PM

Philip Morris International Inc.$180.91-1.07% 1D· price as of Jun 30, 8:32 PM
+0.14% over 1Y
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Mkt Cap
$282.0B
P/E
25.5×
Fwd P/E
19.8×
PEG
2.52
P/B
P/S
6.8×
EV/EBITDA
17.8×
Beta
0.41
Div Yield
3.2%
Payout
81.1%
ROE
Net Margin
26.7%
Short % Flt
1.1%
Inst. Own
84.1%
52-wk low $142.11$180.9152-wk high $193.05
+27.3% above low-6.3% from high

Seasonality — avg monthly return

Strongest Apr 4.6% · weakest Sep -5.8%
Jan
+4.0
Feb
+3.2
Mar
-1.5
Apr
+4.6
May
+2.9
Jun
+1.3
Jul
+1.1
Aug
+1.3
Sep
-5.8
Oct
+1.0
Nov
+2.7
Dec
+1.0

Average month-over-month return per calendar month over the available history (~5 yrs); hover for the share of positive months. Past seasonality isn't predictive.

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Quality scorecard

vs Consumer Staples · 30 peers · percentile rank

62 / 100
Strong
ROIC30.9%
93
ROE-113.5%
3
Gross margin67.1%
93
Operating margin36.7%
97
FCF yield3.8%
31
Net debt / EBITDA2.5×
54

Percentile vs 30 Consumer Staples peers — higher = better (leverage inverted: less debt ranks higher). The faint tick is the peer median; the score is the average percentile. Annual fundamentals.