
Philip Morris (PM) | Stock Overview & Key Data
Philip Morris Performance Comparison
Stock Range
Today's Range
52 Week Range
All-Time High: $186.69 on June 16, 2025
Explore how other US stocks compare to their 52-week ranges: View US Market 52-Week Insights
Key Statistics
Financial Highlights
Profitability
Returns and Earnings
Growth
Dividend Information
Peer Performance Comparison
Company | Market Cap | 1W | 1M | 3M | 6M | YTD | 1Y | 3Y | 5Y |
---|---|---|---|---|---|---|---|---|---|
Philip Morris PM | 254.92B Mega-cap | -1.98% | -2.61% | -11.65% | 7.56% | 34.60% | 35.14% | 96.36% | 118.91% |
Altria Group MO | 108.97B Large-cap | -0.58% | -2.86% | 8.71% | 12.97% | 24.03% | 27.58% | 61.29% | 67.13% |
Rlx Technology RLX | 3.06B Mid-cap | -2.72% | 4.17% | 15.74% | 25.00% | 13.12% | 48.81% | 138.10% | -91.53% |
Universal UVV | 1.38B Small-cap | -2.70% | -1.86% | -7.85% | 0.94% | 0.26% | 2.72% | 19.11% | 29.95% |
Ispire Technology ISPR | 154.65M Micro-cap | -14.83% | -8.47% | 14.89% | -11.48% | -45.01% | -59.09% | -61.86% | -61.86% |
22nd Century XXII | 5.97M Micro-cap | -13.22% | -22.16% | -79.17% | -96.21% | -98.83% | -95.09% | -99.99% | -99.99% |
Ownership & Short Interest
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Frequently Asked Questions
- What is PM's 52-week high and low?
- In the last 52 weeks, Philip Morris reached a high of $186.69 (on June 16, 2025) and a low of $116.12 (on January 13, 2025).
- What is the market cap and P/E ratio for PM?
- Curious about Philip Morris's size and valuation? Its market capitalization stands at 254.92B. When it comes to valuation, the P/E ratio (trailing twelve months) is 24.11, and the forward P/E (looking ahead) is 22.63.
- Does PM pay dividends? If so, what's the yield?
- Yes, Philip Morris is a dividend-paying stock. Investors have recently enjoyed a trailing annual dividend yield of 2.93%, and the company has paid an average of $4.76 per share annually over the past 3 years.
- Who are Philip Morris's main competitors or similar companies to consider before investing?
When looking at Philip Morris, it can be helpful to see how it compares to other players in its field. Here are a few similar companies or key competitors:
Company Mkt Cap Sector Industry 1Y Return 3Y Return Altria Group
MO108.97B Consumer Defensive Tobacco 27.58% 61.29% Rlx Technology
RLX3.06B Consumer Defensive Tobacco 48.81% 138.10% Universal
UVV1.38B Consumer Defensive Tobacco 2.72% 19.11% Ispire Technology
ISPR154.65M Consumer Defensive Tobacco -59.09% -61.86% 22nd Century
XXII5.97M Consumer Defensive Tobacco -95.09% -99.99% For a more comprehensive list, please see the Peer Performance Comparison table on this page.
- What are the key financial health indicators for Philip Morris International Inc.? (e.g., ROE, Debt/Equity)
- To get a sense of Philip Morris's financial health, here are a few key indicators: its Return on Equity (ROE) over the last twelve months is -71.27%, the Debt to Equity ratio from the most recent quarter is -5.14, and its Gross Profit Margin stands at 67.66%.
- What is the recent revenue and earnings growth for PM?
- Looking at Philip Morris's growth, its revenue over the trailing twelve months (TTM) was $39B. Compared to the same quarter last year (YoY), quarterly revenue grew by 7.10%, and quarterly earnings saw a YoY growth of 26.30%.
- How much of PM stock is held by insiders and institutions?
- Wondering who owns Philip Morris stock? Company insiders (like executives and directors) hold about 0.16% of the shares, while institutional investors (such as mutual funds and pension funds) own approximately 81.98%.
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Data is provided for informational purposes only. Devyara does not guarantee the accuracy of the data displayed.