CARLISLE COMPANIES INC - Common Stock (CSL)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CSL on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
43.4M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
41.5M
Holdings value
$13.6B
% of all portfolios
0.012%
Grand Portfolio weight change
-0.001%
Number of holders
734
Number of buys
302
Number of sells
-391
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CARLISLE COMPANIES INC - Common Stock (CSL)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
MORGAN STANLEY 6.4% $1.15B 2.78M Morgan Stanley 30 Jun 2025

Institutional Holders of CARLISLE COMPANIES INC - Common Stock (CSL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 41.5M $13.6B -$374M $328.96 734
2025 Q2 42.4M $15.8B +$645M $373.40 750
2025 Q1 40.7M $13.9B +$214M $340.50 727
2024 Q4 40.4M $14.9B -$245M $368.84 759
2024 Q3 40.4M $18.2B -$216M $449.75 738
2024 Q2 41.1M $16.6B -$430M $405.21 721
2024 Q1 41.8M $16.4B -$251M $391.85 651
2023 Q4 42.5M $13.3B -$483M $312.43 595
2023 Q3 44.1M $11.4B -$514M $259.26 561
2023 Q2 46.1M $11.8B +$129M $256.53 534
2023 Q1 45.6M $10.3B +$139M $226.07 541
2022 Q4 45.1M $10.6B +$127M $235.65 573
2022 Q3 46.2M $13B -$138M $280.41 576
2022 Q2 46.6M $11.1B +$45.9M $238.61 492
2022 Q1 46.7M $11.5B -$25.7M $245.92 480
2021 Q4 46.8M $11.6B -$568M $248.12 479
2021 Q3 46.3M $9.21B -$126M $198.79 401
2021 Q2 47M $8.99B -$251M $191.38 407
2021 Q1 48.3M $7.96B +$2.69M $164.58 392
2020 Q4 48.3M $7.55B -$10.9M $156.18 381
2020 Q3 48.7M $5.95B -$22.8M $122.37 383
2020 Q2 48.8M $5.84B -$43.5M $119.67 390
2020 Q1 49.2M $6.16B -$226M $125.28 381
2019 Q4 50.8M $8.22B -$16.2M $161.84 419
2019 Q3 50.8M $7.4B +$97.8M $145.54 394
2019 Q2 50.1M $7.03B +$53.5M $140.41 386
2019 Q1 50.1M $6.14B -$201M $122.62 376
2018 Q4 52.1M $5.24B -$104M $100.52 329
2018 Q3 52.7M $6.42B -$267M $121.80 359
2018 Q2 55.1M $5.96B -$25.1M $108.31 350
2018 Q1 55.3M $5.77B +$109M $104.41 344
2017 Q4 54.5M $6.19B -$167M $113.65 357
2017 Q3 55.8M $5.6B -$63.2M $100.29 338
2017 Q2 56.5M $5.39B -$192M $95.40 339
2017 Q1 58M $6.17B +$579M $106.41 362
2016 Q4 57.6M $6.36B +$70.1M $110.29 365
2016 Q3 57.1M $5.86B -$94.8M $102.57 351
2016 Q2 58M $6.13B +$95.3M $105.68 342
2016 Q1 57.1M $5.68B -$2.26M $99.50 312
2015 Q4 57.5M $5.1B -$55.4M $88.69 300
2015 Q3 58.2M $5.08B -$19.9M $87.38 299
2015 Q2 57.6M $5.76B +$22.5M $100.12 279
2015 Q1 57.4M $5.31B +$110M $92.63 270
2014 Q4 56.3M $5.08B +$49.4M $90.24 284
2014 Q3 55.8M $4.49B +$61.1M $80.38 249
2014 Q2 55M $4.77B +$26.1M $86.62 262
2014 Q1 54.7M $4.34B -$8.67M $79.34 247