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PMPM

$183.4

-0.10
arrow_drop_down0.05%
Market closed·update20 Feb 2026 21:00

$184.21

+0.81
arrow_drop_up0.44%
Post-market·update21 Feb 2026 00:59
Day's Range
182.12-185
52-week Range
142.11-190.98

Chart

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Performance

Key Stats

Next Earnings Date2026-04-22
Next Earnings TimeUnknown
Volume2.72M
Average Volume 30d5.81M

AI PM Summary

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25.5
Valuation (P/E Ratio)
Reasonable for growth sector
📈
0.152
EPS Growth (YoY)
Strong earnings growth
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AI Scoreboard

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Overall Analysis

Hold
65

Philip Morris International exhibits strong fundamental performance with consistent profitability and a significant dividend yield, aligned with defensive sector characteristics. However, recent technical indicators suggest a short-term bearish trend, and future growth may be influenced by the transition to smoke-free products and evolving regulations.

Moderate

Thematic

75

PMI is navigating a significant industry shift towards smoke-free alternatives, which presents both growth opportunities and regulatory risks. Its exposure to wellness and healthcare products is a nascent positive thematic. The company is well-positioned in established markets but faces challenges in adapting to changing consumer preferences and regulatory landscapes.

Strong

Fundamental

80

PMI demonstrates robust profitability, strong cash flow generation, and a consistent dividend payout. Its financial position is solid, though the latest reported quarter showed a negative net margin, which warrants attention. The company maintains a significant debt load but appears well-covered by its earnings and cash flow.

Bearish

Technical

45

The stock has experienced a significant decline over the past month and 5 days, with price trading below key moving averages. Momentum indicators are mixed but lean towards bearish, suggesting potential for further downside or a period of consolidation before any significant recovery.

FactorScore
Transition to Smoke-Free Products80
ESG & Sustainability65
Regulatory Environment50
Market Dominance & Diversification70
Wellness and Healthcare Products55
FactorScore
Valuation40
Profitability85
Growth70
Balance Sheet Health30
Cash Flow90
Dividend Yield95
FactorScore
Trend Analysis30
Momentum35
Volume Confirmation40
Support & Resistance50
Short-term Performance20

AI Investing Checklist

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Bullish Points (7)

Earnings Performance chevron_right

Consistent EPS Beats

The company has exceeded earnings per share (EPS) estimates for the last 5 consecutive quarters, demonstrating consistent operational efficiency and better-than-expected profitability.

Financial Health & Liquidity chevron_right

Strong Free Cash Flow Generation

Free cash flow has shown a positive trend, increasing from $7.88 billion in Q4 2023 to $10.77 billion in Q4 2024, indicating robust cash generation capabilities to fund operations, investments, and shareholder returns.

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Bearish Points (7)

Earnings Performance chevron_right

Q4 2024 Revenue Miss

The company reported a net loss of -$579 million on revenue of $9.706 billion in Q4 2024, missing analyst expectations and indicating recent operational challenges.

Valuation chevron_right

High P/S Ratio

The Price-to-Sales (P/S) ratio of 8.7 (TTM) is relatively high, suggesting that investors are paying a premium for each dollar of sales, which could lead to price corrections if sales growth falters.

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Calendar

June 2025

27

Ex-Dividend Date

July 2025

15

Next Dividend Date

October 2025

21

Next Earnings Date

EPS Est.
Revenue Est.

H: $2.14

A: $2.11

L: $2.07

H: 10.84B

A: 10.68B

L: 10.48B

Profile

Websitepmi.com
Employees (FY)83.1K
ISINAR0361136887
FIGI-

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

Seasonals

2025
2024
2023
2022
2021

Price Target

184.09 USD

The 39 analysts offering 1 year price forecasts for PM have a max estimate of 225.00 and a min estimate of 143.45.

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
1.55B (99.87%)
Closely held shares
2.09M (0.13%)
1.56B
Free Float shares
1.55B (99.87%)
Closely held shares
2.09M (0.13%)

Capital Structure

Market cap
250.72B
Debt
45.7B
Minority interest
0.00
Cash & equivalents
4.22B
Enterprise value
292.2B

Valuation - Summary

Market Cap
251B
Net income
5.19B(2.07%)
Revenue
28.9B(11.53%)
251B
Market Cap
251B
Net income
5.19B(2.07%)
Revenue
28.9B(11.53%)
Price to earning ratio (P/E)48.30x
Price to sales ratio (P/S)8.70x

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
37.88B
COGS
13.33B
Gross Profit
24.55B
OpEx
11.15B
Operating Income
13.4B
Other & Taxes
6.34B
Net Income
7.06B

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow
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