Philip Morris International Inc.

$178.29 ▲ 1.89%
2026-06-06 10:03:00

Explore Philip Morris International Inc. stock price, valuation, financial statements, dividend history, analyst estimates, and long-term business fundamentals on StockSifting.

Market Cap
$277.88 B
Current Price
$178.29
52W High / Low
$193.05 / $142.11
Stock P/E
25.04
Book Value
$0.13
Dividend Yield
3.36%
ROCE
34.13%
ROE
575.44%
Face Value
EPS
$7.12
Exp Qtr EPS
Sector
Consumer Defensive

PM — Monthly Price History

Adjusted close price  ·  Hover to see price & month

Pros

  • Efficient use of capital employed.
  • Balance sheet leverage appears manageable.
  • Strong operating margin profile.
  • Net margin remains healthy.
  • Meaningful dividend yield is available.

Cons

  • Return on equity is on the weaker side.
  • Current ratio suggests tighter short-term liquidity.

Sift Stocks

S.No. Name Price P.E. Market Cap Div Yld % ROCE ROE 52Week High/ Low Book Value
1. Altria Group, Inc. $72.19 15.03 $121.02 B 6.01% 46.53% 149.65% $74.56 / $54.7 $1.53
2. Universal Corporation $53.76 40.53 $1.32 B 6.1% 10.87% 2.24% $61.67 / $49.19 $56.79
3. Ispire Technology Inc. $1.7 $95.28 M -127.54% -223.15% $3.87 / $1.19 $0.01
4. RYTHM, Inc. $25.3 $53.11 M -37.45% -56.92% $53.65 / $14 $6.06
5. 22nd Century Group, Inc. $0.46 $2.19 M -57.8% -24% $263.85 / $0.46 $5.5
6. Greenlane Holdings, Inc. $2.86 $1.81 M -183.22% -268.27% $101.36 / $2.09 $112.43
7. AIR Global PLC — / —

Quarterly Results

Figures shown in M / B

Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024
Sales10.36 B10.85 B10.14 B9.3 B9.71 B
Operating Profit3.37 B4.26 B3.75 B3.54 B3.26 B
Net Profit2.14 B3.48 B3.04 B2.69 B-579 M
EPS in Rs1.372.231.951.73-0.37

Profit & Loss

Figures shown in M / B

2025202420232022
Sales40.65 B37.88 B35.17 B31.76 B
Operating Profit14.93 B13.4 B12.22 B12.25 B
Net Profit11.35 B7.06 B7.81 B9.05 B
EPS in Rs7.284.535.015.81

Balance Sheet

Figures shown in M / B

2025202420232022
Total Assets69.19 B61.78 B65.3 B61.68 B
Total Liabilities77.21 B71.65 B74.75 B67.99 B
Equity-9.99 B-11.75 B-11.22 B-8.96 B
Current Assets24.36 B20.17 B19.75 B19.62 B
Current Liabilities25.43 B22.91 B26.38 B27.34 B

Cash Flow

Last available yearly cash flow history

2025202420232022
Operating CF12.23 B12.22 B9.2 B10.8 B
Investing CF-3.97 B-1.09 B-3.6 B-15.68 B
Financing CF-8.13 B-9.48 B-5.58 B3.81 B
Free CF10.66 B10.77 B7.88 B9.73 B
Capex-1.57 B-1.44 B-1.32 B-1.08 B

5Y Margin & Growth History

Last 5 years of annual financial statement data.

2024202320222021
Revenue Growth %7.69%10.74%
Earnings Growth %-9.68%-13.65%
Profit Margin %18.63%22.21%28.49%
Operating Margin %35.38%34.74%38.56%
Gross Margin %64.81%63.35%64.1%
EBITDA Margin %41.58%38.02%42.44%

Dividend & Split History

Latest dividend payments and stock split events.

