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Philip Morris International Inc.

PM

$192.98
3.14 (1.65%)
polled · warming up

Below: live stock price for Philip Morris International Inc. (PM), a 1-year chart, 8 indicators (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volume), and a compare mode. Add to your portfolio, star to your watchlist, or set a price alert in one place.

Philip Morris International Inc. (PM) is a Consumer Defensive company based in United States. Operating in Tobacco, it employs about 84,900 people. Over the past year PM traded between 142.11 and 194.62 USD. Trailing P/E sits near 27.18 on a market cap of about 300.77B USD. It currently yields 3.05% in dividends.

Day
+1.65%
+3.14
Week
+6.25%
+11.36
Month
+8.17%
+14.58
Year
Prev close
$189.84
Volume (24h)
$1.00B
Market cap
$300.77B
Currency
USD

Score

45/ 100 · Mixed

Coverage: 7/7
  • Value25
  • Quality91
  • Momentum38
  • Growth32
  • Risk78
  • Dividend39
  • Liquidity11

Composite of public market data. Informational only — not investment advice.

Trend projection

Where the recent trend points if it continues.

UptrendFit 27%Pace +0.14% per bar
+5 bars+20 bars+60 bars+120 bars
+5 bars
194.0042
+0.53%
Bull231.3903
Bear162.6586
+20 bars
195.4263
+1.27%
Bull278.004
Bear137.3773
+60 bars
195.9793
+1.55%
Bull360.8541
Bear106.436
+120 bars
195.9996
+1.56%
Bull464.7224
Bear82.664

Linear-regression continuation — not a prediction, not investment advice. ±1σ ≈ 68% range · ±2σ ≈ 95% range: ±0.0394 USD.

Interpretation

Composite signals look mixed. Strength: quality with weakness: balance-sheet liquidity. Price sits near the upper third of the recent range, trend is sloping upward.

Descriptive observation — not investment advice.

Score breakdown

Raw values behind each pillar so you can see what the composite is reading.

  • Value
    25/100

    Value looks fragile — driven by P/E (27.18).

    P/E:27.18PEG:2.69
  • Quality
    91/100

    Quality looks strong — driven by Gross margin (67.28%).

    ROA:15.46%Profit margin:26.74%Gross margin:67.28%
  • Momentum
    38/100

    Momentum looks weak — driven by 52w change (6.93%).

    52w change:6.93%
  • Growth
    32/100

    Growth looks weak — driven by Earnings growth (-9.30%).

    Revenue growth:9.10%Earnings growth:-9.30%
  • Risk
    78/100

    Risk looks strong — driven by Beta (0.41).

    Beta:0.41Short interest:1.17%
  • Dividend
    39/100

    Dividend looks weak — driven by Payout ratio (81.09%).

    Dividend yield:3.05%Payout ratio:81.09%
  • Liquidity
    11/100

    Liquidity looks fragile — driven by Current ratio (0.98).

    Current ratio:0.98Quick ratio:0.45

Derived from public market data — informational, not investment advice.

Reference levels

Fibonacci retracements and extensions across the recent range.

60 bars

Reference only — not investment advice.

These coordinates describe past-trade clustering, not where to buy or sell. Do your own research before any trade.

  • ResistanceFib +161.8% extension
    257.1071 USD
    +33.23% from current
  • ResistanceFib +100% extension
    233.24 USD
    +20.86% from current
  • ResistanceFib +61.8% extension
    218.4872 USD
    +13.22% from current
  • ResistanceFib +27.2% extension
    205.1246 USD
    +6.29% from current
  • Current
    192.98 USD
  • SupportFib 23.6% retracement
    185.5057 USD
    -3.87% from current
  • SupportFib 38.2% retracement
    179.8672 USD
    -6.79% from current
  • SupportFib 50% midpoint
    175.31 USD
    -9.16% from current
  • SupportFib 61.8% retracement
    170.7528 USD
    -11.52% from current
  • SupportFib 78.6% retracement
    164.2647 USD
    -14.88% from current
  • SupportFib −27.2% extension
    145.4954 USD
    -24.61% from current
  • SupportFib −61.8% extension
    132.1328 USD
    -31.53% from current
  • SupportFib −100% extension
    117.38 USD
    -39.18% from current

Financials

52w high
$194.62
52w low
$142.11
52w change
6.93%
Day high
$194.58
Day low
$190.60
P/E (TTM)
27.18
Forward P/E
21.11
PEG
2.69
Beta (5Y)
0.41
Enterprise value
349.26B
EV / Revenue
8.42
EV / EBITDA
18.78
EPS (TTM)
$7.10
Forward EPS
$9.14
Dividend yield
3.05%
Dividend rate
$5.88
Payout ratio
81.09%
Revenue (TTM)
41.49B
EBITDA
18.59B
Free cash flow
8.58B
Total cash
5.46B
Total debt
51.98B
Current ratio
0.98
Quick ratio
0.45
Profit margin
26.74%
Gross margin
67.28%
Return on assets
15.46%
Shares outstanding
1.56B
Float
1.55B
Sector: Consumer DefensiveIndustry: TobaccoHQ: United StatesEmployees: 84.9Kwww.pmi.com

Philip Morris International Inc. operates as a tobacco company. The company offers cigarettes and smoke-free products, including heat-not-burn, e-vapor, and oral nicotine products under the IQOS, VEEV, and ZYN brands; and consumer accessories, such as lighters and matches. It also offers wellness products. The company was incorporated in 1987 and is headquartered in Stamford, Connecticut.

Analyst & Risk

Consensus
Buy
Mean rating1.80 / 5
Analysts14
Next earnings2026-07-22
Strong buy 4Buy 7Hold 4
Analyst price target
$194.86
Mean target · 14 analysts
+1.0%
upside
Low $171.00Now $192.98High $210.00
Beta (vs S&P 500)
0.41
very stable
52-week change
6.93%
Short % of float
1.17%
Short ratio (days)
3.5
Current ratio
0.98
Quick ratio
0.45
ROA
15.46%
PEG ratio
2.69
richly valued
EV / Revenue
8.42
EV / EBITDA
18.78
Revenue growth
9.10%
Earnings growth
-9.30%
EBITDA
18.59B
Free cash flow
8.58B
Total cash
5.46B
Total debt
51.98B
Insider holdings
0.16%
Institutional
84.11%

Recent rating changes

  • 2026-07-02UBSNeutralNeutralmain
  • 2026-06-03Morgan StanleyOverweightOverweightmain
  • 2026-04-23NeedhamBuyBuyreit
  • 2026-04-17UBSNeutralNeutralmain
  • 2026-04-17Morgan StanleyOverweightOverweightmain
  • 2026-04-13NeedhamBuyBuymain
  • 2026-04-10StifelBuyBuymain
  • 2026-02-10CitigroupBuyBuymain

Recent news

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