annual CFF:
-$2.11B-$760.50M(-56.35%)Summary
- As of today (May 19, 2025), CSL annual cash flow from financing activities is -$2.11 billion, with the most recent change of -$760.50 million (-56.35%) on December 31, 2024.
- During the last 3 years, CSL annual CFF has fallen by -$2.60 billion (-532.33%).
- CSL annual CFF is now -436.45% below its all-time high of $627.20 million, reached on December 31, 2017.
Performance
CSL Cash from financing Chart
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quarterly CFF:
-$456.40M+$410.90M(+47.38%)Summary
- As of today (May 19, 2025), CSL quarterly cash flow from financing activities is -$456.40 million, with the most recent change of +$410.90 million (+47.38%) on March 31, 2025.
- Over the past year, CSL quarterly CFF has dropped by -$290.30 million (-174.77%).
- CSL quarterly CFF is now -155.77% below its all-time high of $818.40 million, reached on September 30, 2021.
Performance
CSL quarterly CFF Chart
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TTM CFF:
-$2.40B-$290.30M(-13.76%)Summary
- As of today (May 19, 2025), CSL TTM cash flow from financing activities is -$2.40 billion, with the most recent change of -$290.30 million (-13.76%) on March 31, 2025.
- Over the past year, CSL TTM CFF has dropped by -$979.50 million (-68.93%).
- CSL TTM CFF is now -482.73% below its all-time high of $627.20 million, reached on December 31, 2017.
Performance
CSL TTM CFF Chart
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Cash from financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
CSL Cash from financing Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -56.4% | -174.8% | -68.9% |
3 y3 years | -532.3% | -187.4% | -578.1% |
5 y5 years | -357.6% | -156.1% | -557.3% |
CSL Cash from financing Highs & Lows
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3-year | -532.3% | at low | -954.0% | +47.4% | -542.3% | at low |
5 y | 5-year | -532.3% | at low | -155.8% | +47.4% | -542.3% | at low |
alltime | all time | -436.4% | at low | -155.8% | +47.4% | -482.7% | at low |
CSL Cash from financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Mar 2025 | - | -$456.40M(-47.4%) | -$2.40B(+13.8%) |
Dec 2024 | -$2.11B(+56.3%) | -$867.30M(+73.1%) | -$2.11B(+32.0%) |
Sep 2024 | - | -$501.00M(-13.0%) | -$1.60B(-9.4%) |
Jun 2024 | - | -$575.80M(+246.7%) | -$1.76B(+24.2%) |
Mar 2024 | - | -$166.10M(-53.2%) | -$1.42B(+5.3%) |
Dec 2023 | -$1.35B(+56.6%) | -$355.20M(-46.8%) | -$1.35B(-14.8%) |
Sep 2023 | - | -$667.40M(+187.3%) | -$1.58B(+65.1%) |
Jun 2023 | - | -$232.30M(+145.0%) | -$959.20M(+20.2%) |
Mar 2023 | - | -$94.80M(-83.9%) | -$798.00M(-7.4%) |
Dec 2022 | -$862.00M(-276.6%) | -$588.80M(+1259.8%) | -$862.00M(+170.2%) |
Sep 2022 | - | -$43.30M(-39.1%) | -$319.00M(-158.8%) |
Jun 2022 | - | -$71.10M(-55.2%) | $542.70M(+8.1%) |
Mar 2022 | - | -$158.80M(+246.7%) | $502.10M(+2.9%) |
Dec 2021 | $488.10M(-2076.1%) | -$45.80M(-105.6%) | $488.10M(+3.3%) |
Sep 2021 | - | $818.40M(-832.7%) | $472.50M(-190.2%) |
Jun 2021 | - | -$111.70M(-35.4%) | -$523.90M(-48.2%) |
Mar 2021 | - | -$172.80M(+181.4%) | -$1.01B(+3991.1%) |