Dividend History

Ex DateDividend
2026-03-19$1.47
2025-12-26$1.47
2025-10-03$1.47
2025-06-27$1.35
2025-03-20$1.35
2024-12-26$1.35
2024-09-26$1.35
2024-06-21$1.3
2024-03-20$1.3
2023-12-20$1.3
2023-09-26$1.3
2023-06-22$1.27
2023-03-22$1.27
2022-12-21$1.27
2022-09-27$1.27
2022-06-30$1.25
2022-03-23$1.25
2021-12-22$1.25
2021-09-28$1.25
2021-06-24$1.2

Stock Splits

No stock split history available.

Shareholding Pattern

Shares and value shown in M / B

Holder Name Type Shares Value % Out Report Date
WASHINGTON MUTUAL INVESTORS FUND Mutual Fund 45.15 M $7.14 B 0.03% 2026-01-31
Goldman Sachs TRT II-Goldman Sachs GQG Part. Intl Opportunities Fd. Mutual Fund 22.3 M $3.53 B 0.01% 2026-01-31
iShares Trust-iShares Core S&P 500 ETF Mutual Fund 20.03 M $3.17 B 0.01% 2026-01-31
AMERICAN MUTUAL FUND Mutual Fund 20.12 M $3.18 B 0.01% 2026-01-31
Income Fund of America Mutual Fund 20.02 M $3.17 B 0.01% 2026-01-31
Vanguard Group Inc Institutional 145.26 M $22.97 B 0.09% 2025-12-31
Capital World Investors Institutional 132.36 M $20.93 B 0.08% 2025-12-31
Blackrock Inc. Institutional 109.25 M $17.27 B 0.07% 2025-12-31
Capital International Investors Institutional 101.38 M $16.03 B 0.07% 2025-12-31
GQG Partners LLC Institutional 55.1 M $8.71 B 0.04% 2025-12-31
State Street Corporation Institutional 55 M $8.69 B 0.04% 2025-12-31
Capital Research Global Investors Institutional 54.56 M $8.63 B 0.04% 2025-12-31
VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund Mutual Fund 48.94 M $7.74 B 0.03% 2025-12-31
JPMORGAN CHASE & CO Institutional 41.71 M $6.59 B 0.03% 2025-12-31
FMR, LLC Institutional 41.42 M $6.55 B 0.03% 2025-12-31

Frequently Asked Questions — Philip Morris International Inc.

Will Philip Morris International Inc. stock hit $214 in 2026?

Philip Morris International Inc. (PM) is currently trading at $178.29, with a 52-week range of $142.11 to $193.05. Reaching the $214 level would represent a 20% gain from the current price — a target many investors consider when evaluating near-term upside potential.

Wall Street analysts currently have a consensus price target of $194.84 for Philip Morris International Inc., with a Buy rating, and the most bullish analysts see the stock reaching as high as $210.0. Whether Philip Morris International Inc. can reach $214 in 2026 depends on several factors: revenue and earnings growth trajectory, broader market conditions, sector sentiment within the Consumer Defensive space, and any company-specific catalysts such as product launches, earnings beats, or strategic announcements.

Historically, PM has delivered a 19.8% CAGR over the past 5 years, which suggests the stock has demonstrated meaningful long-term growth momentum. However, past performance does not guarantee future results, and short-term price movements can be influenced by macroeconomic shifts, interest rate changes, and investor sentiment. Use the PM Stock Return Calculator on StockSifting to model different growth scenarios and see how various CAGR assumptions translate to potential price targets. This content is for informational purposes only and does not constitute financial advice.

Is Philip Morris International Inc. stock worth buying at $178.29?

Whether Philip Morris International Inc. (PM) is worth buying at $178.29 depends on your investment goals, time horizon, and risk tolerance. Here is a breakdown of the key metrics investors typically evaluate:

Valuation: Philip Morris International Inc. trades at a Price-to-Earnings (P/E) ratio of 25.0x, which can be compared against other Consumer Defensive companies to assess whether the stock is expensive or attractively priced relative to its peers.

Profitability & efficiency: Philip Morris International Inc. has a Return on Capital Employed (ROCE) of 34.1%, which indicates the business is generating strong returns on the capital it deploys — a hallmark of a high-quality business. Its Return on Equity (ROE) stands at 575.4%, suggesting management is effectively converting shareholder equity into profit.

