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PM

Philip Morris International Inc PM

$192.98 +3.14 (+1.65%)
Extended · +1.96σ
Mkt cap $280.0B
P/E 27.2
Day $190.60 – $194.62
52wk $151.63 – $194.62
Avg vol
Beta
Div yld
Next earnings

Quick read

Plain English

Philip Morris International Inc is a consumer defensive company listed in the US.

PM last traded at $192.98, up 1.6% on the day; that's in the upper part of its 52-week range ($151.63–$194.62). Right now it's trading above its recent average — momentum is positive, though some of the move may already be in the price.

Earnings reports are the biggest scheduled catalysts to keep an eye on, and after a strong run, watch whether the price can hold its gains on quieter days.

A plain-English snapshot built from the data on this page — not investment advice. Always do your own research.

132-Day Trend Zones

Full chart →
21 EMA +1 ATR +2 ATR −2 ATR
O H L C

Under the hood

On the latest daily bar, momentum sits mid-range (RSI 63), the trend is quiet (ADX 13), and volume is about normal (1.0×). On the business side, revenue is growing 9% year over year and the business keeps about 21 cents of every sales dollar as free cash.

Latest-bar indicator readings behind the grade — display-only, they don't move the letter.

Momentum · RSI
63
0–100 · <30 oversold
Trend strength · ADX
13
>25 = strong trend
Volume vs avg
0.99×
1× = average
Stretch from avg
+2.0 ATR
− below · + above
Zone touches
0
tests of this zone
Suggested hold
3–30
bars (≈ days)
Fundamentals at a glance

Company fundamentals for context — display-only, they don't move the grade.

Revenue growth
+9.1%
year over year
Free-cash-flow margin
21.1%
cash kept per $ of sales
P/E ratio
27.2
price ÷ yearly profit

Valuation & accounting

Valuation desk →

Our cash-flow model pegs fair value near $92.94 (fair range $78–$128); today's price sits 108% above that estimate. The model's verdict is “Overvalued” and accounting quality screens as Weak. Model estimates only — do your own due diligence.

Intrinsic (DCF)
$92.94
Fair-value range
$78.24 – $127.80
Margin of safety
-108%
Verdict
Overvalued
Accounting quality Weak
  • ✓ Positive retained earnings
  • ✓ Gross margin 67% (pricing power)
  • ✓ Net margin 27%
  • ⚠ Debt exceeds cash
  • ⚠ Quick ratio 0.39 (fragile)
  • ⚠ Receivables growing faster than revenue
  • ⚠ Inventory growing faster than revenue

Price implies ~19% growth (vs trailing rev yoy). Model estimate — do your own due diligence.

Key statistics

All statistics →

PM is a $280.0 billion company, priced at 27× last year's earnings, and the stock is trading near the top of its 52-week range.

Mkt cap $280.0B
P/E ttm 27.2
Fwd P/E
Beta
Day range $190.60 – $194.62
52w range $151.63 – $194.62
Avg vol
RSI(2) 92.5
ROE
Net mgn
FCF mgn 21.1%
Debt/Eq
Div yld
Sector Consumer Defensive
Industry Tobacco
Next earn
52-week range · today's price
$151.63$194.62

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