Carlisle Companies Incorporated
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
19.4718.3413.4711.47
Price/Sales ratio
3.853.642.792.39
Earnings per Share (EPS)
$19.87$21.1$28.71$33.73

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
23.0417.9828.3219.619.9319.4826.5930.8813.2120.319.8519.48
Price/Sales ratio
1.801.621.921.751.351.912.142.701.853.393.361.35
Price/Book Value ratio
2.622.442.872.832.333.483.354.954.035.516.172.33
Price/Cash Flow ratio
19.5610.8613.3315.6217.8913.1012.2130.8812.1912.9716.0713.10
Price/Free Cash Flow ratio
32.6912.5816.7623.9927.7814.9914.1545.4014.9314.7217.7514.99
Price/Earnings Growth ratio
1.260.69-1.340.400.13-1.08-0.900.830.10-1.460.510.13
Dividend Yield
1.05%1.25%1.19%1.28%1.54%1.11%1.32%0.86%1.10%1.02%0.99%1.11%
Profitability Indicator Ratios
Gross Profit Margin
25.57%28.41%31.48%28.06%26.22%28.50%28.65%27.33%32.72%33.66%36.94%26.22%
Operating Profit Margin
12.74%14.16%15.85%12.36%11.36%9.47%12.28%6.99%19.35%21.42%23.31%11.36%
Pretax Profit Margin
11.73%13.20%11.16%11.44%9.95%12.37%10.18%10.03%18.13%20.28%23.03%9.95%
Net Profit Margin
7.84%9.02%6.80%8.93%13.64%9.82%8.06%8.76%14.01%16.73%34.59%13.64%
Effective Tax Rate
33.07%31.69%38.90%21.97%19.57%20.42%19.42%19.79%22.61%22.73%22.45%19.57%
Return on Assets
6.68%8.08%6.30%6.89%11.64%8.60%5.45%5.81%12.79%11.59%26.74%11.64%
Return On Equity
11.39%13.61%10.13%14.45%23.52%17.89%12.61%16.03%30.55%27.12%60.49%23.52%
Return on Capital Employed
12.12%14.99%16.87%10.89%10.93%9.91%9.34%5.53%20.76%18.08%21.58%10.93%
Liquidity Ratios
Current Ratio
4.102.172.632.493.451.943.41N/AN/AN/A2.721.94
Quick Ratio
3.241.591.901.722.681.382.741.321.382.562.292.29
Cash ratio
1.860.670.750.571.340.391.380.270.370.481.431.34
Days of Sales Outstanding
50.0351.7650.8055.8456.8959.3958.7467.2834.0648.9658.2456.89
Days of Inventory outstanding
51.9051.2254.6463.0150.5254.1755.7563.1861.6343.3853.4450.52
Operating Cycle
101.94102.99105.45118.85107.42113.57114.49130.4695.7092.34111.69107.42
Days of Payables Outstanding
30.3030.5935.3041.2034.4734.7236.6645.1422.5129.4437.8234.47
Cash Conversion Cycle
71.6372.3970.1477.6572.9578.8477.8385.3173.1962.9073.8672.95
Debt Ratios
Debt Ratio
0.190.180.150.290.300.280.350.400.350.340.350.30
Debt Equity Ratio
0.340.310.240.620.610.600.821.110.850.800.820.61
Long-term Debt to Capitalization
0.250.200.190.380.370.330.450.490.420.400.400.37
Total Debt to Capitalization
0.250.240.190.380.370.370.450.520.460.440.450.37
Interest Coverage Ratio
12.1114.4618.2614.877.869.896.31N/AN/AN/A15.657.86
Cash Flow to Debt Ratio
0.390.700.890.280.210.440.330.140.380.520.460.21
Company Equity Multiplier
1.701.681.602.092.022.072.312.752.382.342.342.02
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.090.140.140.110.070.140.170.080.150.260.210.07
Free Cash Flow / Operating Cash Flow Ratio
0.590.860.790.650.640.870.860.680.810.880.890.64
Cash Flow Coverage Ratio
0.390.700.890.280.210.440.330.140.380.520.460.21
Short Term Coverage Ratio
N/A3.53N/AN/AN/A2.81633.361.193.142.982.632.81
Dividend Payout Ratio
24.35%22.61%33.78%25.19%15.30%21.76%35.11%26.67%14.54%20.88%9.72%21.76%