Financial health: The Debt-to-Equity ratio of -4.89 indicates a conservative balance sheet with more equity than debt, reducing financial risk.

Analyst view: The Wall Street consensus recommendation for PM is currently Buy, with a mean price target of $194.84 based on 16 analyst ratings. Always conduct your own due diligence and consider consulting a qualified financial advisor before making any investment decisions. Nothing on StockSifting constitutes financial advice.

What is the analyst price target for Philip Morris International Inc. (PM) in 2026?

As of 2026, Wall Street analysts have set a consensus (mean) price target of $194.84 for Philip Morris International Inc. (PM), aggregated from 16 analyst ratings. The overall analyst recommendation is Buy.

The price target range spans from $170.0 on the bearish end to $210.0 on the most optimistic projection, with a median target of $202.5. This wide range reflects differing views on Philip Morris International Inc.'s growth prospects, competitive positioning, and macroeconomic sensitivity.

It is important to note that analyst price targets are forward-looking estimates based on financial models, earnings projections, and sector assumptions — they are not guarantees. Targets are regularly revised following quarterly earnings results, management guidance updates, or shifts in the broader economic outlook. Stocks can trade significantly above or below analyst targets depending on market conditions. View the full analyst breakdown and track target revisions on the PM analysis page on StockSifting.

Is Philip Morris International Inc. overvalued at a P/E ratio of 25.0x?

Philip Morris International Inc. (PM) currently has a Price-to-Earnings (P/E) ratio of 25.0x, meaning investors are paying $25.0 for every $1 of the company's trailing twelve-month earnings. Whether this makes the stock overvalued depends on several contextual factors:

Sector context: The Consumer Defensive sector tends to command higher valuation multiples when growth expectations are elevated. A 25.0x P/E falls within a moderate range, reflecting reasonable market confidence in Philip Morris International Inc.'s earnings outlook.

Growth-adjusted valuation: A P/E ratio in isolation can be misleading. Fast-growing companies often deserve higher P/E multiples because their future earnings are expected to rise significantly. A more complete picture comes from looking at the PEG ratio (P/E divided by earnings growth rate) — a PEG below 1 is often considered undervalued, while above 2 may signal overvaluation. Philip Morris International Inc.'s ROCE of 34.1% suggests it generates strong returns on invested capital, which can justify a premium valuation.

Additional metrics to review: P/E is just one lens. Compare it alongside the Price-to-Book (P/B) ratio, EV/EBITDA, Price-to-Sales, and free cash flow yield for a more complete valuation picture. View all of PM's valuation ratios on StockSifting's ratios section. Valuation is subjective and context-dependent — this is not investment advice.

How much can you earn by reinvesting Philip Morris International Inc. dividends?

Dividend reinvestment — commonly known as DRIP (Dividend Reinvestment Plan) — is a powerful wealth-building strategy where instead of receiving your dividend payouts as cash, the dividends are automatically used to purchase additional shares of Philip Morris International Inc. (PM). Over time, this creates a compounding effect: more shares generate more dividends, which buy even more shares.

Philip Morris International Inc. currently offers a dividend yield of approximately 336.00%. While this may seem modest in isolation, the real power of DRIP emerges over long holding periods. An investor who reinvested dividends consistently over 10–20 years would accumulate significantly more shares than one who took dividends as cash — and those extra shares continue generating their own dividend income.

The key variables that determine your DRIP returns are: your initial investment amount, the number of years you stay invested, the dividend yield at the time of each reinvestment, and whether Philip Morris International Inc. grows or cuts its dividend over time. Market price appreciation of PM also plays a significant role — rising share prices increase the value of your accumulated shares.

Use the PM DRIP Calculator on StockSifting to enter your investment amount, start date, and contribution frequency — and see a year-by-year breakdown of shares accumulated, dividends earned, and total portfolio value. Past dividend payments are not a guarantee of future payouts. This is not financial advice.