csl stock: Carlisle Companies overview & guide
CSL (stock)
Keyword focus early: This article addresses csl stock as a ticker and investment subject. It treats Carlisle Companies Incorporated (NYSE: CSL) as the primary reference and includes a brief disambiguation for CSL Limited (ASX: CSL).
csl stock is notable to investors because Carlisle Companies is a diversified manufacturer serving building, roofing and industrial markets with specialty products and durable brands — a profile that blends manufacturing resilience with exposure to construction cycles.
Disambiguation
- CSL (NYSE: CSL) — Carlisle Companies Incorporated: U.S.-based diversified manufacturer of building envelope and specialty products (primary subject of this article).
- CSL (ASX: CSL) — CSL Limited: Australian biotechnology company focused on plasma-derived therapies and vaccines (listed here only to avoid ticker confusion; not related to Carlisle Companies).
Carlisle Companies Incorporated (NYSE: CSL) — Overview
Carlisle Companies Incorporated is an American publicly traded manufacturer founded in 1917, headquartered in Scottsdale, Arizona. The company operates through businesses that produce building envelope products, roofing systems, insulation and specialty industrial products.
As an anchor for this guide, csl stock refers to Carlisle Companies on the New York Stock Exchange; readers seeking the Australian biopharma CSL should consult that company’s disclosures separately.
History and corporate development
- Founded in 1917: Carlisle began as a small manufacturing firm and expanded over decades through organic growth and acquisitions.
- Mid-20th century growth: The company diversified into construction and specialty products, building capabilities in roofing membranes, sealants and industrial components.
- 1980s–2000s: Carlisle pursued targeted acquisitions to expand its portfolio of building-materials brands and geographic reach.
- 2000s–2010s: Strategic focus on higher-margin specialty businesses led to reorganization of operating segments and steady share repurchase/dividend programs.
- Recent decades: Continued acquisition-driven growth and incremental capital allocation toward roofing, waterproofing and insulation technologies.
These milestones shaped the Carlisle operating model investors follow when evaluating csl stock: a collection of niche businesses under a centralized capital-allocation umbrella.
Business segments and products
Carlisle reports results across core segments commonly described as:
- Carlisle Construction Materials (CCM): Single-ply roofing membranes, adhesives, insulation panels, coatings and complementary accessories sold under brands like Versico and WeatherBond.
- Carlisle Weatherproofing Technologies (CWT): Waterproofing membranes, sealants, flashings and specialty building envelope products used in commercial and institutional construction.
- Other specialty industrial products: Components for transportation, aerospace, HVAC and industrial end markets through various branded offerings.
Major product categories include single-ply roofing membranes, commercial insulation panels, waterproofing systems, adhesives and sealants, and specialty polymer solutions. Recognizable brands historically associated with Carlisle include Versico, WeatherBond, Hunter Panels and several regional product lines.
Markets and operations
Carlisle operates across North America, Europe, Asia and Latin America, selling through distribution networks, direct sales teams and relationships with contractors, architects and industrial OEMs.
- Geographic footprint: Strong presence in the U.S. construction and roofing markets, with expanding operations and sales channels in Europe and Asia.
- Distribution: A mix of direct commercial-sales, independent distributors and contractor-focused channels.
- End markets: Commercial roofing and building construction, industrial manufacturing customers, transportation and specialty OEMs.
These channels and markets define revenue cyclicality for csl stock — tied to construction activity, infrastructure spending and industrial demand.
Financial profile
- Revenue scale: Carlisle’s trailing revenue has been reported in the multi‑billion dollar range. As a working reference, analysts and corporate filings commonly cite annual revenue near US$5.0 billion on a trailing twelve‑month basis in recent reporting periods.
- Profitability and cash flow: The company typically reports positive operating margins in its specialty segments, with free cash flow generation used for dividends, share repurchases and selective acquisitions.
- Capital structure: Carlisle maintains a leveraged balance between debt and equity consistent with industrial manufacturers; debt levels and leverage ratios vary over time following acquisitions and capital allocation decisions.
As of 2026-01-26, according to Yahoo Finance, Carlisle Companies (csl stock on NYSE) had trailing twelve‑month revenue reported near US$5.0 billion and maintained a multi‑billion dollar market capitalization range frequently quoted by market data providers. Readers should consult the latest Form 10‑Q/10‑K and live quote services for precise, current figures.
