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Carlisle Companies CSL Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$771.3M+250%$1.11B+47.6%$1.11B-27.8%$68.4M-96.1%$220.2M-60.2%
$692.1M-1.0%$593.8M+2.4%$774.3M-3.1%$881.7M-2.4%$699.4M-0.2%
$481M-9.2%$447.3M-5.4%$481.4M+4.1%$500.9M+17.5%$529.6M+32.5%
$159.1M-8.1%$169.6M+8.0%$165.8M+5.7%$169.2M+14.2%$173.1M+34.8%
$29.8M+13.3%$25.1M-3.8%$32.6M+24.9%$30.1M+18.0%$26.3M-7.4%
$303.8M-10.9%$266.5M-11.1%$295.9M+2.2%$314.3M+19.9%$341.1M+35.6%
$27.2M-67.0%$28.5M+5.9%$122.4M+342%$75.9M+248%$82.4M+331%
$2.03B+32.7%$2.28B+18.2%$2.48B-14.7%$1.53B-51.6%$1.53B-55.8%
$813.3M+10.2%$807.1M+13.4%$783.2M+16.8%$769.7M+15.9%$738.3M+12.9%
$787.9M+9.3%$774M+10.2%$763.4M$741.9M$720.7M
$1.54B+3.2%$1.54B+4.1%$1.53B+14.0%$1.54B+14.8%$1.49B+24.2%
$1.39B-6.9%$1.43B-5.3%$1.45B+1.9%$1.48B+2.4%$1.5B+21.9%
$213.4M+9.5%$214.1M+9.5%$207.5M+61.6%$203.2M+62.8%$194.9M+89.8%
$5.99B+9.9%$6.26B+7.7%$6.46B-0.3%$5.52B-18.0%$5.45B-18.0%
$316.4M+0.9%$233M-10.8%$294.7M-10.0%$338.4M-6.9%$313.5M-2.9%
$284.9M+1.9%$503M+24.3%$470M+436%$358.7M+365%$279.6M+398%
$23.2M+5.5%$7.5M-72.9%$14.9M-45.0%$22M-17.9%
$4.9M+25.6%$4.8M+50.0%$4.5M-98.9%$4.3M-98.9%$3.9M-99.0%
$344.6M+5.7%$342.5M+6.3%$336.6M+6.7%$330.2M+7.2%$326M+7.8%
$601.3M+1.4%$736M+10.5%$764.7M-28.4%$697.1M-36.0%$593.1M-49.5%
$2.88B+52.5%$2.88B+52.7%$2.88B+52.5%$1.89B+0.2%$1.89B+0.2%
$261.5M+7.1%$261.9M+4.9%$252.3M-43.2%$247.7M-43.6%$244.2M-42.2%
200M0.0%200M+154%200M0.0%200M0.0%200M0.0%
$611.2M+4.2%$603.5M+2.5%$592.9M+2.1%$585.6M+2.7%$586.5M+4.2%
$7.41B+7.9%$7.33B+8.3%$7.25B+8.9%$7.08B+9.7%$6.87B+18.8%
-$80M+21.4%-$70M+36.4%-$78.9M+22.9%-$72.2M+36.1%-$101.8M+14.7%
$6.37B+20.9%$6.15B+26.3%$5.85B+31.5%$5.56B+39.3%$5.27B+52.8%
$1.65B-23.7%$1.8B-27.1%$1.99B-27.9%$2.12B-29.4%$2.17B-24.2%
$5.99B+9.9%$6.26B+7.7%$6.46B-0.3%$5.52B-18.0%$5.45B-18.0%
$2.9M-45.3%$3.9M-17.0%$4.3M-10.4%$4.2M-16.0%$5.3M+10.4%
$2.9M-45.3%$3.9M-17.0%$4.3M-10.4%$4.2M-16.0%$5.3M+10.4%
$60.8M-26.2%$95.7M+2.4%$122.4M+33.8%$75.9M+18.4%$82.4M+22.1%
$11.7M+7.3%$13.9M+36.3%$12.9M+29.0%$12.7M+33.7%$10.9M+26.7%
$213.4M+9.5%$214.1M+9.5%$207.5M+61.6%$203.2M+62.8%$194.9M+89.8%
$2.1B+1.1%$2.1B+2.5%$2.1B$2.1B$2.07B
$1.39B-6.9%$1.43B-5.3%$1.45B+1.9%$1.48B+2.4%$1.5B+21.9%
$213.4M+9.5%$214.1M+9.5%$207.5M+61.6%$203.2M+62.8%$194.9M+89.8%
$213.4M+9.5%$214.1M+9.5%$207.5M+61.6%$203.2M+62.8%$194.9M+89.8%
