CARLISLE COMPANIES INC - COMMON STOCK (CSL) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COMMON STOCK
Symbol
CSL on NYSE
Shares outstanding
41,812,020
Price per share
$354.93
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
40,435,228
Total reported value
$12,937,845,258
% of total 13F portfolios
0.01%
Share change
-673,006
Value change
-$219,572,490
Number of holders
746
Price from insider filings
$354.93
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CARLISLE COMPANIES INC - COMMON STOCK (CSL) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
MORGAN STANLEY 6.4% $1,145,773,945 2,776,355 Morgan Stanley 30 Jun 2025
STATE STREET CORP 5% $742,017,013 2,090,601 STATE STREET CORPORATION 31 Dec 2025

As of 31 Dec 2025, 746 institutional investors reported holding 40,435,228 shares of CARLISLE COMPANIES INC - COMMON STOCK (CSL). This represents 97% of the company’s total 41,812,020 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of CARLISLE COMPANIES INC - COMMON STOCK (CSL) together control 62% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
BlackRock, Inc. 10% 4,228,854 +1.3% 0.02% $1,352,641,134
VANGUARD GROUP INC 9.9% 4,158,194 -3.4% 0.02% $1,330,039,933
MORGAN STANLEY 7.7% 3,221,424 -8.7% 0.06% $1,030,405,599
STATE STREET CORP 5% 2,090,341 +6.9% 0.02% $668,616,472
FRANKLIN RESOURCES INC 2.4% 1,019,209 -1.2% 0.08% $326,004,191
SANDS CAPITAL MANAGEMENT, LLC 2.3% 967,640 +14% 0.94% $309,509,330
Bank of New York Mellon Corp 2.2% 940,046 -10% 0.05% $300,682,979
Invesco Ltd. 2% 831,884 -21% 0.04% $266,086,358
GEODE CAPITAL MANAGEMENT, LLC 1.8% 762,605 -0.96% 0.02% $243,214,300
Allspring Global Investments Holdings, LLC 1.5% 646,406 -16% 0.34% $212,324,979
First Eagle Investment Management, LLC 1.5% 646,162 +20% 0.36% $206,681,377
JPMORGAN CHASE & CO 1.5% 618,653 -41% 0.01% $197,882,892
BESSEMER GROUP INC 1.4% 602,852 -8% 0.3% $192,828,000
WELLS FARGO & COMPANY/MN 1.4% 589,503 -9.9% 0.04% $188,558,344
FIDUCIARY MANAGEMENT INC /WI/ 1.3% 535,581 -5.2% 1.9% $171,310,939
BARCLAYS PLC 1.2% 485,801 -2.7% 0.06% $155,388,306
Madison Asset Management, LLC 1.1% 475,632 -6.5% 1.8% $152,135,729
NORTHERN TRUST CORP 1.1% 457,579 -4% 0.02% $146,361,219
Corient Private Wealth LLC 1.1% 444,603 +5.4% 0.24% $134,618,767
COOKE & BIELER LP 1.1% 444,390 +19% 1.5% $142,142,585
FIRST MANHATTAN CO. LLC. 1% 438,491 0.37% $140,255,731
DIMENSIONAL FUND ADVISORS LP 1% 416,103 -7.5% 0.03% $133,109,318
FMR LLC 0.94% 394,377 -4% 0.01% $126,145,523
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 0.88% 366,508 -0.78% 0.02% $117,231,248
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.82% 343,338 +0.6% 0.02% $109,820,093

Institutional Holders of CARLISLE COMPANIES INC - COMMON STOCK (CSL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 40,435,228 $12,937,845,258 -$219,572,490 $319.86 746