Recent financial performance and earnings
Carlisle typically reports quarterly and annual results that highlight segment-level revenue, margin trends and guidance. Earnings releases, conference-call transcripts and Form 8‑K filings influence short‑term stock reactions.
- Earnings cadence: Quarterly results and management commentary can affect csl stock movement, particularly when guidance shifts or margins deviate from expectations.
- Where to find details: The company’s investor relations page and SEC filings (10‑Q/10‑K/8‑K) are primary sources for official results; financial portals provide summarized metrics and historical data.
As of 2026-01-26, according to Carlisle’s investor relations press releases, the company’s most recent quarter showed mixed strength in commercial roofing demand while margin pressure was noted in some product lines due to material costs. Investors should review the exact earnings press release and earnings presentation for quantified details and management commentary.
Stock market information
- Ticker and exchange: NYSE: CSL (commonly referred to as csl stock in U.S. equity contexts).
- Trading characteristics: csl stock trades on the New York Stock Exchange with daily volume and liquidity sufficient for institutional coverage; exact average daily volume and market-cap figures change frequently.
- Common data points: Price‑to‑earnings ratio (P/E), dividend yield, 52‑week high/low range and beta are routinely cited by market data providers. Because these metrics move with market prices, consult live quotes to obtain current values.
As of 2026-01-26, according to Morningstar and Yahoo Finance, csl stock showed a market capitalization in the multi‑billion dollar band and typical analyst‑reported P/E and dividend yield metrics consistent with mid‑to‑large cap industrial manufacturers. For live trading metrics and to place trades or monitor quotes, consider checking a trusted market platform; readers interested in on‑chain wallets or crypto custody may use Bitget Wallet where applicable for related services.
Price history and performance
- Multi‑year returns: Over rolling multi‑year windows, csl stock has delivered periods of steady appreciation tied to revenue growth, as well as drawdowns during macroeconomic slowdowns or construction downturns.
- Notable highs/lows: Historical highs and lows are recorded in daily price histories available via Macrotrends, Yahoo Finance and company disclosures. These sources provide charts for 1‑, 5‑, and 10‑year performance analysis.
Dividends and shareholder returns
- Dividend policy: Carlisle has historically paid regular dividends and periodically adjusted payouts in line with cash flow and capital allocation priorities.
- Yield and payout trends: Dividend yield for csl stock varies with market price; investors tracking income should consult the investor relations dividends page for declared per‑share amounts and ex‑dividend dates.
As of 2026-01-26, according to company dividend notices and aggregated financial portals, Carlisle maintained a dividend distribution policy with a yield typically in a low‑to‑mid single‑digit percentage range — specific yields change with price and dividend declarations.
Ownership, institutional holders, and insider activity
- Institutional ownership: Large institutional investors commonly hold a meaningful portion of csl stock, reflecting analyst coverage and inclusion in broad market indices.
- Insider holdings: Insider ownership at many public manufacturers is usually modest; insider transactions are disclosed via SEC Form 4 filings.
For up‑to‑date holdings, shareholders should consult the latest 13F filings and institutional‑ownership summaries on financial data platforms and the company’s proxy statement.
Analysts and market coverage
- Coverage: csl stock receives coverage from sell‑side analysts and data aggregators. Analyst consensus ratings (buy/hold/sell) and average price targets are reported by services like Finviz, Morningstar and CNBC.
- How coverage affects the stock: Upgrades, downgrades and target‑price revisions can move sentiment; however, ratings should be weighed alongside company fundamentals and filings.
Investors looking at analyst data should cross‑check multiple sources and review the original analyst reports when possible.
Risks and considerations for investors
When evaluating csl stock, consider the following risk categories — presented neutrally to inform due diligence:
- Cyclical exposure: Reliance on commercial construction and roofing markets makes revenue sensitive to economic cycles and capital‑expenditure trends.
- Raw‑material costs: Fluctuations in commodity and input costs (polymers, asphalt, insulation feedstocks, energy) can pressure margins.
- Supply‑chain constraints: Disruptions in component availability or logistics can delay projects and increase costs.
- Competition: Regional and global manufacturers of roofing and building materials compete on price, product performance and channel relationships.
- Regulatory and environmental requirements: Building‑code changes, environmental regulations and sustainability expectations may require capital investment or product reformulation.
- Leverage and balance‑sheet risk: Debt incurred for acquisitions affects financial flexibility; covenant terms and interest rates matter for cash‑flow planning.
These considerations are standard for industrial and building‑materials companies and apply when assessing csl stock.
