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PM Overview

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$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
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Intellectia

Loading chart...

High
191.980
Open
189.430
VWAP
190.15
Vol
3.77M
Mkt Cap
298.46B
Low
186.970
Amount
717.05M
EV/EBITDA(TTM)
19.44
Total Shares
1.56B
EV
346.94B
EV/OCF(TTM)
28.48
P/S(TTM)
7.19
Philip Morris International Inc. is an international tobacco company. The Company’s product portfolio primarily consists of cigarettes and smoke-free products. Its smoke-free business (SFB) also includes wellness and healthcare products, as well as consumer accessories, such as lighters and matches. The Company’s segments include Europe Region; South and Southeast Asia, Commonwealth of Independent States, Middle East and Africa Region (SSEA, CIS & MEA); East Asia, Australia & PMI Global Travel Retail (EA, AU & PMI GTR), and Americas Region. The Company's brands include Marlboro, HEETS, IQOS, IQOS ILUMA, TEREA, VEEV and ZYN. Its IQOS smoke-free product brand portfolio includes heated tobacco and nicotine-containing vapor products. Its international cigarette brands are Chesterfield, L&M, and Philip Morris. It also owns a number of local cigarette brands, such as Dji Sam Soe and Sampoerna A in Indonesia, and Fortune and Jackpot in the Philippines.
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Events Timeline

(ET)
2026-05-06
10:20:00
Trump Pressures FDA to Expedite Flavored Vape Approval
select
2026-05-05 (ET)
2026-05-05
15:20:00
FDA Authorizes Glas Electronic Cigarette Products for Marketing
select
link
2026-05-05
12:40:00
Trump Pressures FDA Commissioner to Expedite Vape Approvals
select
link
2026-04-28 (ET)
2026-04-28
16:20:00
NY Attorney General Urges Credit Card Companies to Block Illegal Vaping Sales
select
link
2026-04-23 (ET)
2026-04-23
08:20:00
Philip Morris Expands Partnership with Ducati Corse
select
2026-04-22 (ET)
2026-04-22
09:00:00
U.S. Extends Ceasefire with Iran, Markets Rise
select
2026-04-22
07:10:00
PMI Q1 Revenue Exceeds Expectations at $10.15B
select
2026-04-22
07:10:00
2026 Forecast: Adjusted EPS Expected at $8.11 to $8.26
select
2026-04-17 (ET)
2026-04-17
17:50:00
FDA Authorizes PMI IQOS Modified Risk Product Renewal
select