2025 Q3 41,467,659 $13,643,184,694 -$357,175,722 $328.96 741
2025 Q2 42,382,490 $15,842,551,283 +$644,833,978 $373.40 750
2025 Q1 40,735,749 $13,876,063,305 +$213,888,642 $340.50 727
2024 Q4 40,427,114 $14,908,592,250 -$245,047,577 $368.84 759
2024 Q3 40,386,176 $18,198,470,438 -$215,902,502 $449.75 738
2024 Q2 41,072,456 $16,644,865,629 -$430,323,218 $405.21 721
2024 Q1 41,846,437 $16,395,726,055 -$250,614,400 $391.85 651
2023 Q4 42,469,660 $13,268,059,880 -$482,585,216 $312.43 595
2023 Q3 44,120,343 $11,438,619,546 -$514,282,826 $259.26 561
2023 Q2 46,069,186 $11,813,751,942 +$129,134,660 $256.53 534
2023 Q1 45,607,804 $10,308,201,102 +$139,437,982 $226.07 541
2022 Q4 45,112,889 $10,633,477,267 +$127,472,312 $235.65 573
2022 Q3 46,179,773 $12,954,236,524 -$137,611,135 $280.41 576
2022 Q2 46,593,040 $11,120,705,912 +$45,883,489 $238.61 492
2022 Q1 46,711,625 $11,496,316,524 -$25,701,563 $245.92 480
2021 Q4 46,761,363 $11,596,297,730 -$568,181,496 $248.12 479
2021 Q3 46,285,717 $9,209,129,406 -$125,615,658 $198.79 401
2021 Q2 46,972,243 $8,988,447,117 -$250,874,208 $191.38 407
2021 Q1 48,346,836 $7,963,866,652 +$2,685,034 $164.58 392
2020 Q4 48,344,596 $7,549,741,254 -$10,907,995 $156.18 381
2020 Q3 48,665,716 $5,947,322,895 -$22,754,715 $122.37 383
2020 Q2 48,847,365 $5,844,795,937 -$43,481,614 $119.67 390
2020 Q1 49,224,461 $6,163,387,059 -$226,381,682 $125.28 381
2019 Q4 50,803,685 $8,217,735,033 -$16,198,781 $161.84 419
2019 Q3 50,830,736 $7,396,643,980 +$97,814,832 $145.54 394
2019 Q2 50,076,208 $7,027,498,353 +$53,549,384 $140.41 386
2019 Q1 50,084,297 $6,141,656,676 -$201,033,539 $122.62 376
2018 Q4 52,131,743 $5,240,362,509 -$103,949,754 $100.52 329
2018 Q3 52,719,667 $6,420,497,595 -$266,684,986 $121.80 359
2018 Q2 55,057,019 $5,963,618,580 -$25,071,258 $108.31 350
2018 Q1 55,258,446 $5,769,387,330 +$109,267,834 $104.41 344
2017 Q4 54,454,393 $6,188,585,776 -$166,953,364 $113.65 357
2017 Q3 55,785,879 $5,596,509,063 -$63,153,209 $100.29 338
2017 Q2 56,489,634 $5,387,143,145 -$192,118,421 $95.40 339
2017 Q1 58,024,830 $6,172,819,552 +$579,294,403 $106.41 362
2016 Q4 57,628,450 $6,355,477,712 +$70,061,967 $110.29 365
2016 Q3 57,118,138 $5,856,930,094 -$94,792,552 $102.57 351
2016 Q2 58,043,203 $6,133,990,234 +$95,290,027 $105.68 342
2016 Q1 57,057,340 $5,676,253,508 -$2,259,020 $99.50 312
2015 Q4 57,475,041 $5,097,076,228 -$55,427,521 $88.69 300
2015 Q3 58,192,534 $5,084,909,384 -$19,859,699 $87.38 299
2015 Q2 57,563,172 $5,762,792,697 +$22,480,671 $100.12 279
2015 Q1 57,383,891 $5,314,914,488 +$110,089,974 $92.63 270
2014 Q4 56,268,034 $5,077,599,467 +$49,369,407 $90.24 284
2014 Q3 55,815,192 $4,486,397,070 +$61,105,395 $80.38 249
2014 Q2 55,022,902 $4,765,987,648 +$26,057,261 $86.62 262
2014 Q1 54,724,822 $4,341,443,065 -$8,670,912 $79.34 247