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Philip Morris International Inc (PM) Stock

Philip Morris International Inc Stock Details, Movements and Public Alerts

Stock Details

Philip Morris International Inc (PM), a prominent company in the consumer defensive sector within the tobacco industry, is based in United States and primarily trades on the NYQ.Currently, the stock is trading at $181.93. Over the past 52 weeks, it has ranged between $142.11 and $193.05. This places the current price at 94.2% of its 52-week high and 28.0% above its 52-week low. Recent trading volume was recorded at 5,999,748. The 14-day Relative Strength Index (RSI) stands at 58.49, suggesting neutral conditions. The stock is currently trading above its 50-day moving average of $172.35 by 5.56%. Similarly, it is above its 200-day moving average of $164.31 by 10.72%. The MACD histogram is -0.19, indicating bearish momentum (MACD Line: 1.42, Signal Line: 1.62). The International Securities Identification Number (ISIN) for this stock is US7181721090.

52-Week Range

$193.05 - $142.11

-5.76% from high · +28.02% from low

Avg Daily Volume

4,342,663

20-day average

100-day avg: 5,034,697

Fundamentals

Valuation Metrics

P/E Ratio (TTM)

25.96

Above market average

Forward P/E

20.19

Earnings expected to grow

PEG Ratio

2.57

Potentially overvalued

EV/EBITDA

18.06

EPS (TTM)

$7.10

Price to Sales

6.92

Beta

0.41

Less volatile than market

Q:How is PM valued relative to its earnings and growth?
Philip Morris International Inc trades at a P/E ratio of 25.96, which is above the market average of approximately 20. This premium valuation suggests investors expect above-average growth or the company has competitive advantages justifying the higher multiple. Looking ahead, the forward P/E of 20.19 is lower than the current P/E, indicating analysts expect earnings to grow over the next year. The PEG ratio of 2.57 indicates a premium valuation even accounting for growth.
Q:What is PM's risk profile compared to the market?
With a beta of 0.41, Philip Morris International Inc is less volatile than the overall market. This means when the market moves up or down by 10%, this stock typically moves less than 10% in the same direction. Lower beta stocks are often preferred by conservative investors seeking stability.

Performance & Growth

Profit Margin

26.74%

Operating Margin

36.04%

EBITDA

$18.59B

Return on Assets

15.46%

Revenue Growth (YoY)

9.10%

Earnings Growth (YoY)

-9.30%

Q:How profitable and efficient is PM's business model?
Philip Morris International Inc achieves a profit margin of 26.74%, meaning it retains $26.74 from every $100 in revenue after all expenses. This is an impressive margin, indicating strong pricing power and efficient cost management that allows the company to generate substantial profits. The operating margin of 36.04% reveals how efficiently the company runs its core business operations before interest and taxes.
Q:What are PM's recent growth trends?
Philip Morris International Inc's revenue grew by 9.10% year-over-year, showing steady progress in growing the business. This positive trajectory indicates the company maintains competitive positioning in its markets. Earnings decreased by 9.30% year-over-year, reflecting the bottom-line impact of business performance. These growth metrics should be evaluated against Tobacco industry averages for proper context.

Dividend Information

Dividend Per Share

$5.88

Dividend Yield

3.19%

Ex-Dividend Date

Jun 25, 2026

Dividend Date

Jul 20, 2026

Q:What dividend income can investors expect from PM?
Philip Morris International Inc offers a dividend yield of 3.19%, paying $5.88 per share annually. This above-average yield of 2-4% provides meaningful income while still allowing the company to reinvest for growth. It compares favorably to the S&P 500 average and offers competitive returns versus bonds in the current rate environment. To receive the next dividend, shares must be purchased before the ex-dividend date of Jun 25, 2026.
Q:How reliable is PM's dividend for long-term investors?
The dividend sustainability can be assessed through the payout ratio - Philip Morris International Inc pays $5.88 per share in dividends against earnings of $7.10 per share, resulting in a payout ratio of 82.82%. This high payout ratio of 60-90% leaves limited earnings for reinvestment. While currently sustainable, there's less buffer for dividend growth or protection during earnings downturns. The next dividend payment is scheduled for Jul 20, 2026.

Company Size & Market

Market Cap

$287.2B

Revenue (TTM)

$41.49B

Revenue/Share (TTM)

$26.66

Shares Outstanding

1.56B

Book Value/Share

-$5.95

Asset Type

EQUITY

Q:What is PM's market capitalization and position?
Philip Morris International Inc has a market capitalization of $287.2B, classifying it as a mega-cap stock (over $200B). These are the largest, most established companies globally, typically offering stability and liquidity but with more modest growth potential. Mega-caps often pay dividends and weather economic downturns better than smaller companies. With 1.56B shares outstanding, the company's ownership is widely distributed. As a major player in the Tobacco industry, it competes with other firms in this sector.
Q:How does PM's price compare to its book value?
Philip Morris International Inc's book value per share is -$5.95, while the current stock price is $181.93, resulting in a price-to-book (P/B) ratio of -30.56. Trading below book value can indicate the market perceives challenges ahead, or it might represent a value opportunity if the assets are quality and earnings can recover. Value investors often screen for P/B ratios below 1.0. As EQUITY, this represents a specific type of security.

Analyst Ratings

Analyst Target Price

$193.86

6.56% upside potential

Analyst Recommendations

Strong Buy

5

Buy

8

Hold

4

Sell

0

Strong Sell

1

Q:How reliable are analyst predictions for PM?
18 analysts cover PM with 72% recommending buy/strong buy ratings. Analyst predictions have mixed reliability - studies show consensus rarely beats market returns consistently. The strong bullish consensus may already be priced in. The consensus target of $193.86 implies 6.6% upside, but targets are often adjusted to follow price moves rather than predict them.
Q:What is the Wall Street consensus on PM?
Current analyst recommendations:5 Strong Buy, 8 Buy, 4 Hold, 01 Strong Sell. The bullish tilt suggests optimism about future prospects, though investors should conduct independent research.Remember that analyst opinions often lag price movements and can be influenced by investment banking relationships.

Fundamentals last updated: Jun 15, 2026, 02:03 AM

Technical Indicators

RSI (14-day)

58.49

Neutral

50-Day Moving Average

$172.35

5.56% above MA-50

200-Day Moving Average

$164.31

10.72% above MA-200

MACD Line

1.42

MACD Signal

1.62

MACD Histogram

-0.19

Bearish

Q:What does PM's RSI value tell investors?
The RSI (Relative Strength Index) for PM is currently 58.49, indicating the stock is in neutral territory (40-60 range). Neither buyers nor sellers have clear control, suggesting consolidation or balanced market forces. Combined with the price being above the 50-day moving average, this confirms bullish conditions.
Q:How should traders interpret PM's MACD and moving average crossovers?
MACD analysis shows the MACD line at 1.42 below the signal line at 1.62, with histogram at -0.19. This bearish crossover indicates downward pressure. The 50-day MA ($172.35) is above the 200-day MA ($164.31), forming a golden cross pattern that typically signals a long-term uptrend. Price is currently above both MAs, confirming strength.

Indicators last updated: Jun 15, 2026, 01:03 AM

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