Philip Morris International Inc. (pm)
PM — Company Overview
Philip Morris International Inc. (PM) is a mega-cap company in the Consumer Defensive sector, operating in Tobacco.
| Ticker | PM |
| Sector | Consumer Defensive |
| Industry | Tobacco |
| Exchange | NYQ |
| Market cap | $293.10B |
| Last price | $188.05 |
| Size category | Mega Cap |
PM — Business Description
Philip Morris International Inc. (PM) operates in Tobacco within the broader Consumer Defensive market. 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.
Official website: https://www.pmi.com.
PM — Investment Thesis
The investment thesis for Philip Morris International Inc. (PM) rests on how Consumer Defensive dynamics, profitability, and valuation interact at today's price.
- Revenue is expanding at roughly 10.4% year-over-year (public data).
- Trailing P/E of 25.90× sits in a moderate band relative to high-growth peers.
- Forward P/E (20.51×) is below trailing P/E — earnings may be expected to improve.
- Dividend yield near 3.1% adds an income component to total return.
- Equity market capitalization is approximately $293.10B.
Analyst consensus, price targets & estimates is available in Vest Terminal for Professional and Enterprise subscribers.
PM — Financial Health
Financial health for Philip Morris International Inc. (PM) is summarized from publicly reported profitability, leverage, and cash-flow metrics.
Profit margin of 25.6% indicates solid bottom-line conversion. Positive free cash flow of $9.71B supports balance-sheet flexibility.
| Trailing P/E | 25.90× |
| Forward P/E | 20.51× |
| Price / Sales | 6.89× |
| Price / Book | -34.15× |
| Gross margin | 67.5% |
| Operating margin | 40.0% |
| Profit margin | 25.6% |
| Free cash flow | $9.71B |
PM — Growth Outlook
Growth outlook for Philip Morris International Inc. (PM) depends on demand trends in Tobacco and the company's ability to convert revenue into sustainable earnings.
- Revenue growth of 10.4% indicates strong top-line momentum.
- Earnings declined -7.5% year-over-year — margin or volume pressure may be in play.
- Price is 9.5% below the 52-week high.
PM — Competitive Position
Philip Morris International Inc. (PM) is evaluated against peers on scale, margin structure, and capital efficiency within Consumer Defensive.
- Competes within Consumer Defensive, specifically in Tobacco.
- Market capitalization of $293.10B places PM among mega-cap peers.
- Gross margin near 67.5% may reflect pricing power or favorable mix.
PM — Strengths
Strengths for Philip Morris International Inc. (PM) inferred from public financial metrics:
- Revenue growth of 10.4% year-over-year.
- Gross margin of 67.5% supports competitive unit economics.
- Positive free cash flow ($9.71B).
- Dividend yield of 3.1% for income-oriented holders.
- Mega Cap scale ($293.10B) may provide distribution and funding advantages.
PM — Weaknesses
Weaknesses and pressure points for Philip Morris International Inc. (PM) based on available data:
- Earnings decline of -7.5% year-over-year.
PM — Opportunities
- Sustained revenue growth (10.4%) could support multiple expansion if margins hold.
- Dividend yield of 3.1% appeals to total-return investors.
- Positive free cash flow enables reinvestment, debt reduction, or shareholder returns.
- Forward earnings multiple below trailing P/E — potential earnings acceleration ahead.
PM — Risks
- Standard market, regulatory, competitive, and execution risks apply to all public equities.
PM — Summary
Philip Morris International Inc. (PM) is a mega-cap Consumer Defensive company focused on Tobacco, listed on NYQ. Last price $188.05 with market cap $293.10B. Trailing P/E 25.90×. Revenue grew 10.4% year-over-year per public data. Notable strengths include revenue growth of 10.4% year-over-year. Key watch items include earnings decline of -7.5% year-over-year. Detailed estimates, ownership, and news for Philip Morris International Inc. remain locked in Vest Terminal for subscribers.
Philip Morris International Inc. FAQ
What does Philip Morris International Inc. (PM) do?
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 al…
What is PM's P/E ratio?
Philip Morris International Inc. has a trailing P/E of 25.90× based on publicly available market data.
Does PM pay a dividend?
Indicated dividend yield: 3.1%. Confirm ex-dates and payout history in Vest Terminal.
What sector is PM in?
Philip Morris International Inc. is classified in Consumer Defensive (Tobacco) on NYQ.
What is PM's market capitalization?
Approximate market cap: $293.10B.
What are the main risks for PM?
Standard market, competitive, and execution risks apply; see the Risks section.
What are the strengths of PM?
Potential positives include revenue growth of 10.4% year-over-year, gross margin of 67.5% supports competitive unit economics.
Where can I get analyst estimates for PM?
Consensus estimates, price targets, and detailed analyst data for Philip Morris International Inc. are available to Professional subscribers in Vest Terminal — not on this public summary page.