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Philip Morris International Inc

PM

Last
$201.19
Day
+0.3%
1y
+27.8%
5y
+108.4%
52w
-3.5%
SPY YTD
+13.3%
XLP
+7.4%
Earnings
2026-10-2010d
EMA 21
192.07
EMA 50
189.92
EMA 200
179.62
20d high
-1.1%
5y high
-3.5%
5y range
94th
Website · 84,900 employees · United States

Positions held

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Score
53
Hold
swing
Signal
Strong Buy
Target
$215.60
Stop
$192.95
Stop distance
4.1%
Target vs last
+7.2%

Bull / bear case

Site-generated summary from fundamentals, news, and score — not investment advice. As of 2026-10-07.

Bull case
  • Philip Morris International is strategically transitioning towards reduced-risk products, positioning itself favorably in the evolving tobacco industry.
  • Revenue increased by 10% compared to the prior quarter, reaching $11.2 billion.
  • Operating margin expanded to 40.5%, up from 38.4% in the previous quarter.
Bear case
  • The tobacco industry faces increasing regulatory pressures that could impact future growth and profitability.
  • Earnings growth has declined by 7.5% year-over-year.
  • The stock's trailing P/E ratio is 27.36, indicating potential overvaluation compared to historical averages.

Fundamentals

Market cap$312.50BEnterprise value$357.56BTrailing P/E28.81Forward P/E21.83
PEG2.31Price / book-36.41Beta0.36Dividend yield3.19%
Revenue growth10.4%Earnings growth-7.5%Gross margin67.5%Operating margin40.0%
Profit margin25.6%ROE—ROA14.6%Debt / equity—
Current ratio0.98Free cash flow$9.71BAnalyst recommendationbuyMean target$208.13
52w high$207.7652w low$142.11

Quarterly

2026-Q22026-Q12025-Q42025-Q32025-Q2
Revenue$11.2B$10.1B$10.4B$10.8B$10.1B
Op margin40.5%38.4%32.6%39.3%37.0%
Net income$2.8B$2.4B$2.1B$3.5B$3.0B
Gross margin68.4%68.1%65.6%67.8%67.7%
Gross profit$7.7B$6.9B$6.8B$7.4B$6.9B
Operating income$4.5B$3.9B$3.4B$4.3B$3.8B
  • Revenue +10% vs prior quarter ($11.2B vs $10.1B).
  • Gross margin 68.4% (was 68% prior quarter).
  • Operating margin expanded to 40.5%.

Yearly (6y)

20252024202320222021
Revenue$40.6B$37.9B$35.2B$31.8B—
Op margin36.7%35.4%34.7%38.6%—
Net income$11.3B$7.1B$7.8B$9.0B—
Gross margin67.1%64.8%63.3%64.1%—
Gross profit$27.3B$24.5B$22.3B$20.4B—
Operating income$14.9B$13.4B$12.2B$12.2B—
Headline scan

No flags

• No distress or material-risk keywords in recent headlines (keyword scan only — not a guarantee).

News

No headlines.

PM · daily+21.6% over 260 sessions
Close EMA21 EMA50 EMA200
138.83156.88174.94192.99211.042025-092025-112026-012026-042026-062026-082026-10
Quarterly · revenue, net income, margins
Revenue Net income Gross margin Op margin
$0M$2.8B$5.6B$8.4B$11.2B0%34%68%2025-Q22025-Q32025-Q42026-Q12026-Q2