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Business Units or Product Lines |
Philip Morris International operates primarily in the manufacture and sale of cigarettes and smoke-free products, including heated tobacco and oral nicotine products. Its key brands include Marlboro, IQOS, and L&M. |
Business Models for Each Product Line |
Philip Morris generates revenue predominantly through the sale of combustible tobacco products like cigarettes, with significant income also from its smoke-free products such as IQOS. Major expense categories include production costs, marketing and distribution, and research and development for smoke-free alternatives. |
Future Opportunities for Growth |
Growth opportunities include the expansion of the smoke-free product segment, particularly the IQOS device, increased penetration in emerging markets, and leveraging technology for harm reduction alternatives. |
Potential Major Risks |
Major risks include regulatory changes and increased taxation on tobacco products, legal challenges, health-related litigation, and shifting consumer preferences towards healthier lifestyles impacting cigarette demand. |
Learn More about Philip Morris International:
Company Insights by Algobear (ChatGPT);
Tell me more about Philip Morris International's latest earnings (PM:Nyse)
Who are some of Philip Morris International's competitors? (PM:Nyse)
Are analysts bullish on Philip Morris International? Please show it in a table format. (PM:Nyse)
Also read:
https://finance.yahoo.com/PM/profile
Market Cap-Display | Market Cap-Actual | Market Cap | Enterprise Value-Display | Enterprise Value-Actual | Enterprise Value | Trailing P/E | Forward P/E | PEG Ratio (5yr expected) | Price/Sales | Price/Book | Enterprise Value/Revenue | Enterprise Value/EBITDA | Profit Margin | Operating Margin | Return on Assets | Revenue-Display | Revenue-Actual | Revenue | Quarterly Revenue Growth | EBITDA-Display | EBITDA-Actual | EBITDA | Diluted EPS | Quarterly Earnings Growth | Total Cash-Display | Total Cash-Actual | Total Cash | Total Debt-Display | Total Debt-Actual | Total Debt | Current Ratio | Operating Cash Flow-Display | Operating Cash Flow-Actual | Operating Cash Flow | Levered Free Cash Flow-Display | Levered Free Cash Flow-Actual | Levered Free Cash Flow | % Held by Insiders | % Held by Institutions |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
281.09 B | 281091932160.0 | 281.09 | 328.26 B | 328256421888.0 | 328.26 | 28.39 | 25.08 | 1.33 | 7.32 | -25.78 | 8.55 | 20.21 | 19.8% | 41.02% | 13.75% | 38.39 B | 38385999872.0 | 38.39 | 5.8% | 16.24 B | 16241000448.0 | 16.24 | 6.36 | 25.2% | 4.44 B | 4442999808.0 | 4.44 | 49.63 B | 49633001472.0 | 49.63 | 0.79 | 11.63 B | 11626000384.0 | 11.63 | 8.56 B | 8564250112.0 | 8.56 | 0.15% | 81.58% |
Key | Weighted | 5D | 1M | 3M | 6M | 1Y | 3Y | 10Y |
---|---|---|---|---|---|---|---|---|
Upside % (high) | 1.26% | 1.22% (183.94) | 1.22% (183.94) | 1.22% (183.94) | 1.22% (183.94) | 1.22% (183.94) | 1.22% (183.94) | 1.22% (183.94) |
Downside % (low) | 13.91% | 1.9% (178.28) | 10.65% (162.37) | 20.17% (145.08) | 36.1% (116.12) | 45.56% (98.93) | 54.41% (82.85) | 69.18% (56.01) |
Spread % | -12.65% | -0.68% | -9.44% | -18.95% | -34.89% | -44.35% | -53.19% | -67.96% |
PM's price used for computing the stats is 181.73 as on date
Key | Today | 5D | 2W | 1M | 3M | 6M | 1Y | 3Y | 10Y |
---|---|---|---|---|---|---|---|---|---|
Last Price-Trend PrevClose | 0.0% | 0.63% | 3.71% | 4.39% | 18.04% | 39.8% | 75.09% | 71.83% | 118.45% |
Last Price | 181.73 | 181.73 | 181.73 | 181.73 | 181.73 | 181.73 | 181.73 | 181.73 | 181.73 |
Trend-Previous Close | 181.73 | 180.59 | 175.23 | 174.08 | 153.95 | 129.99 | 103.79 | 105.76 | 83.19 |
PM's symbol cumulative return percent is computed basis data from date
5D | 2W | 1M | 3M | 6M | 1Y | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
5D window |
5D Opportunity:
returns:
2.17%
(3.15%),
p.close: 177.87
entry:
183.48,
exit:
183.75,
min.ret:
-0.14%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
2.17%
(4.1%),
p.close: 177.87
entry:
185.17,
exit:
185.4,
min.ret:
-0.12%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
2.17%
(5.37%),
p.close: 177.87
entry:
187.43,
exit:
189.78,
min.ret:
-1.25%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
2.17%
(5.76%),
p.close: 177.87
entry:
188.12,
exit:
189.42,
min.ret:
-0.69%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
2.17%
(7.0%),
p.close: 177.87
entry:
190.31,
exit:
190.63,
min.ret:
-0.17%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
2.17%
(6.39%),
p.close: 177.87
entry:
189.23,
exit:
189.41,
min.ret:
-0.09%
Using: 5D trend, 0 Days Left
|
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2W window |
2W Opportunity:
returns:
4.06%
(9.94%),
p.close: 174.64
entry:
192.0,
exit:
191.5,
min.ret:
0.26%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
returns:
4.06%
(8.4%),
p.close: 174.64
entry:
189.32,
exit:
190.1,
min.ret:
-0.42%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
returns:
4.06%
(9.18%),
p.close: 174.64
entry:
190.67,
exit:
190.14,
min.ret:
0.28%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
returns:
4.06%
(11.21%),
p.close: 174.64
entry:
194.22,
exit:
194.17,
min.ret:
0.03%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
returns:
4.06%
(10.07%),
p.close: 174.64
entry:
192.23,
exit:
192.09,
min.ret:
0.07%
Using: 2W trend, 0 Days Left
|
|||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
1M window |
1M Opportunity:
returns:
4.93%
(15.94%),
p.close: 173.19
entry:
200.8,
exit:
194.42,
min.ret:
3.18%
Using: 1M trend, 0 Days Left
|
1M Opportunity:
returns:
4.93%
(16.56%),
p.close: 173.19
entry:
201.86,
exit:
197.17,
min.ret:
2.33%
Using: 1M trend, 0 Days Left
|
1M Opportunity:
returns:
4.93%
(20.18%),
p.close: 173.19
entry:
208.14,
exit:
206.72,
min.ret:
0.68%
Using: 1M trend, 0 Days Left
|
1M Opportunity:
returns:
4.93%
(17.48%),
p.close: 173.19
entry:
203.46,
exit:
202.15,
min.ret:
0.64%
Using: 1M trend, 0 Days Left
|
PM's symbol current price is 181.73 (-0.13%) as on . Yesterday's close was 181.96. It's return velocities are computed basis data from date .