Carlisle Companies Inc. Logo

Carlisle Companies Inc. (CSL1)

BMV

Currency in MXN
8,041.64
0.00 (0.00%)

Closed

Aug 21, 2026

Day's Range

8,041.64
8,041.64

52 wk Range

8,041.64
8,041.64

Financial Statements - CSL1 - Carlisle Companies Inc.

Revenue

5.01B 94.2%

Net Income

740.70M 96.7%Net Margin 14.8%

EBITDA

1.22B 94.8%

Free Cash Flow

970.60M 93.9%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales5.01B86.83B4.58B5.44B3.83B3.96B
Cost of Goods3.22B54.07B2.95B3.58B2.74B2.83B
Gross Profit1.79B32.76B1.63B1.86B1.09B1.13B
ExpandOperating Expense
------
Operating Income1B19.83B982.80M1.20B573.40M487.80M
ExpandNon-Operating Interest
------
Other Income Expense-1.10M-333.21M3.10M-2M-4.40M-11.70M
Pre Tax Income948.80M19.27B930.40M1.12B489.90M404.20M
Income Tax206.30M4.26B211.50M265.70M104.30M78.50M
Net Income740.70M22.76B767.40M924M421.70M320.10M
EPS Basic17.2728.1715.3517.88.015.85
EPS Diluted17.1227.8215.1817.567.915.8
Basic Shares Outstanding42.80M807M2.44M2.53M2.56M2.66M
Diluted Shares Outstanding42.80M807M2.44M2.53M2.56M2.66M
Ebit1.02B20.55B1B1.20B570.10M480.80M
Ebitda1.22B23.54B1.21B1.46B796.30M713.80M
Net Income Continuous Operations740.70M22.76B767.40M924M421.70M320.10M
Minority Interests------
Preferred Stock Dividends1.50M43.38M1.80M2.20M1.20M1.10M

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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