M | 1887.70M | 1634.20M | 2157.40M | 1314.70M |
| Reconciled depreciation | 196.50M | 172.60M | 230.40M | 251.30M | 226.20M |
| Ebit | 1027.30M | 1184.20M | 1006.00M | 1275.70M | 336.60M |
| Ebitda | 1223.80M | 1356.80M | 1210.70M | 1281.50M | 562.80M |
| Depreciation and amortization | 196.50M | 172.60M | 204.70M | 5.80M | 226.20M |
| Non operating income net other | - | - | - | 5.80M | -4.70000M |
| Operating income | 1000.10M | 1143.10M | 982.80M | 1275.70M | 336.60M |
| Other operating expenses | 4019.80M | 3860.50M | 3604.10M | 5316.20M | 4242.80M |
| Interest expense | 78.50M | 73.30M | 75.60M | 85.90M | 80.30M |
| Tax provision | 206.30M | 245.80M | 208.00M | 270.40M | 95.50M |
| Interest income | 52.60M | 60.30M | 16.00M | 7.10M | 1.20M |
| Net interest income | -52.60000M | -13.00000M | -59.30000M | -78.80000M | -79.10000M |
| Extraordinary items | -1.80000M | 446.70M | 48.50M | -1.20000M | 34.70M |
| Non recurring | - | - | - | - | - |
| Other items | - | - | - | - | - |
| Income tax expense | 206.30M | 245.80M | 211.50M | 270.40M | 95.50M |
| Total revenue | 5019.90M | 5003.60M | 4586.90M | 6591.90M | 4810.30M |
| Total operating expenses | 792.50M | 744.60M | 651.40M | 881.70M | 747.20M |
| Cost of revenue | 3227.30M | 3115.90M | 2952.70M | 4434.50M | 3495.60M |
| Total other income expense net | -51.30000M | -32.20000M | -52.40000M | -80.10000M | 145.90M |
| Discontinued operations | - | - | - | -1.20000M | 34.70M |
| Net income from continuing ops | 742.50M | 865.10M | 747.40M | 925.20M | 387.00M |
| Net income applicable to common shares | 740.70M | 1309.30M | 765.60M | 924.00M | 421.70M |
| Preferred stock and other adjustments | - | - | - | - | - |
| Breakdown | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
|---|---|---|---|---|---|
| Type | yearly | yearly | yearly | yearly | yearly |
| Date | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
| Total assets | 6263.00M | 5816.60M | 6620.00M | 7222.00M | 7246.80M |
| Intangible assets | 1425.50M | 1504.90M | 1252.90M | 1837.30M | 2008.70M |
| Earning assets | - | - | - | - | - |
| Other current assets | 124.20M | 120.40M | 1854.40M | 140.80M | 284.80M |
| Total liab | 4467.60M | 3353.30M | 3791.00M | 4197.60M | 4617.30M |
| Total stockholder equity | 1795.40M | 2463.30M | 2829.00M | 3024.40M | 2629.50M |
| Deferred long term liab | - | - | - | - | - |
| Other current liab | 503.00M | 317.90M | 491.80M | 365.80M | 351.20M |
| Common stock | 78.70M | 78.70M | 78.70M | 78.70M | 78.70M |
| Capital stock | 78.70M | 78.70M | 78.70M | 78.70M | 78.70M |
| Retained earnings | 7332.50M | 6773.10M | 5634.00M | 5027.10M | 4237.70M |
| Other liab | - | - | - | 786.90M | 808.00M |
| Good will | 1538.90M | 1478.00M | 1202.50M | 2200.70M | 2199.00M |
| Other assets | 84.50M | 74.00M | 50.90M | 48.10M | 46.90M |
| Cash | 1112.10M | 753.50M | 576.70M | 400.00M | 324.40M |
| Cash and equivalents | 1112.10M | 753.50M | 576.70M | 400.00M | 324.40M |
| Total current liabilities | 736.00M | 665.80M | 1186.30M | 1078.40M | 1169.50M |
| Current deferred revenue | - | 28.30M | 26.40M | 40.30M | 33.90M |
| Net debt | 1769.50M | 1237.60M | 1747.50M | 2234.10M | 2667.40M |
| Short term debt | 0.00000M | 3.20M | 402.70M | 301.80M | 352.00M |
| Short long term debt | - | 3.20M | 402.70M | 301.80M | 352.00M |
| Short long term debt total | 2881.60M | 3.20M | 2324.20M | 2634.10M | 2991.80M |
| Other stockholder equity | -5545.80000M | -4278.40000M | -2772.60000M | -1923.60000M | -1581.70000M |
