Carlisle Financial Ratios for Analysis 2009-2024 | CSL

Fifteen years of historical annual and quarterly financial ratios and margins for Carlisle (CSL).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
2.872.081.843.421.953.452.502.642.184.114.082.562.032.232.66
0.400.430.490.450.340.380.390.190.200.250.270.300.290.230.11
0.810.851.110.820.600.610.630.240.320.340.380.420.510.350.13
35.6334.2428.5528.6529.1226.2227.9531.7228.4125.5825.3326.9023.4420.9221.71
21.4322.1114.9512.2914.1411.3612.3715.9314.2012.7412.4613.0410.677.769.38
21.4322.1114.9512.2914.1411.3612.3715.9314.2012.7412.4613.0410.677.769.38
25.8926.7220.8417.9418.7215.6216.8819.9617.8515.9916.3316.7214.2010.6012.37
20.2820.6212.7710.1812.829.9511.4411.0713.2111.7411.3212.159.837.438.99
16.7016.9210.968.0410.5113.649.747.309.027.847.139.487.235.706.33
0.690.750.530.680.820.850.710.860.900.850.840.820.791.001.18
8.166.924.536.556.237.226.026.207.137.037.356.413.544.645.23
7.458.864.717.166.576.415.996.707.057.307.366.985.126.467.87
48.9641.2177.5050.9755.5556.9060.8954.5251.7650.0349.5652.2871.2356.4646.41
25.3628.3114.6212.7917.3213.8113.479.3713.6211.4211.8412.7911.479.7412.60
192165-24.36-500.15-213.831913,04145.0098.2840.0342.9572.7297.8934.7625.88
10.8411.855.315.538.336.836.435.838.096.706.736.625.485.168.02
15.2116.147.397.0311.498.578.287.5410.868.528.599.008.177.4811.17
59.3159.4250.5747.9747.4544.8240.8838.3936.6534.0931.2028.3324.3321.9720.09
23.8419.067.9312.6712.235.587.228.198.044.596.407.643.061.746.81
21.0115.575.3910.9310.683.594.706.516.952.754.875.431.840.846.18

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.732.892.952.874.182.582.312.081.792.011.881.842.453.303.253.423.313.514.331.953.042.962.963.453.273.103.142.502.142.222.342.642.672.172.202.182.162.634.324.114.033.924.144.082.842.862.802.561.901.881.992.032.072.242.262.232.742.562.802.662.492.492.29
0.410.390.400.400.440.430.430.430.430.470.490.490.530.460.460.450.460.450.510.340.370.380.390.380.370.370.370.390.240.220.190.190.200.190.200.200.200.250.250.250.260.260.270.270.280.290.290.300.190.230.280.290.220.220.230.230.110.110.110.110.120.120.18
0.830.760.800.810.780.850.840.850.961.021.091.111.150.860.860.820.840.831.020.600.590.620.630.610.590.590.580.630.320.290.240.240.240.300.310.320.320.320.340.340.350.360.370.380.390.410.410.420.330.420.490.510.350.350.380.350.120.120.130.130.130.160.34
38.5739.2236.3837.2237.0036.5130.3837.5534.3734.0832.8142.5728.2526.1326.0329.5430.0827.9827.0229.7429.6929.9826.9225.8826.6026.8725.3325.3528.3929.1229.2130.5032.6532.2230.9128.8530.3728.9924.3924.7726.2326.1324.9225.6625.1426.1324.2126.4924.8225.9423.7520.1121.5421.1021.2120.6621.5620.8820.4622.2923.8522.8417.41
23.7326.0220.5422.4923.8123.6113.5229.3521.6422.7418.5346.8212.6611.369.0012.6214.6511.869.9714.8314.9115.7610.7010.6411.8512.929.629.4313.4514.8711.5612.1717.9517.9513.9314.5116.6315.039.3611.2714.8214.239.6912.7813.7613.798.8010.6112.1514.2510.826.679.409.817.844.539.939.226.986.9212.2513.333.65
23.7326.0220.5422.4923.8123.6113.5229.3521.6422.7418.5346.8212.6611.369.0012.6214.6511.869.9714.8314.9115.7610.7010.6411.8512.929.629.4313.4514.8711.5612.1717.9517.9513.9314.5116.6315.039.3611.2714.8214.239.6912.7813.7613.798.8010.6112.1514.2510.826.679.409.817.844.539.939.226.986.9212.2513.333.65
---------------------------------------------------------------