Dec 2020 | -$24.70M(-94.6%) | -$61.40M(-65.5%) | -$24.70M(-81.4%) |
Sep 2020 | - | -$178.00M(-70.2%) | -$132.80M(-741.5%) |
Jun 2020 | - | -$598.30M(-173.6%) | $20.70M(-96.1%) |
Mar 2020 | - | $813.00M(-579.6%) | $524.90M(-213.8%) |
Dec 2019 | -$461.20M(-14.7%) | -$169.50M(+591.8%) | -$461.20M(-3.9%) |
Sep 2019 | - | -$24.50M(-74.0%) | -$479.90M(-8.1%) |
Jun 2019 | - | -$94.10M(-45.6%) | -$522.00M(-7.7%) |
Mar 2019 | - | -$173.10M(-8.0%) | -$565.80M(+4.6%) |
Dec 2018 | -$540.70M(-186.2%) | -$188.20M(+182.6%) | -$540.70M(-226.0%) |
Sep 2018 | - | -$66.60M(-51.7%) | $429.20M(-0.6%) |
Jun 2018 | - | -$137.90M(-6.8%) | $431.70M(-14.9%) |
Mar 2018 | - | -$148.00M(-118.9%) | $507.30M(-19.1%) |
Dec 2017 | $627.20M(-340.2%) | $781.70M(-1319.5%) | $627.20M(-441.1%) |
Sep 2017 | - | -$64.10M(+2.9%) | -$183.90M(-40.0%) |
Jun 2017 | - | -$62.30M(+121.7%) | -$306.70M(+24.8%) |
Mar 2017 | - | -$28.10M(-4.4%) | -$245.70M(-5.9%) |
Dec 2016 | -$261.10M(+50.9%) | -$29.40M(-84.3%) | -$261.10M(-20.0%) |
Sep 2016 | - | -$186.90M(>+9900.0%) | -$326.40M(+81.0%) |
Jun 2016 | - | -$1.30M(-97.0%) | -$180.30M(-9.9%) |
Mar 2016 | - | -$43.50M(-54.1%) | -$200.10M(+15.7%) |
Dec 2015 | -$173.00M(+756.4%) | -$94.70M(+132.1%) | -$173.00M(+161.3%) |
Sep 2015 | - | -$40.80M(+93.4%) | -$66.20M(+63.5%) |
Jun 2015 | - | -$21.10M(+28.7%) | -$40.50M(+20.5%) |
Mar 2015 | - | -$16.40M(-235.5%) | -$33.60M(+66.3%) |
Dec 2014 | -$20.20M(-51.3%) | $12.10M(-180.1%) | -$20.20M(-59.1%) |
Sep 2014 | - | -$15.10M(+6.3%) | -$49.40M(+10.3%) |
Jun 2014 | - | -$14.20M(+373.3%) | -$44.80M(+21.1%) |
Mar 2014 | - | -$3.00M(-82.5%) | -$37.00M(-10.8%) |
Dec 2013 | -$41.50M(+101.5%) | -$17.10M(+62.9%) | -$41.50M(-127.8%) |
Sep 2013 | - | -$10.50M(+64.1%) | $149.50M(+342.3%) |
Jun 2013 | - | -$6.40M(-14.7%) | $33.80M(-252.3%) |
Mar 2013 | - | -$7.50M(-104.3%) | -$22.20M(+7.8%) |
Dec 2012 | -$20.60M(-108.0%) | $173.90M(-237.8%) | -$20.60M(-154.4%) |
Sep 2012 | - | -$126.20M(+102.2%) | $37.90M(-77.0%) |
Jun 2012 | - | -$62.40M(+957.6%) | $165.10M(-25.3%) |
Mar 2012 | - | -$5.90M(-102.5%) | $220.90M(-13.8%) |
Dec 2011 | $256.40M(+14.6%) | $232.40M(>+9900.0%) | $256.40M(-5.5%) |
Sep 2011 | - | $1.00M(-115.2%) | $271.30M(+4.3%) |
Jun 2011 | - | -$6.60M(-122.3%) | $260.10M(-1.0%) |
Mar 2011 | - | $29.60M(-88.0%) | $262.70M(+17.4%) |
Dec 2010 | $223.80M(-181.6%) | $247.30M(-2524.5%) | $223.80M(-760.2%) |
Sep 2010 | - | -$10.20M(+155.0%) | -$33.90M(-39.6%) |
Jun 2010 | - | -$4.00M(-57.0%) | -$56.10M(-77.2%) |
Mar 2010 | - | -$9.30M(-10.6%) | -$246.30M(-10.2%) |
Dec 2009 | -$274.20M(-879.0%) | -$10.40M(-67.9%) | -$274.20M(-38.8%) |
Sep 2009 | - | -$32.40M(-83.3%) | -$448.10M(-5.5%) |
Jun 2009 | - | -$194.20M(+422.0%) | -$474.30M(+285.9%) |
Mar 2009 | - | -$37.20M(-79.8%) | -$122.92M(-449.2%) |
Dec 2008 | $35.20M(-119.3%) | -$184.30M(+214.5%) | $35.20M(-42.9%) |
Sep 2008 | - | -$58.60M(-137.3%) | $61.60M(-66.9%) |
Jun 2008 | - | $157.18M(+30.0%) | $186.37M(+131.4%) |
Mar 2008 | - | $120.92M(-176.6%) | $80.55M(-144.2%) |
Dec 2007 | -$182.40M | -$157.90M(-338.7%) | -$182.40M(+203.5%) |
