Philip Morris International Inc (PM)

$189.61

up-down-arrow $-2.25 (-1.17%)

As on 15-May-2026 16:00EDT

Market cap

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$299,025 Mln

Revenue (TTM)

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$41,493 Mln

P/E Ratio

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27

P/B Ratio

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1318.7

Div. Yield

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3.1 %

Philip Morris International (PM) Share Price

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Stock Range

Today’s Range

Low: 189.42 High: 192.95

52 Week Range

Low: 142.11 High: 192.95

Liquidityliquidity High

Low Moderate High

Fundamentals

  • Net Profit (TTM)Net Profit (TTM) information

    $8,634 Mln

  • ROEROE information

    0 %

  • ROCEROCE information

    31.2 %

  • Industry P/EIndustry P/E information

    27.02

  • EV/EBITDAEV/EBITDA information

    17.5

  • Debt to EquityDebt to Equity information

    -4.7

  • Book ValueBook Value information

    $-6.4

  • EPSEPS information

    $7.1

  • Face valueFace value information

    --

  • Shares outstandingShares outstanding information

    1,558,558,846

10 Years Aggregate

CFO

$93,947.00 Mln

EBITDA

$110,052.00 Mln

Net Profit

$69,610.00 Mln

Performance

Company
YTD
1 Month
3 Months
1 Year
3 Years
5 Years
10 Years
Philip Morris International (PM)
18.2 18.9 1.1 15.6 25.9 14.2 6.5
BSE Sensex
-11.1 -2.1 -8.9 -7.5 6.6 9.1 11.4
S&P 100
6.9 8.2 10.8 28.8 24.8 14.4 15.1
As on 15-May-2026
Company
2025
2024
2023
2022
2021
2020
2019
Philip Morris International (PM)
33.3 27.7 -7.0 6.5 14.7 -2.7 27.5
S&P 100
18.7 29.0 30.8 -22.1 27.6 19.3 29.5
BSE Sensex
9.1 8.1 18.7 4.4 22.0 15.8 14.4

Essential Checks

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Is there a threat to the company's solvency?

Can creative accounting be detected through the financial numbers?

How did the company perform in the last one year?

Financials

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*All values are in ($ Mln)

*All values are in ($ Mln)

*All values are in ($ Mln)

Key Ratios

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5Y Avg -- 3Y Avg -- TTM --

P/E Ratio

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--Min --Median --Max

P/B Ratio

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--Min --Median --Max

Earnings Yield (%)

--

Earnings Yield (%) = EBIT / Enterprise value

PEG Ratio

--

Price = Price / Earnings to growth ratio

Peers

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Company
Price ($) Market Cap ($ Mln) Revenue (TTM) Net Profit (TTM) OPM (%) ROE (%) P/E P/B
Philip Morris International (PM)
189.6 299,025.1 41,493.0 11,096.0 28.8 -- 27 1,318.7
0.6 2.7 19.4 -4.0 -61.9 -18.8 -- 0.2
73.1 120,916.8 21,815.0 8,053.0 52.6 -- 15.1 25.2
80.0 78.1 3,342.8 0.4 0.3 0.4 170.2 0.8
80.4 38,749.3 80,606.0 1,081.0 1.6 4.8 35.9 1.6
187.0 38,605.2 11,991.3 1,094.2 10.6 23.5 35.4 8.0
60.4 78,828.9 39,304.0 2,613.0 7.2 10 30.4 3.1
2.2 2,579.0 3,959.8 971.7 2.4 6 21.1 1.1
89.6 1,763.6 480.9 55.4 20.5 13.2 31.2 4.9

Shareholding Pattern

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About Philip Morris International (PM)

Philip Morris International Inc. operates as a tobacco company. The company offers cigarettes and smoke-free products, including heat-not-burn, e-vapor, and oral nicotine products under the IQOS, VEEV, and ZYN brands; and consumer accessories, such...  as lighters and matches. It also offers wellness products. The company was incorporated in 1987 and is headquartered in Stamford, Connecticut.  Read more

  • CEO & Director

    Mr. Jacek Olczak

  • CEO & Director

    Mr. Jacek Olczak

  • Headquarters

    Stamford, CT

  • Website

    https://www.pmi.com

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FAQs for Philip Morris International (PM)

The share price of Philip Morris International Inc (PM) is $189.61 (NYSE) as of 15-May-2026 16:00 EDT. Philip Morris International Inc (PM) has given a return of 25.85% in the last 3 years.

The P/E ratio of Philip Morris International Inc (PM) is 27.02 times as on 15-May-2026, a 0 premium to its peers’ median range of 27.02 times.


PE & PB ratio at the end of financial year.


Year P/E Ratio P/B Ratio
2025
22.02
-25.01
2024
26.62
-15.94
2023
18.77
-13.02
2022
17.36
-17.54
2021
66.36
-18.02

The 52-week high and low of Philip Morris International Inc (PM) are Rs 192.95 and Rs 142.11 as of 17-May-2026.

Philip Morris International Inc (PM) has a market capitalisation of $ 299,025 Mln as on 15-May-2026. As per SEBI classification, it is a Large Cap company.

Before investing in Philip Morris International Inc (PM), assess your goals, risk tolerance, and if the company aligns with your long-term plan. Carefully review its business model, financials, and valuation. Avoid making decisions based on tips or short-term trends.

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