| Property plant equipment | 936.70M | 833.40M | 705.60M | 822.70M | 759.90M |
| Total current assets | 2277.40M | 1926.30M | 3408.10M | 2245.00M | 2150.90M |
| Long term investments | - | - | - | - | - |
| Net tangible assets | - | - | - | -1013.60000M | -1594.10000M |
| Short term investments | - | - | - | - | - |
| Net receivables | 593.80M | 579.70M | 615.30M | 919.80M | 886.70M |
| Long term debt | 2881.60M | 1887.40M | 1886.70M | 2281.50M | 2575.40M |
| Inventory | 447.30M | 472.70M | 361.70M | 748.80M | 605.10M |
| Accounts payable | 233.00M | 261.10M | 245.50M | 370.50M | 432.40M |
| Total permanent equity | - | - | - | - | - |
| Noncontrolling interest in consolidated entity | - | - | - | - | - |
| Temporary equity redeemable noncontrolling interests | - | - | - | - | - |
| Accumulated other comprehensive income | -70.00000M | -110.10000M | -111.10000M | -157.80000M | -105.20000M |
| Additional paid in capital | - | - | - | - | - |
| Common stock total equity | - | - | - | 78.70M | 78.70M |
| Preferred stock total equity | - | - | - | - | - |
| Retained earnings total equity | - | - | - | 5027.10M | 4237.70M |
| Treasury stock | - | - | - | -2436.20000M | -2063.20000M |
| Accumulated amortization | - | - | - | - | - |
| Non currrent assets other | 214.10M | 195.60M | 50.90M | 116.30M | 128.30M |
| Deferred long term asset charges | - | - | - | - | - |
| Non current assets total | 3985.60M | 3890.30M | 3211.90M | 4977.00M | 5095.90M |
| Capital lease obligations | - | 100.50M | 34.80M | 50.80M | 64.40M |
| Long term debt total | 2881.60M | 1887.40M | 1886.70M | 2281.50M | 2575.40M |
| Breakdown | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
|---|---|---|---|---|---|
| Type | yearly | yearly | yearly | yearly | yearly |
| Date | 2025-12-31 | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
| Investments | - | 1229.60M | -137.10000M | -61.10000M | -30.20000M |
| Change to liabilities | - | - | - | -78.40000M | 62.10M |
| Total cashflows from investing activities | -240.40000M | 1229.60M | 352.40M | -61.10000M | -1486.40000M |
| Net borrowings | 987.80M | -400.00000M | -300.00000M | -350.00000M | 842.60M |
| Total cash from financing activities | -503.70000M | -2110.20000M | -1349.70000M | -862.00000M | 488.10M |
| Change to operating activities | - | - | - | 3.70M | -57.90000M |
| Net income | 742.80M | 1311.80M | 767.40M | 1000.90M | 421.70M |
| Change in cash | 358.60M | 176.80M | 211.90M | 75.60M | -572.70000M |
| Begin period cash flow | 753.50M | 576.70M | 364.80M | 324.40M | 897.10M |
| End period cash flow | 1112.10M | 753.50M | 576.70M | 400.00M | 324.40M |
| Total cash from operating activities | 1100.00M | 1059.10M | 1207.70M | 1000.90M | 421.70M |
| Issuance of capital stock | - | - | - | - | - |
| Depreciation | 196.50M | 70.20M | 204.70M | 251.30M | 226.20M |
| Other cashflows from investing activities | 0.40M | 2019.80M | 529.60M | 122.40M | 249.90M |
| Dividends paid | 181.10M | 172.40M | 160.30M | 134.40M | 112.50M |
| Change to inventory | 33.20M | -103.70000M | 158.00M | -165.20000M | -136.80000M |
| Change to account receivables | 102.70M | 79.90M | 15.20M | -25.90000M | -206.90000M |
| Sale purchase of stock | -1300.00000M | -1585.90000M | -900.00000M | -400.00000M | -315.60000M |
| Other cashflows from financing activities | -33.90000M | 48.10M | 10.60M | -18.00000M | -12.30000M |
| Change to netincome | - | - | - | -2.10000M | -212.80000M |