24.1125.6919.5921.6922.5022.5712.0327.4720.2021.3817.0341.6511.109.676.6310.2512.8610.167.4012.6513.8414.699.469.2410.3211.837.958.2212.3314.2010.8912.032.9217.1212.8713.3915.7314.178.1810.1913.9713.308.4611.6212.6912.717.489.6711.4713.5910.095.958.779.247.223.769.789.056.746.5011.9212.973.14
18.3249.1117.5418.0821.0814.8911.3925.2917.0116.9912.9431.5610.808.435.558.679.687.816.0012.2610.8511.637.418.188.449.2031.4411.628.6110.407.9811.85-0.9911.568.639.3410.659.645.556.719.668.755.509.639.611.038.777.017.649.436.754.896.176.274.775.077.515.564.397.297.638.621.22
0.210.220.170.170.180.180.130.090.190.230.200.060.190.200.160.160.180.170.160.150.230.240.200.210.220.230.180.190.230.230.190.160.250.240.200.220.240.250.190.210.240.240.180.210.220.230.180.200.280.300.270.250.310.320.270.250.320.340.280.250.310.330.27
1.772.071.741.962.011.380.800.821.221.501.380.381.721.881.321.491.441.271.341.121.771.821.521.751.771.841.501.651.581.601.281.191.731.751.441.751.771.781.501.752.001.931.501.801.241.190.931.551.271.331.251.171.421.551.231.161.371.501.251.121.531.561.17
1.671.611.561.831.641.361.221.111.371.511.490.491.501.631.381.651.471.391.501.201.491.441.391.541.391.471.451.581.451.421.381.261.641.581.561.741.621.551.581.801.651.611.581.811.391.331.221.671.611.571.521.621.611.521.571.601.681.661.561.691.761.831.68
53.9456.0657.5249.1154.8766.0773.6481.2965.5959.7860.3018260.0355.2065.3554.3961.3964.5659.9875.1660.5862.6764.9058.3464.7961.2861.9956.8562.0263.5665.1271.5754.9457.0457.5551.6155.5758.1856.8150.0454.6256.0057.0249.6764.6467.8573.6253.7755.9457.3359.3955.4456.0759.0657.2456.1353.5154.2557.5953.1851.0049.1653.68
8.939.495.986.727.427.482.734.557.6710.117.254.884.443.892.043.314.153.022.453.335.205.923.073.433.584.292.134.313.253.832.302.30-0.394.632.873.484.384.111.792.414.013.621.803.033.453.492.412.464.025.403.842.633.653.862.411.723.513.021.853.243.914.931.00
-4,932.0013139.4550.8844.88-42.12-8.8226.52-23.05-23.14-12.81-8.13-7.09-74.56-15.13-129.58-32.52-27.54-20.98-41.15121-2,428.65-261.4947.4236.0455.9226.4197238.6033.0017.9611.06-1.7926.6619.0025.1232.2939.255.998.4611.5011.246.0610.9914.0216.6216.2513.9917.6528.7528.7822.4812.2911.578.036.156.485.793.656.667.889.922.13
3.814.242.572.873.183.161.171.913.023.842.651.771.601.610.851.431.771.310.981.602.512.841.461.701.782.111.052.051.832.241.421.43-0.242.761.702.072.542.361.051.422.322.071.031.721.851.861.281.272.152.711.851.261.922.051.280.912.241.891.182.062.402.950.55
5.305.833.604.034.174.271.572.604.385.333.702.472.072.091.091.822.251.651.212.213.263.671.882.132.262.691.342.652.462.981.861.85-0.313.742.302.783.503.101.331.802.972.661.312.202.482.481.711.733.264.142.771.882.863.011.861.323.142.691.642.873.464.330.82
60.8664.7560.0759.3159.9160.6460.2059.4258.9555.8351.9150.5748.8446.5946.2947.9746.5346.2545.8747.4547.3045.7944.4544.8245.4144.6744.7840.8839.4539.2739.1238.3938.0538.6737.3336.6536.4535.4534.1034.0933.5232.5231.7031.2030.2528.9928.9728.3327.5526.4525.1524.3323.8923.2822.4121.9721.6220.8220.3320.0919.6418.9618.03
14.197.243.3823.8416.227.242.8919.0611.194.260.847.935.363.241.2612.678.084.100.9412.238.543.421.905.581.70-0.050.537.224.772.100.498.195.522.761.688.045.352.250.754.592.521.080.796.404.861.850.597.575.052.420.763.051.910.220.001.741.010.33-0.276.815.444.421.04
12.546.042.7121.0114.095.872.1215.578.712.680.255.393.682.200.8910.936.743.220.5410.687.562.711.493.590.11-1.14-0.154.703.091.070.026.514.322.061.396.954.611.740.462.751.140.160.434.873.771.090.185.383.591.470.421.841.15-0.30-0.270.840.35-0.10-0.336.184.984.130.87