Price History
Feb 9, 2026 — May 24, 2026Investment Snapshot
- P/E of 25.3 — elevated valuation multiple
- Piotroski F-Score 7/9 — financially strong with improving fundamentals
- Loss-making — negative ROE of -90.1%
- Revenue growing at 7% annually
Philip Morris International Inc Common Stock (PM) is a Consumer Defensive company operating in Cigarettes, listed on the NYSE , with a market capitalisation of $294.6 billion . Key value metrics: P/E ratio 25.3, Piotroski F-Score 7 out of 9 (strong financial health) .
Value Score
Key Metrics
Current vs 5-Year Average
Based on 5 years of SEC filingsRevenue & Net Income
Financial Statements
| Metric | FY22 | FY23 | FY24 |
|---|---|---|---|
| Revenue | $X.XB | $X.XB | $X.XB |
| Gross Profit | $X.XB | $X.XB | $X.XB |
| Operating Income | $X.XB | $X.XB | $X.XB |
| Net Income | $X.XB | $X.XB | $X.XB |
| EBITDA | $X.XB | $X.XB | $X.XB |
| Total Assets | $X.XB | $X.XB | $X.XB |
| Total Liabilities | $X.XB | $X.XB | $X.XB |
Philip Morris International Inc Common Stock — Fundamental Analysis Summary
Philip Morris International Inc Common Stock (PM) trades at a trailing P/E of 25.3x — in line with the Consumer Defensive sector average of 25.2x.
On financial health, PM shows a strong Piotroski F-Score of 7/9, indicating improving fundamentals across profitability, leverage, and efficiency, and negative return on equity of -90.1% (sector average: 4.9%).
StockPik's composite Value Score for PM is 72/100 — placing it in undervalued territory. The score is built from ten fundamental signals: P/E, P/B, PEG ratio, P/S ratio, return on equity, gross margin, debt-to-equity, current ratio, dividend yield, and Piotroski F-Score.
PM reports a high gross margin of 67.7% (sector average: 24.8%) and a strong operating margin of 38.1%.
PM shows revenue growing at 7% year-over-year, with earnings growing at 61%.
PM pays a modest dividend yield of 3.0%.