$344.6M+5.7%$342.5M+6.3%$336.6M+6.7%$330.2M+7.2%$326M+7.8%
$284.9M+1.9%$503M+24.3%$470M+51.4%$358.7M+21.1%$279.6M+27.8%
$48M+150%$48.8M+114%$21M-8.3%$19.3M-17.2%$19.2M+9.1%
$284.9M+1.9%$503M+24.3%$470M+51.4%$358.7M+21.1%$279.6M+27.8%
$503M+24.3%
$344.6M+5.7%$342.5M+6.3%$336.6M+6.7%$330.2M+7.2%$326M+7.8%
$26.3M+370%$27.3M+66.5%$28.3M+189%$4.2M-57.6%$5.6M-45.6%
$344.6M+5.7%$342.5M+6.3%$336.6M+6.7%$330.2M+7.2%$326M+7.8%
$14.9M$13.7M+95.7%$11.6M
$2.89B+52.5%$3.02B+49.8%$2.88B+25.9%$1.9B-17.2%$1.89B-17.3%
$245.4M+6.4%$245.6M+7.6%$232.4M$232.3M$230.6M
$1.000.0%$1.000.0%$1.000.0%$1.000.0%$1.000.0%
5M0.0%5M0.0%5M0.0%5M0.0%5M0.0%
00000
00000
$611.2M+4.2%$603.5M+2.5%$592.9M+2.1%$585.6M+2.7%$586.5M+4.2%
$78.7M0.0%$78.7M0.0%$78.7M0.0%$78.7M0.0%$78.7M0.0%
$1.000.0%$1.000.0%$1.000.0%$1.000.0%$1.000.0%
$2.9M-45.3%$3.9M-17.0%$4.3M-10.4%$4.2M-16.0%$5.3M+10.4%
$10.0%$10.0%$10.0%$10.0%$10.0%
$200M0.0%$200M0.0%$200M0.0%$200M0.0%$200M0.0%
$40.5M-6.5%$41.9M-7.7%$42.6M-8.2%$43.3M-9.0%
$374.8M+5.7%$372.3M+6.2%$365.8M+6.6%$359M+7.1%$354.6M+7.7%
$26.3M+370%$27.3M+66.5%$28.3M+189%$4.2M-57.6%$5.6M-45.6%
$245.4M+6.4%$245.6M+7.6%$232.4M$232.3M$230.6M
$701.8M+21.8%$673.7M+24.0%$643.3M$613.1M$576.2M
$2.1B+1.1%$2.1B+2.5%$2.1B$2.1B$2.07B
$159.1M-8.1%$169.6M+8.0%$165.8M+5.7%$169.2M+14.2%$173.1M+34.8%
$48M+150%$48.8M+114%$21M-8.3%$19.3M-17.2%$19.2M+9.1%
$14.9M$13.7M+95.7%$11.6M
$10.0%$10.0%$10.0%$10.0%$10.0%
$5M0.0%$5M0.0%$5M0.0%$5M0.0%$5M0.0%
$0$0$0$0$0
$0$0$0$0$0
$27.2M$28.5M+5.9%
$23.2M+5.5%$7.5M+5.6%$14.9M+6.4%$22M+6.8%
$38.1M+7.9%$36.7M+10.5%$36M+11.8%$35.3M+13.9%

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Questions, answered.

What are Carlisle Companies's total assets?
Carlisle Companies (CSL) holds $6.0B in total assets, up 9.9% year over year.
How much debt does Carlisle Companies have?
Carlisle Companies carries $2.9B in total debt against $1.7B of shareholders' equity, a debt-to-equity ratio of 1.75.
How much cash does Carlisle Companies have?
Carlisle Companies holds $771.3M in cash and equivalents.
Can Carlisle Companies cover its short-term obligations?
Its current ratio is 3.38 — current assets exceed current liabilities.
Where does Carlisle Companies's balance sheet data come from?
Every line is extracted from Carlisle Companies's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.