Get your Portfolio automatically emailed to you up to 4 times a day with Barchart Premier. FREE 30 Day Trial
or

Philip Morris International Inc (PM)

Philip Morris International Inc (PM)
149.09 x 1 154.21 x 1
Post-market by (Cboe BZX)
151.48 -0.99 (-0.65%) 03/21/25 [NYSE]
149.09 x 1 154.21 x 1
Post-market 151.55 +0.07 (+0.05%) 18:13 ET
Quote Overview for Fri, Mar 21st, 2025
Watch
    Add or delete the symbol from one or more Watchlists.
Day Low
150.35
Day High
152.68
Open 152.38
Previous Close 152.47 152.47
Volume 11,194,900 11,194,900
Avg Vol 6,979,510 6,979,510
Stochastic %K 31.42% 31.42%
Weighted Alpha +66.49 +66.49
5-Day Change -0.40 (-0.26%) -0.40 (-0.26%)
52-Week Range 87.82 - 159.51 87.82 - 159.51
  • 1D
  • 5D
  • 1M
  • 3M
  • 6M
  • 1Y
  • 5Y
  • MAX
Full Chart
  • OHLC Bars
  • Colored OHLC Bars
  • HLC Bars
  • Candlestick Hollow
  • Candlestick Open-to-Close
  • Candlestick Close-to-Close
  • Heikin-Ashi
  • Line Chart
  • Area Chart
  • Renko
  • Column
  • Baseline
  • Line Break
  • Range
  • Kagi
  • Point And Figure
Realtime quote and/or trades are not sourced from all markets.

Fundamentals

See More
  • Market Capitalization, $K 235,529,744
  • Shares Outstanding, K 1,554,857
  • Annual Sales, $ 37,878 M
  • Annual Income, $ 7,057 M
  • EBIT $ 13,402 M
  • EBITDA $ 15,216 M
  • 60-Month Beta 0.53
  • Price/Sales 2.65
  • Price/Cash Flow 19.66
  • Price/Book N/A

Options Overview Details

View History
  • Implied Volatility 23.62% ( +1.21%)
  • Historical Volatility 20.02%
  • IV Percentile 85%
  • IV Rank 72.23%
  • IV High 27.99% on 01/10/25
  • IV Low 12.27% on 05/08/24
  • Put/Call Vol Ratio 1.62
  • Today's Volume 5,620
  • Volume Avg (30-Day) 27,735
  • Put/Call OI Ratio 0.91
  • Today's Open Interest 204,585
  • Open Int (30-Day) 221,222

Analyst Rating / Earnings Estimates

Current Rating
See More
Moderate Buy
Based on 12 analysts offering recommendations.
Earnings Estimates - Current Qtr 03/31/25
See More
  • Average Estimate 1.61
  • Number of Estimates 5
  • High Estimate 1.62
  • Low Estimate 1.59
  • Prior Year 1.50
  • Growth Rate Est. (year over year) +7.33%

Price Performance

See More
Period Period Low Period High Performance
1-Month
149.65 +1.22%
on 03/10/25
Period Open: 154.40
159.51 -5.03%
on 03/04/25
-2.92 (-1.89%)
since 02/21/25
3-Month
116.12 +30.45%
on 01/13/25
Period Open: 124.22
159.51 -5.03%
on 03/04/25
+27.26 (+21.94%)
since 12/20/24
52-Week
87.82 +72.49%
on 04/15/24
Period Open: 92.20
159.51 -5.03%
on 03/04/25
+59.28 (+64.30%)
since 03/21/24

Most Recent Stories

More News
These Are the 3 Top-Performing Dividend Stocks So Far in 2025

Despite recent market volatility, select dividend stocks thrive, offering yield, growth, and stability.

CVS : 67.05 (-2.32%)
BASFY : 13.6100 (-0.58%)
PM : 151.48 (-0.65%)
A Look Back at Beverages, Alcohol, and Tobacco Stocks’ Q4 Earnings: Celsius (NASDAQ:CELH) Vs The Rest Of The Pack

A Look Back at Beverages, Alcohol, and Tobacco Stocks’ Q4 Earnings: Celsius (NASDAQ:CELH) Vs The Rest Of The Pack

BUD : 62.78 (-0.41%)
CELH : 32.93 (+5.38%)
MGPI : 29.55 (-2.35%)
PM : 151.48 (-0.65%)
SAM : 227.96 (+0.20%)
3 Cash Cow Stocks Leading Their Sectors in Free Cash Flow Margins

These three cash cow stocks have some of the highest free cash flow margins in the stock market, showing their strong ability to generate profits.

