PM Philip Morris International Inc.

Price (delayed)

$78.72

Market cap

$122.59B

P/E Ratio

16.86

Dividend/share

$4.68

EPS

$4.67

Enterprise value

$148.02B

Sector: Consumer Defensive
Industry: Tobacco
Philip Morris International, Inc. is a holding company, which engages in manufacturing and sale of cigarettes, tobacco and nicotine-containing products. It operates through the following geographical segments: European Union, Eastern Europe, Middles East & Africa, South & Southeast Asia, East Asia & Australia and Latin America & Canada. The company was founded by Philip Morris in 1847 and is headquartered in New York, NY.

Highlights

PM's quick ratio is up by 21% QoQ and by 16% YoY
PM's gross margin is up by 3.7% YoY
The P/E is 17% below the 5-year quarterly average of 20.3 but 5% above the last 4 quarters average of 16.0
The equity is up by 7% since the previous quarter but it has declined by 7% year-on-year
The EPS has declined by 7% year-on-year and by 4.9% since the previous quarter
Philip Morris International's net income has decreased by 7% YoY and by 4.9% from the previous quarter

Key stats

What are the main financial stats of PM
Market
Shares outstanding
1.56B
Market cap
$122.59B
Enterprise value
$148.02B
Valuations
Price to earnings (P/E)
16.86
Price to book (P/B)
N/A
Price to sales (P/S)
1.61
EV/EBIT
14.47
EV/EBITDA
13.23
EV/Sales
1.94
Earnings
Revenue
$76.3B
EBIT
$10.23B
EBITDA
$11.19B
Free cash flow
$7.78B
Per share
EPS
$4.67
Free cash flow per share
$5
Book value per share
-$7.7
Revenue per share
$49
TBVPS
$20.27
Balance sheet
Total assets
$39.16B
Total liabilities
$49.28B
Debt
$29.63B
Equity
-$12B
Working capital
$1.98B
Liquidity
Debt to equity
-2.47
Current ratio
1.13
Quick ratio
0.52
Net debt/EBITDA
2.27
Margins
EBITDA margin
14.7%
Gross margin
25.2%
Net margin
9.5%
Operating margin
14.2%
Efficiency
Return on assets
18.1%
Return on equity
N/A
Return on invested capital
25.4%
Return on capital employed
43.8%
Return on sales
13.4%
Dividend
Dividend yield
5.95%
DPS
$4.68
Payout ratio
100.2%

PM stock price

How has the Philip Morris International stock price performed over time

Financial performance

How have Philip Morris International's revenue and profit performed over time
Revenue
$76.3B
Gross profit
$19.2B
Operating income
$10.81B
Net income
$7.29B
Gross margin
25.2%
Net margin
9.5%
Philip Morris International's net income has decreased by 7% YoY and by 4.9% from the previous quarter
PM's net margin is down by 5% year-on-year and by 3.1% since the previous quarter
Philip Morris International's operating income has decreased by 4% from the previous quarter and by 2.5% YoY
PM's gross margin is up by 3.7% YoY

Valuation

What is Philip Morris International stock price valuation
P/E
16.86
P/B
N/A
P/S
1.61
EV/EBIT
14.47
EV/EBITDA
13.23
EV/Sales
1.94
The P/E is 17% below the 5-year quarterly average of 20.3 but 5% above the last 4 quarters average of 16.0
The EPS has declined by 7% year-on-year and by 4.9% since the previous quarter
The equity is up by 7% since the previous quarter but it has declined by 7% year-on-year
PM's P/S is 11% below its 5-year quarterly average of 1.8 but 7% above its last 4 quarters average of 1.5
PM's revenue is down by 2.8% since the previous quarter and by 2.2% year-on-year

Efficiency

How efficient is Philip Morris International business performance
Philip Morris International's ROA has decreased by 9% YoY and by 4.2% from the previous quarter
The ROIC has contracted by 7% YoY and by 5% from the previous quarter
The return on sales has declined by 2.2% year-on-year

Dividends

What is PM's dividend history
DPS
$4.68
Dividend yield
5.95%
Payout ratio
100.2%
Recent dividends

Financial health

How did Philip Morris International financials performed over time
Philip Morris International's total assets is 21% lower than its total liabilities
PM's quick ratio is up by 21% QoQ and by 16% YoY
Philip Morris International's current ratio has increased by 19% YoY and by 11% from the previous quarter
Philip Morris International's debt to equity has decreased by 13% QoQ but it has increased by 8% YoY
The equity is up by 7% since the previous quarter but it has declined by 7% year-on-year

All financial data is based on trailing twelve months (TTM) periods - updated quarterly, unless otherwise specified.