News

seekingalpha
9.5
05-18seekingalpha
Broyhill Fund Quarterly Letter Highlights Key Position Changes
  • Profit-Taking Strategy: In its quarterly letter, Broyhill Fund reported booking gains on a portion of its investment in Philip Morris International (PM) and fully liquidating several positions, including Ball (BALL), demonstrating its agile investment strategy and responsiveness to market dynamics.
  • New Investment Positions: The fund initiated several new positions during the quarter, including Microsoft (MSFT) and Smurfit WestRock (SW), particularly as Microsoft's valuation aligned with broader market levels, indicating confidence in future growth and a focus on value investing.
  • Liquidation and Reinvestment: Broyhill Fund fully exited positions in Evolution (EVVTY) and Avantor (AVTR) to reinvest in higher conviction ideas, reflecting its ongoing pursuit of portfolio optimization and strategic repositioning.
  • Market Expectation Adjustments: The fund began accumulating shares of Leggett & Platt (LEG) and fully exited when a bid from Somnigroup International (SGI) emerged, showcasing its keen ability to capitalize on market opportunities and pursue potential returns.
Fool
2.0
05-18Fool
Challenges of High-Yield Investments in Consumer Goods for 2026
  • Philip Morris International: In Q1 2026, Philip Morris International reported a 9.1% year-over-year increase in net revenue to $10.1 billion, with adjusted EPS growth of 16%, and raised its full-year EPS guidance to between $8.36 and $8.51, highlighting strong growth potential in alternative tobacco products despite regulatory risks.
  • British American Tobacco: British American Tobacco's Velo Plus nicotine pouches lead the rapidly growing market, with a 3.4% EPS increase for full-year 2025 and a current dividend yield of 5%, while its healthy payout ratio of 69% indicates stability despite challenges from declining combustible product volumes.
  • Hormel Foods: As a
CNBC
8.5
05-17CNBC
The Potential and Challenges of Coal's Revival
  • Surging Market Demand: Babcock & Wilcox (B & W) currently holds a $2.7 billion backlog, with $2.4 billion stemming from its partnership with Applied Digital, indicating a robust growth in power demand driven by the data center boom, which may lead to a revival of coal.
  • Significant Stock Performance: B & W's stock has surged 244% over the past year, rising from below $1 to $21, reflecting optimistic market expectations for its future growth potential, despite facing controversies related to Applied Digital.
  • Policy Support for Coal: President Trump and the Energy Secretary are actively working to prevent the closure of coal plants, viewing coal as a vital national security resource, which could provide new business opportunities for companies like B & W, despite ongoing environmental concerns.
  • Changing Competitive Landscape: B & W possesses unique capabilities in building natural gas power plants, and with GE Vernova currently at capacity, B & W's expansion potential may position it favorably in the future energy market, particularly in the combined use of coal and natural gas.
Yahoo Finance
6.5
05-17Yahoo Finance
Consumer Staples Struggle, Coty Faces Challenges
  • Consumer Stock Performance: Over the past six months, consumer staples stocks have declined by 2.3%, contrasting with the S&P 500's 10% rise, indicating a diminishing defensive investment characteristic in volatile markets.
  • Coty's Financial Struggles: With a market cap of $2.01 billion, Coty has shown no organic revenue growth over the past two years, and demand is expected to decline in the next 12 months, leading to a 29.3% annual drop in earnings per share, highlighting severe profitability issues.
  • Colgate-Palmolive's Strength: Colgate-Palmolive, valued at $69.97 billion, boasts a revenue base of $20.8 billion and a gross margin of 60.4%, demonstrating strong customer loyalty and market influence, making it a stock worth watching.
  • Philip Morris's Robust Performance: With a market cap of $291.3 billion, Philip Morris showcases a highly efficient business model with a gross margin of 66.5% and an operating margin of 36.5%, indicating strong cash flow capabilities that attract investor interest.
Newsfilter
9.0
05-08Newsfilter
FDA Eases Enforcement on Unauthorized E-Cigarettes
  • Enforcement Priority Shift: The FDA announced that it will not prioritize enforcement against certain unauthorized e-cigarettes and nicotine pouch products if companies have submitted marketing applications, which alleviates compliance pressure on businesses.
  • Market Access Conditions: The FDA stated that manufacturers are unlikely to face enforcement action only if their marketing applications are accepted or supplemental filings have been pending for over 180 days, providing market access opportunities for companies like Philip Morris International.
  • Scientific Data Requirements: Non-tobacco-flavored vape makers must provide sufficient scientific data to assess whether their products are 'appropriate for the protection of public health,' indicating the FDA's strong focus on youth usage concerns while offering clear compliance guidance for businesses.
  • Resource Allocation Optimization: The FDA noted that by not prioritizing enforcement against these tobacco products, it can better allocate its enforcement resources, although it may still take action against products with elements appealing to underage users, which will impact the competitive landscape.
seekingalpha
2.0
05-08seekingalpha
Philip Morris Shares Slightly Decline After Six-Day Gain Streak
  • Stock Pullback: Philip Morris (PM) shares experienced a slight decline of 0.1% on Friday after a six-day gain streak, closing at $171.01, indicating short-term market volatility.
  • Year-to-Date Performance: So far this year, PM's stock has risen 7%, slightly underperforming the S&P 500's 8% increase, reflecting its relative performance in the broader market.
  • Analyst Ratings: According to Seeking Alpha's Quant Rating, PM holds a strong buy rating of 4.6, although it received a C+ for growth factors, indicating solid profitability prospects but limited growth potential.
  • Market Challenges: Analysts noted that PM's challenge moving forward is balancing production with the inventory normalization seen among U.S. retailers, which could impact its short-term performance and market confidence.
Wall Street analysts forecast PM stock price to rise
11 Analyst Rating
Wall Street analysts forecast PM stock price to rise
8 Buy
3 Hold
0 Sell
Moderate Buy
Current: 0.000
sliders
Low
175.00
Averages
191.95
High
210.00
Current: 0.000
sliders
Low
175.00
Averages
191.95
High
210.00
UBS
Neutral
downgrade
$168
AI Analysis
2026-04-17
Reason
UBS
Price Target
$168
AI Analysis
2026-04-17
downgrade
Neutral
Reason
UBS lowered the firm's price target on Philip Morris to $168 from $181.50 and keeps a Neutral rating on the shares. The firm updated its model ahead of the Q1 earnings report.
Morgan Stanley
Eric Serotta
Overweight
downgrade
$205 -> $190
2026-04-17
Reason
Morgan Stanley
Eric Serotta
Price Target
$205 -> $190
2026-04-17
downgrade
Overweight
Reason
Morgan Stanley analyst Eric Serotta lowered the firm's price target on Philip Morris to $190 from $205 and keeps an Overweight rating on the shares. The firm updated its model for Philip Morris' segment recast and trimmed estimates on lower Zyn shipments and forex impacts.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for PM
Unlock Now