Corporate governance and management
- Board and leadership: Carlisle maintains a corporate board and executive leadership team responsible for strategy, capital allocation and risk oversight. Key executive roles include the Chief Executive Officer and Chief Financial Officer.
- Governance documents: Proxy statements, governance guidelines and committee charters are available in the company’s investor relations and SEC‑filing materials for shareholders who wish to review governance practices.
Shareholders can review meeting materials and voting items ahead of annual meetings via the company’s IR page and proxy filings.
Recent developments and news
This section highlights the types of material events that typically move csl stock. For the most recent specifics, consult the company’s press releases and SEC filings.
- Earnings releases and guidance updates: Quarterly results and forward guidance can lead to price volatility.
- Acquisitions and divestitures: Purchase announcements that change segment mix or add technologies are material to strategic outlook.
- Management changes: Executive departures or appointments are disclosed through press releases and may affect investor sentiment.
- Analyst actions: Upgrades, downgrades and revised targets from major brokerages can prompt trading moves.
As of 2026-01-26, according to the Carlisle investor relations news release dated within the most recent quarter, management reported steady demand for single‑ply roofing products while noting margin headwinds in selected product lines driven by input costs. For full details, consult the company’s most recent press release and 8‑K filing.
Investment considerations and valuation
- Common valuation metrics: P/E ratio, EV/EBITDA, price‑to‑book (P/B) and free‑cash‑flow yield are commonly used to value csl stock relative to peers and the broader market.
- Investor theses: Typical investor considerations include the company’s niche leadership in roofing and building products, recurring demand from repair/replacement cycles, dividend income and the potential for margin expansion via product mix improvement.
- Caveats: Valuation must incorporate cyclicality, capital intensity and potential exposure to commodity prices. Always perform up‑to‑date due diligence and consult primary filings.
CSL Limited (ASX: CSL) — Brief disambiguation entry
- CSL Limited (ASX: CSL) is an Australian biotechnology company focused on plasma‑derived therapies, vaccine production and related biopharmaceutical activities. It is a distinct legal entity with no corporate relationship to Carlisle Companies.
As of 2026-01-26, according to CSL Limited investor disclosures, that company operates in a different industry (biopharma) and trades on the Australian Securities Exchange. Readers searching for the Australian CSL should use that company’s investor materials for accurate ASX pricing and regulatory filings.
See also
- Building materials industry overview
- Roofing materials manufacturers and distributors
- How to read financial statements (10‑K / 10‑Q basics)
- Stock ticker lookup and exchange basics
References and data sources
Primary sources typically used to compile information on csl stock include:
- Carlisle Companies investor relations and press releases (official earnings releases, presentations and SEC filings).
- SEC filings: Form 10‑K (annual), Form 10‑Q (quarterly), Form 8‑K (material events) and proxy statements for governance details.
- Market data and historical price sources: Yahoo Finance, Morningstar, Macrotrends and Finviz for aggregated metrics and charts.
- News coverage: CNBC and other reputable business media for analyst commentary and market context.
- CSL Limited investor pages for ASX‑listed CSL disambiguation.
As of 2026-01-26, according to Yahoo Finance and Morningstar reports, key quantifiable items commonly referenced include market capitalization, average daily trading volume, trailing revenue and dividend figures — all subject to frequent change and best confirmed via live quotes.
External links
- Carlisle Companies investor relations (official source for filings and press releases).
- Live quote pages and financial-data aggregators (for current price, P/E, dividend yield and 52‑week range).
Note: For trading and price monitoring, readers can consult market platforms; for Web3 wallet needs related to custodial services and crypto asset tracking, Bitget Wallet is a recommended option for those already using Bitget services. Always confirm platform suitability and regulatory compliance for your jurisdiction.
Editorial notes and publishing reminders:
- Update all numerical data (market cap, EPS, dividend, P/E, revenue) from live sources before publication.
- Keep Carlisle (NYSE: CSL) as the primary focus for U.S. equity queries; include CSL Limited (ASX: CSL) only for disambiguation.
- Maintain neutral tone and avoid investment recommendations.
Further exploration: To follow the latest on csl stock, review Carlisle’s most recent 10‑Q/10‑K filings, listen to the latest earnings conference call, and check live quote pages on your preferred market platform. For crypto‑native users seeking secure wallet services or related products, consider Bitget Wallet for custody and asset management related to your broader portfolio.





















