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Stock Analysis
Philip Morris International Inc. (PM)
PM
PM · Consumer • Consumer Staples
190.82 -0.61%
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52W Range Position
83%
LOWMIDHIGH
Trend
Constructive
Momentum
Neutral
Updated: 2026-08-02 14:43 UTC
WOI Investment Thesis
Constructive
Confirmation improves above 200.17. Holding above 184.35 keeps the current thesis intact.
⚖️
Fundamentals
Improving / Positive
Price Structure
Constructive
Momentum
Neutral
×
Breakout Confirmation
Pending
Risk Level
Moderate
Analysis Scope
1Y Daily
Key Decision Levels
Hold Above
Structure remains valid above support.
184.35
Break Above
Confirmation improves above resistance.
200.17
🎯
Next Objective
Pattern-derived target if setup continues.
×
Thesis Break
Scenario weakens below invalidation.
Below 184.35
Recent Company Events
SEC VERIFIED
Latest material filings
JUL
22
Financial Results
HIGH
Philip Morris International Reports 2026 Second-Quarter & First Six-Months Results
(PMI) (NYSE: PM) today announces its 2026 second quarter results.
8-K Filing SEC EDGAR
JUL
9
Management / Board
MEDIUM
PM board and management update
As previously disclosed in the Current Report on Form 8-K filed with the Securities and Exchange Commission (the “SEC”) on May 20, 2026, the Board of Directors (the “Board”) of Philip Morris International Inc.
8-K Filing SEC EDGAR
MAY
20
Management / Board
MEDIUM
Philip Morris International Announces Group CFO Succession
(PMI) (NYSE: PM) announced today that Massimo Andolina has been appointed Group Chief Financial Officer, effective August 1, 2026, reporting to Jacek Olczak, Group CEO PMI.
8-K Filing SEC EDGAR
What's Driving PM?
📈 Technical recovery is improving
Momentum is Neutral. Watch 200.17 for confirmation and 184.35 for structure risk.
💼 Business quality remains relevant
Fundamentals remain relevant. Check growth, profitability, cash flow and balance sheet quality.
⚠️ Key risk remains
Below 184.35
Full Analysis Workspace
Technical Signal
Waiting for Confirmation
No confirmed breakout yet. Watch the next level and momentum behavior.
RSI(14)
53.1
Price Chart
PM — 1D Chart
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Valuation Snapshot (TTM)
Full valuation · Ratios use trailing twelve months
Updated 2026-07-31
Fair
Fair valuation
Valuation looks broadly balanced for a mature quality business.
Market Cap
$297.7B
Company size
EV
$311.9B
Debt-adjusted value
P/E
27.4
Reasonable
P/S
7.0
Balanced
P/B
-44.7
Not meaningful
EV/Sales
7.3
Balanced
EV/EBIT
19.4
Reasonable
P/FCF
23.4
Reasonable
FCF Yield
4.27%
Cash return
Source: SEC TTM data via WOI valuation cache Not financial advice
Business Lens
Improving financial execution
Revenue and profitability remain supportive, while cash flow and balance sheet quality require monitoring.
Revenue Growth
Improving
Profitability
Positive
Cash Flow
Healthy
Balance Sheet
Manageable
💵 Revenue
11.19B
↗ Improving
📈 Net Income
2.82B
↗ Positive
🧮 EPS (Basic)
1.80
↗ Positive
Philip Morris International Inc.
Consumer • Consumer Staples