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Philip morris international inc.PM.US Overview

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PM Recent Performance

3.10%

Philip morris international inc.

-0.25%

Avg of Sector

-0.49%

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Philip Morris International Inc. operates as a tobacco company working to delivers a smoke-free future and evolving portfolio for the long-term to include products outside of the tobacco and nicotine sector. The company's product portfolio primarily consists of cigarettes and smoke-free products, including heat-not-burn, vapor, and oral nicotine products that are sold in markets outside the United States. The company offers its smoke-free products under the HEETS, HEETS Creations, HEETS Dimensions, HEETS Marlboro, HEETS FROM MARLBORO, Marlboro Dimensions, Marlboro HeatSticks, Parliament HeatSticks, and TEREA brands, as well as the KT&G-licensed brands, Fiit, and Miix. It also sells its products under the Marlboro, Parliament, Bond Street, Chesterfield, L&M, Lark, and Philip Morris brands. In addition, the company owns various cigarette brands, such as Dji Sam Soe, Sampoerna A, and Sampoerna U in Indonesia; and Fortune and Jackpot in the Philippines. The company sells its smoke-free products in 71 markets. Philip Morris International Inc. was incorporated in 1987 and is headquartered in New York, New York.

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This disclaimer is provided by TradingValley Inc. and includes any messages, news, research, analysis, prices or other information provided by the Company's website, the application "Growin App" and other services provided through the Company's website. It is only general market information for educational and investment decision-making reference, and does not constitute any investment advice. View Growin Disclaimer

PM Earnings Table

Unit : USD

QTRNon-GAAP EPSEPS YoYEPS Surprise %SalesSales YoYSales Surprise %NPM
Current
2025Q4
2025Q3
2025Q2
2025Q1
METRIC
VALUE
vs. INDUSTRY
EPS (TTM)
7.12
PE Ratio (TTM)
23.09
Forward PE
20.04
PS Ratio (TTM)
6.17
PB Ratio
1318.70
Price-to-FCF
23.51
METRIC
VALUE
vs. INDUSTRY
Gross Margin
67.30%
Net Margin
26.74%
Revenue Growth (YoY)
8.09%
Profit Growth (YoY)
10.76%
3-Year Revenue Growth
8.16%
3-Year Profit Growth
11.50%
METRIC
VALUE
vs. INDUSTRY
EPS (TTM)
7.12
PE Ratio (TTM)
23.09
Forward PE
20.04
PS Ratio (TTM)
6.17
PB Ratio
1318.70
Price-to-FCF
23.51
Gross Margin
67.30%
Net Margin
26.74%
Revenue Growth (YoY)
8.09%
Profit Growth (YoY)
10.76%
3-Year Revenue Growth
8.16%
3-Year Profit Growth
11.50%
  • When is PM's latest earnings report released?

    The most recent financial report for Philip morris international inc. (PM) covers the period of 2026Q1 and was published on 2026/03/31. This report is prepared according to IFRS/US GAAP standards and includes key financial indicators—Revenue, Profitability, Cash Flow, and Capital Structure. This information is essential for investors evaluating PM's short-term business performance and financial health. For the latest updates on PM's earnings releases, visit this page regularly.

  • What is the operating profit of PM?

    According to the latest financial report, Philip morris international inc. (PM) reported an Operating Profit of 3.89B with an Operating Margin of 38.37% this period, representing a growth of 9.85% compared to the same period last year. Operating Profit reflects the company's core business efficiency and cost control, making it a key indicator for evaluating operational strength and profitability.

  • How is PM's revenue growth?

    In the latest financial report, Philip morris international inc. (PM) announced revenue of 10.15B, with a Year-Over-Year growth rate of 9.09%. Revenue growth can be driven by product mix changes, market share expansion, price adjustments, or international market penetration. Investors should also monitor gross margin and regional revenue distribution for a comprehensive view of growth quality and sustainability.

  • How much debt does PM have?

    As of the end of the reporting period, Philip morris international inc. (PM) had total debt of 51.95B, with a debt ratio of 0.75. Long-term debt comprises a higher/lower proportion. The level of financial leverage directly impacts the company's capital structure and interest coverage. If debt is high, pay attention to interest expenses and refinancing risks. Conversely, a low-leverage structure indicates greater risk tolerance but potentially less growth flexibility.

  • How much cash does PM have?

    At the end of the period, Philip morris international inc. (PM) held Total Cash and Cash Equivalents of 5.45B, accounting for 0.08 of total assets. Both current and quick ratios indicate robust short-term debt repayment ability. High cash reserves typically mean the company has strong liquidity, supporting operational needs, expansion investments, or shareholder returns.

  • Does PM go with three margins increasing?

    In the latest report, Philip morris international inc. (PM) achieved the “three margins increasing” benchmark, with a gross margin of 68.06%%, operating margin of 38.37%%, and net margin of 24.03%%. This demonstrates improvement in profitability, which is a key signal for fundamental analysis. Investors should consider margin trends alongside other financial indicators to assess PM's profit trajectory and future growth potential.

  • Is PM's EPS continuing to grow?

    According to the past four quarterly reports, Philip morris international inc. (PM)'s earnings per share (EPS) shows a declining trend, with the latest EPS at 1.56. If EPS continues to rise due to revenue growth and cost optimization, it can support P/E valuation recovery and attract long-term investors.

  • What is the FCF of PM?

    Philip morris international inc. (PM)'s Free Cash Flow (FCF) for the period is -752M, calculated as Operating Cash Flow minus Capital Expenditures, representing a rise of 0.27% compared with the previous period. Positive FCF growth provides stable funding for dividends, debt repayment, or strategic acquisitions, and is an important measure of true profitability and shareholder return potential.

  • What are the PEG ratio and PE ratio of PM?

    The latest valuation data shows Philip morris international inc. (PM) has a Price-To-Earnings (PE) ratio of 26.5 and a Price/Earnings-To-Growth (PEG) ratio of 1.91. A PEG below 1 usually suggests the market is underestimating growth potential, while a PEG above 1 indicates high growth expectations are already priced in. Investors should conduct a comprehensive valuation by considering historical growth, market forecasts, and industry cycles.