| Capital expenditures | 131.20M | 113.30M | 142.20M | 183.50M | 134.80M |
| Change receivables | - | - | - | -25.90000M | -206.90000M |
| Cash flows other operating | - | - | - | 97.20M | 41.40M |
| Exchange rate changes | - | - | - | - | - |
| Cash and cash equivalents changes | - | - | - | 77.80M | -576.60000M |
| Change in working capital | 73.70M | -25.70000M | 119.40M | -239.40000M | -290.00000M |
| Stock based compensation | -13.50000M | 30.10M | 41.50M | 31.20M | 19.40M |
| Other non cash items | 75.90M | -267.20000M | 146.40M | -9.80000M | 49.80M |
| Free cash flow | 970.60M | 945.80M | 1065.50M | 817.40M | 286.90M |
Sector: Industrials Industry: Building Products & Equipment
| Company | Change (USD) | Price (USD) | Trailing PE (x) | Forward PE (x) | Price Sales TTM (x) | Price to Book Value (x) | Enterprise Value to Revenue (x) | Enterprise Value to EBITDA (x) |
|---|---|---|---|---|---|---|---|---|
| CSL Carlisle Companies Incorporated |
20.24 5.74% | 373.12 | 20.84 | 17.51 | 2.91 | 8.14 | 3.26 | 13.39 |
| TT Trane Technologies plc |
9.46 1.99% | 483.80 | 28.25 | 23.87 | 3.13 | 8.12 | 3.36 | 19.06 |
| CARR Carrier Global Corp |
3.19 4.51% | 73.94 | 36.51 | 22.03 | 2.37 | 3.73 | 2.86 | 17.62 |
| CODYY Compagnie de Saint-Gobain ADR |
0.48 2.73% | 18.09 | 13.72 | 12.18 | 0.98 | 1.57 | 1.04 | 6.42 |
| CODGF Compagnie de Saint-Gobain S.A |
- -% | 89.95 | 13.41 | 12.12 | 0.94 | 1.57 | 1.04 | 6.42 |
Carlisle Companies Incorporated operates as a manufacturer and supplier of building envelope products and solutions in the United States, Europe, North America, and internationally. It operates through two segments, Carlisle Construction Materials (CCM) and Carlisle Weatherproofing Technologies (CWT). The CCM segment offers single-ply roofing solutions, including ethylene propylene diene monomer, thermoplastic polyolefin, polyvinyl chloride membrane, polyiso insulation, and engineered metal roofing and wall panel systems for commercial and residential buildings. Its CWT segment provides waterproofing and moisture protection products; protective roofing underlayment; fully integrated liquid and sheet applied air/vapor barriers; sealants/primers and flashing systems; roof coatings and mastics; spray polyurethane foam and coating systems for a range of thermal protection applications and other premium polyurethane products; block-molded expanded polystyrene insulation; engineered products for HVAC applications; and products for a variety of industrial and surfacing applications. The company sells its products under the Carlisle SynTec, Versico, WeatherBond, Hunter Panels, Resitrix, and Hertalan brands. The company was founded in 1917 and is headquartered in Scottsdale, Arizona.
16430 North Scottsdale Road, Scottsdale, AZ, United States, 85254
| Name | Title | Year Born |
|---|---|---|
| Mr. D. Christian Koch | Chairman, Pres & CEO | 1965 |
| Mr. Scott C. Selbach | VP, Sec. & Gen. Counsel | 1956 |
| Mr. John E. Berlin | Pres of Carlisle Interconnect Technologies | 1962 |
| Mr. Kevin P. Zdimal | VP & CFO | 1970 |
| Ms. Kelly P. Kamienski | VP & Chief Accounting Officer | 1983 |
| Mr. James Giannakouros C.F.A. | VP of Investor Relations | NA |
| Ms. Lori A. Snyder | VP of HR | 1979 |
| Mr. Karl T. Messmer | Pres of Carlisle Brake & Friction | 1971 |
| Mr. Frank J. Ready | Pres of Carlisle Weatherproofing Technologies | 1962 |
| Mr. Georg Harrasser | Pres of Carlisle Construction Materials Europe | 1966 |
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