$388.25
$-3.07 (-0.79%)
End-of-day quote: 04/30/2024
NYSE:CSL

Carlisle Cos Inc Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$4.59B $6.59B $4.81B $4.25B $4.81B $4.48B $3.75B $3.43B $3.54B $3.20B $2.94B $2.85B $2.49B $2.53B $2.26B $2.86B $2.81B $2.35B $2.19B $2.00B
GM % Gross Margin %
35.63% 32.81% 27.58% 28.16% 28.66% 26.57% 28.24% 31.78% 28.67% 25.94% 25.37% 26.98% 23.46% 21.54% 22.20% 18.98% 20.90% 21.48% 20.63% 19.48%
OM Operating Margin
21.41% 19.82% 12.31% 12.19% 13.74% 11.67% 13.09% 16.61% 14.46% 13.11% 12.35% 13.72% 10.80% 8.84% 9.54% 8.05% 10.70% 11.59% 10.25% 8.70%
EPS Earnings Per Share
$0.00 $15.52 $20.01 $9.44 $6.32 $8.29 $6.22 $5.53 $5.86 $4.82 $3.83 $3.61 $4.27 $2.93 $2.32 $1.86 $2.53 $2.92 $2.79 $2.24 $1.90
Div. Dividends
$3.20 $2.58 $2.13 $2.05 $1.80 $1.54 $1.44 $1.30 $1.10 $0.94 $0.84 $0.76 $0.70 $0.66 $0.60 $0.60 $0.56 $0.53 $0.48 $0.45
PR % Payout Ratio %
20.62% 12.89% 22.56% 32.44% 21.71% 24.76% 26.04% 22.18% 22.82% 24.54% 23.27% 17.80% 23.89% 28.45% 32.26% 23.72% 19.18% 19.00% 21.43% 23.68%
Sha. Shares
47.57m 50.78m 51.85m 52.73m 55.69m 57.96m 61.84m 64.26m 64.05m 64.69m 63.66m 63.13m 61.66m 61.02m 60.65m 60.53m 60.6m 61.45m 60.71m 61.79m
OCF Operating Cash Flow
$1.21B $1.00B $426.80M $696.70M $703.10M $337.90M $457.70M $530.90M $529.20M $295.90M $414.70M $485.90M $191.20M $107.40M $417.20M $274.20M $259.30M $19.90M $209.68M $116.74M
FCF Free Cash Flow
$982.78M $817.40M $326.20M $601.20M $614.20M $218.50M $298.80M $422.40M $457.10M $177.10M $303.90M $345.50M $111.60M $42.80M $369.00M $206.20M $176.79M $-75.58M $108.48M $39.12M
FCFS Free Cash Flow Per Share
$21.35 $15.78 $5.56 $11.03 $10.79 $3.60 $4.72 $6.57 $7.05 $2.76 $4.79 $5.53 $1.82 $0.70 $6.09 $3.41 $2.87 $-1.23 $1.65 $0.63