Philip Morris International Inc. (PM)
Cigarettes · Cigarettes · NYSE
$187.64
+1.69%
Investingg Score
56.7 / 100
Hold
Business overview
- Gross margin stands at 67.1%
- Operating margin is reported at 36.6%
- Free cash flow margin reaches 26.2%
These high operational margins indicate strong pricing power and efficient cash generation within the cigarette industry.
Financial health
- Free cash flow margin is 26.2%
- Balance Sheet pillar score is recorded at 40
- Risk pillar score stands at 100
The combination of robust cash generation and a high risk score highlights solid operational stability despite a moderate balance sheet score.
- Gross Margin
- 67.1%
- Operating Margin
- 36.6%
- Current Ratio
- 1.0x
- Debt / Equity
- Data unavailable
- Free Cash Flow (TTM)
- $10.7B
- Interest Coverage
- Data unavailable
Valuation
- Price-to-earnings ratio is data unavailable
- Enterprise value to EBITDA is data unavailable
- Free cash flow yield is data unavailable
The absence of key valuation multiples introduces uncertainty regarding whether the current share price of 187.64 represents a fair value.
- P/E (TTM)
- Data unavailable
- Forward P/E
- Data unavailable
- Price / Sales
- 0.0x
- EV / EBITDA
- Data unavailable
- FCF Yield
- Data unavailable
Key risks
- Certain valuation metrics such as the P/E ratio and EV to EBITDA are currently unavailable.
- The Relative Strength Index of 33.62 approaches oversold territory, signaling potential near-term price momentum uncertainty.
- The balance sheet pillar score is relatively low at 40, indicating potential financial structure risks.
Market cap $0 · data as of 2026-08-18
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Analyze PM with Investingg AINot investment advice. Investingg AI summarizes public data and AI-generated analysis for informational purposes only.
