Markets›Consumer staples›PM

Philip Morris International

PM
193.76
+3.28 (+1.72%)
Closing price for Sep 28, 2026 from Polygon.io

Valuation

Market value300.84B
Enterprise value340.55B
Price to earnings (P/E)27.8
Price to sales7.1
Enterprise value to EBITDA18.8
Free cash flow yield4.2%

Profitability (last 12 months)

Revenue42.55B
Net income10.87B
Gross margin67.5%
Operating margin37.7%
Net margin25.6%
Return on assets15.9%

Growth (last fiscal year, FY 2025)

Revenue growth+7.3%
EPS growth+60.6%

Balance sheet (latest quarter)

Cash and equivalents6.00B
Total debt45.71B
Current ratio0.98

Per share and dividends

EPS, diluted (last 12 months)6.96
Shares outstanding1.56B
Dividends paid (last 12 months)7.48
Dividend yield3.86%
Payout ratio107.5%

Trading

Price193.76
52-week high207.76
52-week low142.11
1-year price change+23.18%
Average volume (3 months)4.78M
Beta against the S&P 500 (1 year)-0.17

Calculated from Philip Morris International's SEC filings (latest quarter ending Jun 30, 2026) and the price above. "Last 12 months" adds up the four most recent quarters. Beta compares one year of daily returns with the S&P 500 (SPY). Dividends from Polygon.io or Nasdaq.