Sep 2007 | - | $66.16M(+28.8%) | -$60.10M(<-9900.0%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Jun 2007 | - | $51.36M(-136.2%) | $280.00K(-100.4%) |
Mar 2007 | - | -$142.02M(+298.9%) | -$75.62M(-201.6%) |
Dec 2006 | $74.45M(-245.3%) | -$35.60M(-128.1%) | $74.45M(+151.9%) |
Sep 2006 | - | $126.55M(-615.7%) | $29.55M(-127.5%) |
Jun 2006 | - | -$24.54M(-404.9%) | -$107.66M(+0.6%) |
Mar 2006 | - | $8.05M(-110.0%) | -$106.99M(+108.8%) |
Dec 2005 | -$51.24M(+184.4%) | -$80.50M(+654.7%) | -$51.24M(-413.0%) |
Sep 2005 | - | -$10.67M(-55.3%) | $16.37M(-51.9%) |
Jun 2005 | - | -$23.87M(-137.4%) | $34.01M(-21.2%) |
Mar 2005 | - | $63.79M(-595.2%) | $43.13M(-339.3%) |
Dec 2004 | -$18.02M(-66.4%) | -$12.88M(-285.0%) | -$18.02M(+56.9%) |
Sep 2004 | - | $6.96M(-147.2%) | -$11.48M(-86.7%) |
Jun 2004 | - | -$14.74M(-658.7%) | -$86.39M(+22.3%) |
Mar 2004 | - | $2.64M(-141.6%) | -$70.62M(+31.5%) |
Dec 2003 | -$53.71M(-68.4%) | -$6.34M(-90.7%) | -$53.71M(-38.1%) |
Sep 2003 | - | -$67.94M(-6760.5%) | -$86.73M(+1.4%) |
Jun 2003 | - | $1.02M(-94.8%) | -$85.57M(-45.2%) |
Mar 2003 | - | $19.55M(-149.7%) | -$156.28M(-8.0%) |
Dec 2002 | -$169.78M(<-9900.0%) | -$39.37M(-41.0%) | -$169.78M(-17.5%) |
Sep 2002 | - | -$66.77M(-4.2%) | -$205.69M(+159.7%) |
Jun 2002 | - | -$69.69M(-1251.4%) | -$79.21M(+167.3%) |
Mar 2002 | - | $6.05M(-108.0%) | -$29.64M(-2044.7%) |
Dec 2001 | $1.52M(-99.0%) | -$75.28M(-226.1%) | $1.52M(-91.7%) |
Sep 2001 | - | $59.71M(-396.7%) | $18.45M(-73.5%) |
Jun 2001 | - | -$20.12M(-154.1%) | $69.62M(-63.2%) |
Mar 2001 | - | $37.21M(-163.8%) | $189.41M(+30.0%) |
Dec 2000 | $145.69M(-431.9%) | -$58.35M(-152.6%) | $145.69M(-26.3%) |
Sep 2000 | - | $110.88M(+11.2%) | $197.74M(+218.6%) |
Jun 2000 | - | $99.67M(-1630.6%) | $62.06M(-359.5%) |
Mar 2000 | - | -$6.51M(+3.4%) | -$23.91M(-45.5%) |
Dec 1999 | -$43.90M(-214.6%) | -$6.30M(-74.6%) | -$43.90M(-8.7%) |
Sep 1999 | - | -$24.80M(-281.0%) | -$48.10M(+70.0%) |
Jun 1999 | - | $13.70M(-151.7%) | -$28.30M(-28.7%) |
Mar 1999 | - | -$26.50M(+152.4%) | -$39.70M(-203.7%) |
Dec 1998 | $38.30M(+963.9%) | -$10.50M(+110.0%) | $38.30M(-28.0%) |
Sep 1998 | - | -$5.00M(-317.4%) | $53.20M(-0.9%) |
Jun 1998 | - | $2.30M(-95.5%) | $53.70M(+22.6%) |
Mar 1998 | - | $51.50M(+1070.5%) | $43.80M(+1116.7%) |
Dec 1997 | $3.60M(-95.7%) | $4.40M(-197.8%) | $3.60M(-94.2%) |
Sep 1997 | - | -$4.50M(-40.8%) | $61.60M(-12.6%) |
Jun 1997 | - | -$7.60M(-167.3%) | $70.50M(+15.8%) |
Mar 1997 | - | $11.30M(-81.9%) | $60.90M(-27.9%) |
Dec 1996 | $84.50M(-470.6%) | $62.40M(+1318.2%) | $84.50M(+470.9%) |
Sep 1996 | - | $4.40M(-125.6%) | $14.80M(+134.9%) |
Jun 1996 | - | -$17.20M(-149.3%) | $6.30M(-65.2%) |
Mar 1996 | - | $34.90M(-578.1%) | $18.10M(-179.4%) |
Dec 1995 | -$22.80M(+56.2%) | -$7.30M(+78.0%) | -$22.80M(-16.2%) |
Sep 1995 | - | -$4.10M(-24.1%) | -$27.20M(+40.9%) |
Jun 1995 | - | -$5.40M(-10.0%) | -$19.30M(+8.4%) |
Mar 1995 | - | -$6.00M(-48.7%) | -$17.80M(+21.9%) |
Dec 1994 | -$14.60M(-34.2%) | -$11.70M(-407.9%) | -$14.60M(+356.3%) |
Sep 1994 | - | $3.80M(-197.4%) | -$3.20M(-72.4%) |
Jun 1994 | - | -$3.90M(+39.3%) | -$11.60M(+12.6%) |
