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Carlisle Companies Inc (CSL)

Carlisle Companies Inc (CSL)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] by (Cboe BZX)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 12-2024 12-2023 12-2022 12-2021
Cash Flows From Operating Activities
Net Income 740,700 1,311,800 767,400 924,000 421,700
Depreciation Amortization 196,500 172,600 204,700 251,300 226,200
Income taxes - deferred 11,100 -60,100 -71,700 -33,300 -5,400
Accounts receivable -3,400 69,600 1,500 -25,900 -206,900
Accounts payable and accrued liabilities -33,000 -4,100 -27,000 -60,500 85,400
Other Working Capital 73,700 -25,700 119,400 -239,400 -290,000
Other Operating Activity 116,200 -433,800 207,000 184,700 190,700
Operating Cash Flow $1,101,800 $1,030,300 $1,201,300 $1,000,900 $421,700
Cash Flows From Investing Activities
PPE Investments -131,200 -113,300 -142,200 -183,500 -134,800
Net Acquisitions -109,600 1,321,100 474,500 107,300 -1,323,600
Other Investing Activity 400 21,800 20,100 15,100 -28,000
Investing Cash Flow $-240,400 $1,229,600 $352,400 $-61,100 $-1,486,400
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A 22,000 84,000 N/A 650,000
Debt Issued 987,800 0 0 N/A 842,600
Debt Repayment 0 -400,000 -300,000 -350,000 0
Common Stock Issued 23,500 80,200 25,700 40,400 85,900
Common Stock Repurchased -1,300,000 -1,585,900 -900,000 -400,000 -315,600
Dividend Paid -181,100 -172,400 -160,300 -134,400 -112,500
Other Financing Activity -33,900 -54,100 -99,100 -18,000 -662,300
Financing Cash Flow $-503,700 $-2,110,200 $-1,349,700 $-862,000 $488,100
Exchange Rate Effect 900 -1,700 1,500 -2,200 -1,200
Beginning Cash Position 753,500 576,700 364,800 299,100 850,900
End Cash Position 1,112,100 753,500 576,700 364,800 299,100
Net Cash Flow $358,600 $176,800 $211,900 $65,700 $-551,800
Free Cash Flow
Operating Cash Flow 1,101,800 1,030,300 1,201,300 1,000,900 421,700
Capital Expenditure -131,200 -113,300 -142,200 -183,500 -134,800
Free Cash Flow 970,600 917,000 1,059,100 817,400 286,900
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