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Philip Morris International Inc.
PM
160.45 (-0.50%) 0.80
Consumer Staples
Tobacco
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.

Quality Checklist 4/8

5Y Shares Out Change < 0%
ROIC > 10%
Net Margin > 10%
Est. EPS Growth > 5%
Debt/Equity < 1
Current Ratio > 1
Quick Ratio > 1
Past Net Income CAGR > 0%
0.0%of Portfolio

My holdings

Day change:
Total change:
Shares:
Cost basis:
Market cap: $250.07(B)
EV: $274.76(B)
Total Equity: $-8.03(B)
Earnings date: Apr-22-2026
P/E: 22.07
Forward P/E: 18.99
P/FCF: 23.42
P/S: 6.14
P/B: N/A
EPS: $7.3
EPS (fwd): $8.4
FCF/share: $6.8
Revenue/share: $26.1
Book value/share: $-6.4
ROIC: 19.9%
ROA: 12.9%
ROE: N/A%
Debt/Equity: 451
Current Ratio: 1.00
Gross margin: 67.1%
Operating margin: 37.0%
Net margin: 27.9%
Dividend/share: $5.6
Div. yield: 3.52%

TTM Financials

Income (TTM)

RevenueGrossNet
Revenue$40.65(B)
Gross profit$27.28(B)
EBITDA$18.72(B)
Net income$11.35(B)
Gross margin67.1%
Operating margin37.0%
Net margin27.9%
Shares outstanding1.56(B)

Balance sheet

Cash & ST inv.Other ST assetsLong term assetsEquityCurrent liabilitiesLong term debtOther LT liabilities
Total assets$69.19(B)
Current assets$24.36(B)
Total liabilities$77.21(B)
Current liabilities$25.43(B)
Cash & Short-term inv.$4.87(B)
Long-term debt$45.09(B)
Total intangibles$28.15(B)
PP&E$9.08(B)

Cash flow (TTM)

CFOCFICFF
FCF$10.66(B)
CapEx$-1.57(B)
Dividends paid$-8.62(B)
Stock issued$0
Stock repurchased$0
Stock-based comp.$254.00(M)
Debt issued$7.24(B)
Debt repaid$-5.54(B)

Per share data (TTM)

Price: $160
Revenue: $26.1 (6.1x | 16.3%) Gross profit: $17.5 (9.2x | 10.9%) Earnings: $7.27 (22.1x | 4.5%)
FCF: $6.85 (23.4x | 4.3%) Stock-based Comp.: $0.16 (984.5x | 0.1%) CapEx.: $1.01 (159.4x | 0.6%) Dividend: $5.64 (28.4x | 3.5%)
Total Assets: $44.4 (3.6x | 27.7%) Total Liabilities: $49.5 (3.2x | 30.9%) Book Value: $-6.42 (-25.0x | -4.0%) Cash & ST inv.: $3.13 (51.3x | 1.9%) Debt: $28.9 (5.5x | 18.0%)
Earnings FY+1: $8.45 (19.0x | 5.3%) Earnings FY+2: $9.20 (17.4x | 5.7%) Earnings FY+3: $10.0 (16.0x | 6.2%) Earnings FY+4: $11.2 (14.4x | 7.0%) Earnings FY+5: $12.1 (13.2x | 7.6%)
FCF FY+1: $0.00 (N/A | 0.0%) FCF FY+2: $9.27 (17.3x | 5.8%) FCF FY+3: $9.84 (16.3x | 6.1%)

Summary