Finance
Markets

PM

stock NYSE
Philip Morris International Inc.
$188.46 -0.17 (-0.09%) At close

Key stats

The day open and close within the day's range
Low $187.22 High $189.70
Open
$188.19
-0.23%
Close
$188.46
-0.09%
52-week range where the price sits across its year
52w low $142.11 52w high $193.05
Current
$188.46
Prev close
$188.63
Volume 0.73× the 3-month average
0 avg 2× avg
Today
3.64M
3-mo avg
4.99M

Fundamentals

Each ratio reads FY2025 figures against the latest price, graded so the quality shows at a glance.

P/E ratio Fair
26.0x

At 26x, investors are paying up; a fair amount of future growth is already in the price.

Share price divided by earnings per share: what you pay for each $1 of yearly profit. Roughly 15 to 25 is typical, above 40 is richly priced, and negative means the company is losing money.

Dividend yield Strong
2.99%

A 3.0% yield is a healthy, generally sustainable level of cash income.

The yearly dividend as a percent of the share price: the cash income each share pays out. Around 2 to 6% is healthy; above roughly 8% often signals the payout may be cut.

Profit margin Strong
27.9%

A 27.9% margin is strong; the company keeps a healthy slice of every revenue dollar.

The share of revenue left as profit once every cost is paid. Above 15% is strong; below 5% leaves little cushion against a bad year.

Return on equity No data
·

Shareholder equity is negative, so return on equity is not meaningful.

Profit earned on each dollar of shareholder equity: how well the company compounds its owners' capital. Above 15% is strong.

Return on assets Strong
16.4%

A 16.4% return on assets is strong; the company squeezes good profit from its assets.

Profit earned on each dollar of assets: how efficiently the whole asset base is used. Above 8% is strong.

Debt-to-equity Weak
·

Shareholder equity is negative; liabilities exceed everything the company owns.

Total liabilities divided by shareholder equity: how heavily the company leans on borrowing. Below 1 is conservative; above 2 is highly leveraged.

Current ratio Weak
0.96

At 0.96, short-term assets fall short of short-term bills; liquidity is tight.

Current assets divided by current liabilities: whether short-term resources cover short-term bills. Above 1.5 is comfortable; below 1 is tight.

Revenue growth Fair
+7.3%

Revenue grew 7.3% from the prior year: steady, modest expansion.

Change in annual revenue from the prior fiscal year: whether the top line is expanding. Above 10% is strong growth; below 0 means revenue is shrinking.

Earnings growth Strong
+60.8%

Net income grew 60.8% from the prior year: strong profit expansion.

Change in annual net income from the prior fiscal year: whether profit is expanding. Above 10% is strong; below 0 means profit is falling.

Financials

FY2021FY2022FY2023FY2024FY2025
Revenue $31.4B$31.8B$35.2B$37.9B$40.6B
Net income $9.1B$9.0B$7.8B$7.1B$11.3B
Diluted EPS $5.83$5.81$5.02$4.52$7.26
Dividend / share $4.90$5.04$5.14$5.30$5.64
Total assets $41.3B$61.7B$65.3B$61.8B$69.2B
Total liabilities $49.5B$68.0B$74.8B$71.7B$77.2B
Shareholder equity -$8.2B-$6.3B-$9.4B-$11.8B-$10.0B

Recent SEC filings