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Philip Morris International Inc (PM)

Philip Morris International Inc (PM)
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Fundamentals

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  • Market Capitalization, $K 158,642,544
  • Shares Outstanding, K 1,554,557
  • Annual Sales, $ 35,174 M
  • Annual Income, $ 7,813 M
  • 60-Month Beta 0.57
  • Price/Sales 1.88
  • Price/Cash Flow 13.88
  • Price/Book N/A
Trade PM with:

Options Overview Details

View History
  • Implied Volatility 15.91% ( +0.27%)
  • Historical Volatility 11.46%
  • IV Percentile 17%
  • IV Rank 27.32%
  • IV High 25.60% on 09/27/23
  • IV Low 12.27% on 05/08/24
  • Put/Call Vol Ratio 0.29
  • Today's Volume 6,240
  • Volume Avg (30-Day) 6,659
  • Put/Call OI Ratio 0.78
  • Today's Open Interest 167,720
  • Open Int (30-Day) 161,987

Analyst Rating / Earnings Estimates

Current Rating
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Moderate Buy
Based on 14 analysts offering recommendations.
Earnings Estimates - Current Qtr 06/30/24
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  • Average Estimate 1.55
  • Number of Estimates 5
  • High Estimate 1.57
  • Low Estimate 1.52
  • Prior Year 1.60
  • Growth Rate Est. (year over year) -3.13%

Price Performance

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Period Period Low Period High Performance
1-Month
98.96 +3.12%
on 05/30/24
104.90 -2.72%
on 06/06/24
+2.22 (+2.22%)
since 05/17/24
3-Month
87.82 +16.20%
on 04/15/24
104.90 -2.72%
on 06/06/24
+7.78 (+8.25%)
since 03/15/24
52-Week
87.23 +16.99%
on 10/27/23
104.90 -2.72%
on 06/06/24
+7.16 (+7.55%)
since 06/16/23

Most Recent Stories

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The Smartest Dividend Stocks to Buy With $10,000 Right Now

Coca-Cola, Realty Income, and Philip Morris International are all great income plays.

KO : 62.62 (+0.11%)
O : 53.07 (-0.56%)
PM : 102.05 (-0.15%)
MO : 44.70 (+0.86%)
Forget Buying a Rental Property: Investing $50,000 Into These Passive Income Dividend Stocks Could Make You $2,020 In Annual Income

Dividend growth is the key to these stocks outperforming over the long haul.

ALLY : 39.75 (+2.50%)
PM : 102.05 (-0.15%)
How Is Philip Morris' Stock Performance Compared to Other Consumer Staples Stocks

Philip Morris has outperformed other consumer staples stocks over the past three months, and analysts remain optimistic about the stock’s prospects.

PM : 102.05 (-0.15%)
XLP : 77.68 (+0.95%)
MO : 44.70 (+0.86%)
Best Stock to Buy Right Now: Philip Morris International vs. British American Tobacco

These tobacco stocks are two of the most appealing dividend stocks on the market today.

PM : 102.05 (-0.15%)
BTI : 30.94 (+1.01%)
I Wouldn't Touch This Stock With a 10-Foot Pole -- Here's What I'd Buy Instead

Realty Income looks like a much better dividend play than Altria.

PM : 102.05 (-0.15%)
MO : 44.70 (+0.86%)
O : 53.07 (-0.56%)
1 Stock Yielding 8.6% vs. 1 Stock Yielding 5.2%: Which Is Better for Passive Income Investors?

A higher yield doesn't necessarily make a stock a better income play. Growth matters as well.

MO : 44.70 (+0.86%)
PM : 102.05 (-0.15%)
British American Tobacco Stock: Buy, Sell, or Hold?

The stock carries a robust 9.5% yield.

BTI : 30.94 (+1.01%)
PM : 102.05 (-0.15%)
Defense Metals Appoints Suzanne Rich Folsom to the Board of Directors

/CNW/ - Defense Metals Corp. ("Defense Metals" or the "Company"; (TSXV: DEFN) (OTCQB: DFMTF) (FSE:35D) is pleased to announce the appointment of Suzanne Rich...

PM : 102.05 (-0.15%)
AIG : 73.98 (+0.76%)
DFMTF : 0.1422 (+1.57%)
DEFN.VN : 0.195 (+2.63%)
Is British American Tobacco Stock's 9.7% Dividend Yield Riskier Than You Think?

British American Tobacco is doing a good job shifting away from cigarettes, but there's another risk investors need to watch.

BTI : 30.94 (+1.01%)
MO : 44.70 (+0.86%)
PM : 102.05 (-0.15%)
Got $10,000? 2 High-Yield Dividend Stocks to Buy and Hold Forever.

The perfect income stock combines the potential for capital appreciation with a high yield.

MO : 44.70 (+0.86%)
O : 53.07 (-0.56%)
PM : 102.05 (-0.15%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 100% Buy with a Strengthening short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

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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....

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Key Turning Points

3rd Resistance Point 103.39
2nd Resistance Point 102.80
1st Resistance Point 102.42
Last Price 102.05
1st Support Level 101.45
2nd Support Level 100.86
3rd Support Level 100.48

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52-Week High 104.90
Last Price 102.05
Fibonacci 61.8% 98.15
Fibonacci 50% 96.07
Fibonacci 38.2% 93.98
52-Week Low 87.23

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