Valuation Metrics

The current forward P/E ratio for Philip Morris International Inc (PM.N) is 20.24, compared to its 5-year average forward P/E of 17.33. For a more detailed relative valuation and DCF analysis to assess Philip Morris International Inc's fair value, Click here.

Forward PE

The forward P/E ratio is a valuation metric that divides a company's current stock price by its estimated future earnings per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PE
17.33
Current PE
20.24
Overvalued PE
19.65
Undervalued PE
15.01

Forward EV/EBITDA

The forward EV/EBITDA ratio is a valuation metric that divides a company's enterprise value (EV) by its estimated future earnings before interest, taxes, depreciation, and amortization (EBITDA) over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average EV/EBITDA
13.97
Current EV/EBITDA
18.31
Overvalued EV/EBITDA
15.64
Undervalued EV/EBITDA
12.31

Forward PS

The forward P/S ratio is a valuation metric that divides a company's current stock price by its estimated future sales (or revenue) per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PS
4.91
Current PS
6.40
Overvalued PS
5.67
Undervalued PS
4.16

Financials

AI Analysis
Annual
Quarterly

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Whales Holding PM

A
Atreides Management, LP
Holding
PM
+32.52%
3M Return
M
Maplelane Capital, LLC
Holding
PM
+26.94%
3M Return
W
Wolverine Trading, LLC
Holding
PM
+21.72%
3M Return
D
Diversify Advisory Services, LLC
Holding
PM
+19.34%
3M Return
B
Blue Sparrow, Llc
Holding
PM
+18.85%
3M Return
B
BNP Paribas Financial Markets SNC
Holding
PM
+17.52%
3M Return

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Frequently Asked Questions

What is Philip Morris International Inc (PM) stock price today?

The current price of PM is 191.5 USD — it has increased 1

What is Philip Morris International Inc (PM)'s business?

Philip Morris International Inc. is an international tobacco company. The Company’s product portfolio primarily consists of cigarettes and smoke-free products. Its smoke-free business (SFB) also includes wellness and healthcare products, as well as consumer accessories, such as lighters and matches. The Company’s segments include Europe Region; South and Southeast Asia, Commonwealth of Independent States, Middle East and Africa Region (SSEA, CIS & MEA); East Asia, Australia & PMI Global Travel Retail (EA, AU & PMI GTR), and Americas Region. The Company's brands include Marlboro, HEETS, IQOS, IQOS ILUMA, TEREA, VEEV and ZYN. Its IQOS smoke-free product brand portfolio includes heated tobacco and nicotine-containing vapor products. Its international cigarette brands are Chesterfield, L&M, and Philip Morris. It also owns a number of local cigarette brands, such as Dji Sam Soe and Sampoerna A in Indonesia, and Fortune and Jackpot in the Philippines.

What is the price predicton of PM Stock?

Wall Street analysts forecast PM stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for PM is191.95 USD with a low forecast of 175.00 USD and a high forecast of 210.00 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.

What is Philip Morris International Inc (PM)'s revenue for the last quarter?

Philip Morris International Inc revenue for the last quarter amounts to 10.15B USD, increased 9.09

What is Philip Morris International Inc (PM)'s earnings per share (EPS) for the last quarter?

Philip Morris International Inc. EPS for the last quarter amounts to 1.56 USD, decreased -9.30

How many employees does Philip Morris International Inc (PM). have?

Philip Morris International Inc (PM) has 84900 emplpoyees as of May 19 2026.

What is Philip Morris International Inc (PM) market cap?

Today PM has the market capitalization of 298.46B USD.