Philip Morris International (PM) Stock Research, Analysis & News

Quick Analysis on Philip Morris International (PM) Stock as of October 20, 2017

Previous Closing Price $108.15 is below its 50 day moving average $114.14
Previous Closing Price $108.15 is below its 200 day moving average $115.73
The Price/Earnings To Growth ratio (PEG) is great than 1
The Stock pays a dividend of 3.74%
The closing price $108.15 is less than 15.81% away from its one year target price of $125.25
Current Short Ratio 2.29 is great than 1
(See more information about Philip Morris International (PM) Stock below)

Philip Morris International (PM) Stock Profile Summary

Philip Morris International Inc., through its subsidiaries, engages in the manufacture and sale of cigarettes and other tobacco products in markets outside of the United States. Its international product brand line comprises Marlboro, Merit, Parliament, Virginia Slims, L&M, Chesterfield, Bond Street, Lark, Muratti, Next, Philip Morris, and Red & White. The company also offers its products under the A Mild, Dji Sam Soe, and A Hijau in Indonesia; Diana in Italy; Optima and Apollo-Soyuz in the Russian Federation; Morven Gold in Pakistan; Boston in Colombia; Belmont, Canadian Classics, and Number 7 in Canada; Best and Classic in Serbia; f6 in Germany; Delicados in Mexico; Assos in Greece; and Petra in the Czech Republic and Slovakia. It operates primarily in the European Union, Eastern Europe, the Middle East, Africa, Asia, Canada, and Latin America. The company is based in New York, New York.

Philip Morris International (PM) Stock Key Statistics Research and Analysis as of October 20, 2017

Stock ExchangeNYQ
Market Capitalization$169.45B
Trade Volume (Average Trading Volume)3,310,087 (3,921,890)
Price/Sales6.24
P/E24.17
Earning/Share$4.51
Current Year EPS Estimate$4.84
Next Year EPS Estimate$5.40
Previous Closing Price$108.15
50 Day Price Moving Average$114.14
200 Day Price Moving Average$115.73
Dividend Yield3.74%
1 yr Target Price$125.25
Ex-Dividend Date9/26/2017
PEG Ratio2.11
Short Ratio2.29
EBITDA$11.50B

Philip Morris International (PM) Stock Competitor Research and Analysis

British American Tobacco plc (BTI)Reynolds American Inc. (RAI)
Lorillard, Inc. (LO)Altria Group Inc. (MO)

Mutual Funds with Philip Morris International (PM) Stock in its top 10 holdings

FundCategoryPM Holding Percentage
American Beacon Lg Cap Value InstLarge Value1.53%
ASTON/Herndon Large Cap Value NLarge Blend3.58%
American Funds American Balanced AAllocation--50% to 70% Equity2.52%
American Beacon Lg Cap Value YLarge Value1.53%
American Century Income & Growth CLarge Value1.78%
Columbia Dividend Opportunity CLarge Value5.52%
American Funds Fundamental Invs F1Large Blend3.63%
Columbia Global Equity Value KWorld Stock2.13%
American Funds Fundamental Invs BLarge Blend3.63%
Prudential Jennison Equity Income CLarge Blend3.57%
American Funds Growth Fund of Amer BLarge Growth1.71%

ETFs with Philip Morris International (PM) Stock in its top 10 holdings

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