Philip Morris International Inc (PM)

PM (NYSE:Tobacco) EQUITY
$112.92
neg -0.51
-0.45%
Today's Range: 112.75 - 113.67 | PM Avg Daily Volume: 3,651,100
Last Update: 09/21/17 - 4:02 PM EDT
Volume: 2,860,511
YTD Performance: 26.09%
Open: $113.30
Previous Close: $113.43
52 Week Range: $86.78 - $123.55
Oustanding Shares: 1,553,188,111
Market Cap: 179,175,780,485
6-Month Chart
TheStreet Ratings Grade for PM
Buy Hold Sell
A+ A A- B+ B B- C+ C C- D+ D D- E+ E E- F
TheStreet Ratings is the source for accurate ratings that you can rely upon to make sound, informed financial decisions. Click here to find out about our methodology.
Analysts Ratings
Historical Rec Current 1 Mo. Ago 2 Mo. Ago 3 Mo. Ago
Strong Buy 6 6 7 7
Moderate Buy 1 1 1 1
Hold 2 2 2 2
Moderate Sell 0 0 0 0
Strong Sell 0 0 0 0
Mean Rec. 1.50 1.50 1.45 1.45
Latest Dividend: 1.07
Latest Dividend Yield: 3.71%
Dividend Ex-Date: 09/26/17
Price Earnings Ratio: 25.52
Price Earnings Comparisons:
PM Sector Avg. S&P 500
25.52 25.60 36.80
Price Performance History (%Change):
3 Mo 1 Yr 3 Y
-6.14% 14.78% 34.85%
GROWTH 12 Mo 3 Yr CAGR
Revenue 1.40 -0.10 -0.05
Net Income 3.10 -0.20 -0.06
EPS 1.40 -0.10 -0.05
Earnings for PM:
EBITDA 59.83B
Revenue 74.95B
Average Earnings Estimates
Qtr (09/17) Qtr (12/17) FY (12/17) FY (12/18)
Average Estimate $1.39 $1.37 $4.85 $5.51
Number of Analysts 6 4 9 8
High Estimate $1.42 $1.42 $4.93 $5.76
Low Estimate $1.34 $1.31 $4.81 $5.37
Prior Year $1.25 $1.10 $4.48 $4.85
Growth Rate (Year over Year) 10.93% 24.32% 8.26% 13.51%
Chart Benchmark
Average Frequency Timeframe
Indicator Chart Scale  
Symbol Comparison Bollinger Bands
It's clear why folks have shifted to solid dividend names.
Sally Beauty Holdings and Philip Morris have similar charts, but there's a key difference.
Most retailers are good for an income trade.
Thoroughly examine your sector brackets for higher profits.
The last refuge of failed CFOs.
You can play tobaccos for dividends with confidence.
Bearish
Feb 18, 2014 | 8:31 AM EST
PM lowered its numbers, Jefferies said. Co facing tough operating environment with less flexibility to offset challenges. $84 price tar...
Cases in point: Darden and Chipotle.
The bad, the good and the better about these numbers.

Dissecting Apple's Quarter Real Money Pro($)

Here's what was bad -- and good, and better -- about these numbers.

Columnist Conversations

View Chart »  View in New Window »
this chart is showing great bullish signs here, we like this to take out the old high shortly. ...
Now that AAPL has violated the shorter term support, these are the two areas I have to consider for new buy en...
The symmetry is holding up in MCD.  Target 1 is 163.34 if we continue to hold above here!  ...

REAL MONEY'S BEST IDEAS

News Breaks

Powered by

BROKERAGE PARTNERS

Except as otherwise indicated, quotes are delayed. Quotes delayed at least 20 minutes for all exchanges. Market Data provided by Interactive Data. Company fundamental data provided by Morningstar. Earnings and ratings provided by Zacks. Mutual fund data provided by Valueline. ETF data provided by Lipper. Powered and implemented by Interactive Data Managed Solutions.


TheStreet Ratings updates stock ratings daily. However, if no rating change occurs, the data on this page does not update. The data does update after 90 days if no rating change occurs within that time period.

IDC calculates the Market Cap for the basic symbol to include common shares only. Year-to-date mutual fund returns are calculated on a monthly basis by Value Line and posted mid-month.