TPL : 1,273.15 (-7.17%)
MO : 57.60 (-0.84%)
ABNB : 128.80 (+2.10%)
PM : 151.48 (-0.65%)
The S&P 500 Is Struggling, But These 3 Stocks Are Up More Than 25% This Year

The stock market started strong in 2025, but in recent weeks, news of trade wars and tariffs has hammered the markets. Year to date, the S&P 500 is now down nearly 4.5%, and many investors are worried...

CVS : 67.05 (-2.32%)
SMCI : 42.15 (+7.80%)
PM : 151.48 (-0.65%)
Stock Market Sell-Off: 2 Stocks to Buy as We Potentially Head Towards a Recession

The stock market has been selling off, and there is an increasing chance that the U.S. economy could be headed toward a recession . In fact, the Atlanta Federal Reserve is now predicting that Q1 gross...

PM : 151.48 (-0.65%)
WMT : 85.98 (+0.47%)
The Unpleasant Truth: The Stock Market Is Still Historically Pricey, Even With the Nasdaq and S&P 500 Recently Falling Into Correction Territory

Double-digit percentage declines in the benchmark S&P 500 and growth-centric Nasdaq Composite have hardly made a dent in the stock market's premium valuation.

COMP : 9.39 (+3.30%)
MO : 57.60 (-0.84%)
$NASX : 17,784.05 (+0.52%)
$SPX : 5,667.56 (+0.08%)
$DOWI : 41,985.35 (+0.08%)
PM : 151.48 (-0.65%)
PLTR : 90.96 (+4.09%)
Is the Fidelity High Dividend ETF the Smartest Investment You Can Make Today?

In a shaky stock market environment, dividend-paying stocks can be especially attractive.

NVDA : 117.70 (-0.70%)
AAPL : 218.27 (+1.95%)
AVGO : 191.66 (+0.59%)
$NASX : 17,784.05 (+0.52%)
KO : 68.67 (-1.49%)
JPM : 241.63 (+1.10%)
COMP : 9.39 (+3.30%)
MSFT : 391.26 (+1.14%)
FIS : 73.35 (-1.42%)
V : 335.66 (-1.13%)
VOO : 520.26 (+0.02%)
XOM : 115.50 (-0.35%)
Tariffs Turmoil: Weather the Storm With These Dividend Stocks

The financial landscape is currently dominated by escalating trade tensions, with President Trump’s recent tariff policies introducing significant uncertainty. Trump’s tariffs have rattled markets,...

DG : 83.66 (+2.44%)
KO : 68.67 (-1.49%)
AWK : 141.13 (-0.48%)
JNJ : 163.63 (+0.37%)
SDY : 134.20 (-0.66%)
SCHD : 27.76 (-0.68%)
PM : 151.48 (-0.65%)
O : 55.80 (-1.17%)
WMT : 85.98 (+0.47%)
Zacks Investment Ideas feature highlights: Coca-Cola, Philip Morris and Johnson & Johnson

For Immediate ReleaseChicago, IL – March 10, 2025– Today, Zacks Investment Ideas feature highlights Coca-Cola KO, Philip Morris PM and Johnson & Johnson JNJ.3 Dividend Kings Shaking Off Market WoesThe...

KO : 68.67 (-1.49%)
JNJ : 163.63 (+0.37%)
PM : 151.48 (-0.65%)
Is Philip Morris International’s Stock Outperforming the Dow?

Although Philip Morris International has outpaced the Dow Jones Industrial Average over the past year, Wall Street analysts maintain a fairly upbeat outlook on its future performance.

MO : 57.60 (-0.84%)
$DOWI : 41,985.35 (+0.08%)
PM : 151.48 (-0.65%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 88% Buy with a Weakening short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

See More Share

Business Summary

Philip Morris International is an international tobacco company working to deliver a smoke-free future and evolving its portfolio for the long term to include products outside of the tobacco and nicotine sector. The company's current product portfolio primarily consists of cigarettes and smoke-free products....

See More

Key Turning Points

3rd Resistance Point 154.99
2nd Resistance Point 153.83
1st Resistance Point 152.66
Last Price 151.48
1st Support Level 150.33
2nd Support Level 149.17
3rd Support Level 148.00

See More

52-Week High 159.51
Last Price 151.48
Fibonacci 61.8% 132.12
Fibonacci 50% 123.66
Fibonacci 38.2% 115.21
52-Week Low 87.82

See More

Want to use this as
your default charts setting?
Save this setup as a Chart Templates
Switch the Market flag
for targeted data from your country of choice.
Open the menu and switch the
Market flag for targeted data from your country of choice.
Want Streaming Chart Updates?
Switch your Site Preferences
to use Interactive Charts
Need More Chart Options?
Right-click on the chart to open the Interactive Chart menu.
Use your up/down arrows to move through the symbols.
Free Barchart Webinar
Precision Trading with Bollinger Bands: Identifying Breakouts & Reversals