Philip Morris (PM) Financial Analysis & Valuation | Quarter Chart
Company facts
Reported company information and share structure.
| Market Cap | $296.74B | Exchange | NYSE |
| Sector | Consumer Defensive | Industry | Tobacco |
| Country | US | CEO | Jacek Olczak |
| IPO Date | 2008-03-17 | CAGR | 6.95% |
| Employees | 84,900 | Website | www.pmi.com |
| Div. Yield | 3.76% | Payout Ratio | 81% |
| Buy Back Yield | — | Total Yield | 3.76% |
Key metrics
Reported fundamentals and market-derived technical indicators.
| EV | $322.02B | P/E | 24.38 | Forward P/E | 20.77 | PEG | -3.48 |
| P/S | 5.77 | P/B | -28.59 | P/CF | 20.15 | P/FCF | 22.95 |
| Sales | $42.55B | Sales 1Y | 8.93% | Sales 3Y | 28.26% | Sales 5Y | 41.49% |
| EPS | $7.81 | EPS 1Y | 32.07% | EPS 3Y | 34.62% | EPS 5Y | 22.32% |
| Sales QoQ | 10.31% | EPS QoQ | 15.38% | Sales QoQ Avg | 2.68% | EPS QoQ Avg | 1.26% |
| Gross Margin | 67.51% | Operating Margin | 37.75% | Profit Margin | 25.56% | ROCE | 38.48% |
| ROA | 16% | ROE | -112% | Altman Z Score | 3.74 | Piotroski Score | 8 |
| Current Ratio | 0.98 | Quick Ratio | 0.98 | Cash Ratio | 0.23 | Op. CF Ratio | -0.02 |
| Debt/Equity | -5.72 | Debt/Assets | 0.72 | Lt Debt/Equity | -4.94 | Lt Debt/Cap. | 1.25 |
| Intrst Cov. | 10.37 | Inventory Turnover | — | Asset Turnover | 0.62 | Receivables Turnover | — |
| Enterprise Value | $322.02B | P/E Ratio | 24.38 |
| Forward P/E | 20.77 | PEG Ratio | -3.48 |
| P/S Ratio | 5.77 | P/B Ratio | -28.59 |
| P/CF Ratio | 20.15 | P/FCF Ratio | 22.95 |
| EPS | $7.81 | EPS Growth 1Y | 32.07% |
| EPS Growth 3Y | 34.62% | EPS Growth 5Y | 22.32% |
| Revenue Growth 1Y | 8.93% | Gross Margin | 0.68% |
| Operating Margin | 0.38% | Profit Margin | 0.26% |
| ROE | -1.12% | ROA | 0.16% |
| ROCE | 0.38% | Current Ratio | 0.98 |
| Quick Ratio | 0.98 | Cash Ratio | 0.23 |
| Debt/Equity | -5.72 | Interest Coverage | 10.37 |
| Altman Z Score | 3.74 | Piotroski Score | 8 |
Philip Morris (PM) valuation & financials
Philip Morris (PM) has a market capitalization of $296.74B and trades at a price-to-earnings ratio of 24.4. It operates in the Consumer Defensive sector (Tobacco).
Philip Morris's revenue grew +8.9% over the last year.
Philip Morris's next earnings report is scheduled for October 21, 2026 before market open; analysts estimate EPS of $2.24. Check the earnings calendar to see all companies reporting this week.
Philip Morris (PM) — frequently asked questions
When does Philip Morris (PM) report earnings next?
Philip Morris is expected to report earnings on October 21, 2026 before market open. Analysts estimate EPS of $2.24.
What is Philip Morris's market cap?
Philip Morris (PM) has a market capitalization of $296.74B.
What is PM's P/E ratio?
Philip Morris trades at a price-to-earnings ratio of 24.4, with trailing twelve-month EPS of $7.81.
How fast is Philip Morris growing?
Philip Morris's revenue grew +8.9% over the last year.
Compare with other Consumer Defensive companies: Walmart (WMT) · Costco (COST) · Coca-Cola (KO) · Procter & Gamble (PG) · Nestlé (NESN.SW) · Kweichow Moutai (600519.SS)