Philip Morris Intl (NYSE: PM) last traded at $188.23, down 1.72% on the session. The quote above updates while this page is open; the figures below are drawn from Philip Morris Intl’s own filings and are restated only when a new one is published.
Philip Morris Intl trades on NYSE under the ticker PM. It is classified in the Consumer Staples sector, Tobacco industry. Its market capitalisation is $293.38 billion.
Consumer Staples sectorTobaccoListed on NYSE
Valuation measures for Philip Morris Intl, derived from the latest quote and its most recent SEC filing.
| Market cap | $293.38B |
|---|---|
| Enterprise value | $362.31B |
| P/E ratio | 27.08 |
| Price / sales | 6.90 |
| Beta | -0.16 |
Trailing-twelve-month figures tagged in Philip Morris Intl's XBRL filings with the SEC.
| Revenue (TTM) | $42.55B |
|---|---|
| Net income (TTM) | $10.87B |
| EPS (TTM) | $6.95 |
| Gross margin | 67.48% |
| Operating margin | 37.75% |
| Cash | $6.00B |
Range and volume for PM over the past 52 weeks.
| 52-week high | $207.76 |
|---|---|
| 52-week low | $142.11 |
| Volume | 3.14M |
| Average volume | 5.00M |
| Previous close | $191.52 |
Dividend history for Philip Morris Intl over the trailing twelve months.
| Dividend yield | 3.12% |
|---|---|
| Dividend per share (TTM) | $5.88 |
| Payout ratio | 84.60% |
Other Consumer Staples companies tracked on FurlPay Markets.
A dash means FurlPay does not have that figure, not that it is zero. Nothing on this page is investment advice or a recommendation to buy or sell any security. Figures are provided for information only and may be delayed or restated.