PM
Philip Morris International Inc.Stock · Consumer StaplesS&P 500 0.4% · Russell 1000 0.4% · US Stock Market 0.4% · Russell 3000 0.4% · MSCI World 0.3% · MSCI ACWI 0.3% · S&P 500 Equal Weight 0.2%$191.06+0.68%
as of market close, Sep 11, 2026
☾ AH — —
PM — Philip Morris International Inc. price, chart and key statistics
Technical analysis2
Overlay lines0
Addendum charts0
VolumeDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDDD
60.080.0100.0120.0140.0160.0180.0050.0M100.0M$191.06—20162019202120242026
2026-09-11
Price$191.06
MA20$180.07
MA50$171.36
Vol24.6M
Key stats
Price data
- Price
- $191.06
- Change YTD
- +21.17%
- Next earnings
- Oct 20, 2026
- Market cap
- 297.8B
- Enterprise value
- 340.3B
- Shares outstanding
- 1.6B
- 52W low
- $142.11
- 52W high
- $207.76
- From 52W high
- -8.04%
- From 52W low
- +34.45%
- 52W range
- 75%
- Beta
- 0.38
Volume
- Rel volume
- 1.19×
- 30D volume
- 4.4M
- 30D $ vol
- 826M
Fundamentals
- Sales (ttm)
- 42.5B
- Sales/share
- $27.30
- EPS (ttm)
- $6.97
- FCF (ttm)
- 12.7B
- FCF/share
- $8.16
- Book value/share
- -$5.51
- Net margin
- 25.56%
- ROA
- 15.93%
- Current ratio
- 0.98
Growth (CAGR, ttm) · 10Y
- Sales
- +8.93%+8.65%+7.19%-5.34%
- Net income
- +32.12%+10.55%+4.15%+5.27%
- FCF
- +41.56%+19.74%+4.43%+7.16%
- Shares
- +0.13%+0.13%+0.00%+0.05%
Per-share growth (CAGR, ttm) · 10Y
- EPS
- +31.95%+10.40%+4.16%+5.25%
- Sales/share
- +8.79%+8.50%+7.19%-5.38%
- FCF/share
- +41.38%+19.58%+4.43%+7.11%
- Dividend/share
- +8.90%+4.99%+4.14%+3.72%
- Price
- +13.80%+26.43%+13.02%+6.95%
- Total return
- +17.93%+31.96%+18.43%+12.36%
Fundamentals end at the last reported quarter; price and total return end at the latest close.
Valuation
- P/E (ttm)
- 27.4×
- P/OI (ttm)
- 18.5×
- Fwd P/E
- 19.9×
- P/S (ttm)
- 7.0×
- P/B (mrq)
- -34.7×
- P/FCF (ttm)
- 23.4×
- EV/EBITDA (fy)
- 18.8×
- EV/Sales (ttm)
- 8.0×
- FCF yield (ttm)
- 4.27%
- Dividend yield (fwd)
- 3.08%
- Dividend/share (fwd)
- $5.88
- Buyback yield (realized, 1y)
- -0.13%
- Shareholder yield (realized, 1y)
- 3.05%
- Buyback yield (cash, ttm)
- 0.00%
- Shareholder yield (cash, ttm)
- 3.02%
Vs own 10Y history
- P/E
- 90th
- P/OI
- 95th
- P/S
- 97th
- P/FCF
- 82nd
Bar = where today’s multiple sits in PM’s own 10-year range:near a decade-low (cheap)→near a decade-high (rich).
Performance · price return · windows as of 2026-09-11
1D
+0.68%
5D
+2.63%
1M
+2.62%
3M
+6.57%
YTD
+21.17%
1Y
+19.76%
5Y
+128.47%
Financial statements
Open full PM financials →Loading financial statements…
Related Consumer Staples
| Ticker | Name | 1M | 1D |
|---|---|---|---|
| WMT | Walmart Inc. | -7.42% | +1.34% |
| COST | Costco Wholesale Corporation | -4.72% | +0.26% |
| KO | Coca-Cola Company | +1.82% | +0.52% |
| PG | Procter & Gamble Company | +0.83% | +1.61% |
| PEP | PepsiCo Inc. | -0.67% | -0.24% |
| SONY | Sony Group Corporation American Depositary Shares | +1.53% | +1.62% |
| BUD | Anheuser-Busch Inbev SA Sponsored ADR (Belgium) | -1.21% | +0.75% |
| BTI | British American Tobacco p.l.c. (ADR) | -1.07% | +0.69% |
Philip Morris International Inc. (PM) trades at $191.06 with a live price and an interactive chart covering 18+ years of daily price history, plus key valuation metrics. ChartRow also publishes PM’s financial statements free — annual and quarterly income statement, balance sheet, and cash flow straight from SEC filings, with P/E and valuation history and dividend data. See full PM financial statements →