Mar 1994 | - | -$2.80M(+833.3%) | -$10.30M(-53.6%) |
Dec 1993 | -$22.20M(-374.1%) | -$300.00K(-93.5%) | -$22.20M(-12.9%) |
Sep 1993 | - | -$4.60M(+76.9%) | -$25.50M(-33.4%) |
Jun 1993 | - | -$2.60M(-82.3%) | -$38.30M(+64.4%) |
Mar 1993 | - | -$14.70M(+308.3%) | -$23.30M(-387.7%) |
Dec 1992 | $8.10M(-177.1%) | -$3.60M(-79.3%) | $8.10M(-1112.5%) |
Sep 1992 | - | -$17.40M(-240.3%) | -$800.00K(-103.0%) |
Jun 1992 | - | $12.40M(-25.7%) | $26.50M(+136.6%) |
Mar 1992 | - | $16.70M(-233.6%) | $11.20M(-206.7%) |
Dec 1991 | -$10.50M(+337.5%) | -$12.50M(-226.3%) | -$10.50M(-39.7%) |
Sep 1991 | - | $9.90M(-441.4%) | -$17.40M(-643.8%) |
Jun 1991 | - | -$2.90M(-42.0%) | $3.20M(+190.9%) |
Mar 1991 | - | -$5.00M(-74.2%) | $1.10M(-145.8%) |
Dec 1990 | -$2.40M(-79.8%) | -$19.40M(-163.6%) | -$2.40M(-114.1%) |
Sep 1990 | - | $30.50M(-710.0%) | $17.00M(-225.9%) |
Jun 1990 | - | -$5.00M(-41.2%) | -$13.50M(+58.8%) |
Mar 1990 | - | -$8.50M | -$8.50M |
Dec 1989 | -$11.90M | - | - |
FAQ
- What is Carlisle Companies Incorporated annual cash flow from financing activities?
- What is the all time high annual CFF for Carlisle Companies Incorporated?
- What is Carlisle Companies Incorporated annual CFF year-on-year change?
- What is Carlisle Companies Incorporated quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for Carlisle Companies Incorporated?
- What is Carlisle Companies Incorporated quarterly CFF year-on-year change?
- What is Carlisle Companies Incorporated TTM cash flow from financing activities?
- What is the all time high TTM CFF for Carlisle Companies Incorporated?
- What is Carlisle Companies Incorporated TTM CFF year-on-year change?
What is Carlisle Companies Incorporated annual cash flow from financing activities?
The current annual CFF of CSL is -$2.11B
What is the all time high annual CFF for Carlisle Companies Incorporated?
Carlisle Companies Incorporated all-time high annual cash flow from financing activities is $627.20M
What is Carlisle Companies Incorporated annual CFF year-on-year change?
Over the past year, CSL annual cash flow from financing activities has changed by -$760.50M (-56.35%)
What is Carlisle Companies Incorporated quarterly cash flow from financing activities?
The current quarterly CFF of CSL is -$456.40M
What is the all time high quarterly CFF for Carlisle Companies Incorporated?
Carlisle Companies Incorporated all-time high quarterly cash flow from financing activities is $818.40M
What is Carlisle Companies Incorporated quarterly CFF year-on-year change?
Over the past year, CSL quarterly cash flow from financing activities has changed by -$290.30M (-174.77%)
What is Carlisle Companies Incorporated TTM cash flow from financing activities?
The current TTM CFF of CSL is -$2.40B
What is the all time high TTM CFF for Carlisle Companies Incorporated?
Carlisle Companies Incorporated all-time high TTM cash flow from financing activities is $627.20M
What is Carlisle Companies Incorporated TTM CFF year-on-year change?
Over the past year, CSL TTM cash flow from financing activities has changed by -$979.50M (-68.93%)