CONSUMER DEFENSIVE4/22/2026 • LIVE

PMPhilip Morris International (PM)

Philip Morris International (PM) is a consumer defensive company operating in tobacco. Demand is typically resilient, with margin discipline and pricing power as key drivers. This analysis page tracks valuation context, trend strength, and downside risk over time.

PRICE
$153.25
-2.73% today
RISK
MEDIUM
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Key Metrics

MARKET CAP
$238.84B
P/E RATIO
21.1
BETA
0.45
Less volatile
DIV YIELD
3.84%
52W HIGH
$191.30
52W LOW
$142.11
VOLATILITY
26.3%
30d annualized

Price Performance

30-DAY PRICE CHART

$163.24 → $153.25-6.12%
30 days agoToday

1-YEAR PERFORMANCE

$170.24 → $153.25-10.0%
$152$167$182AprMayJunJulAugSepOctNovDecJanFebMar
PM | 52-week chartLast updated: 4/22/2026

Consumer Defensive Sector Context

Stable sector with essential products like food, beverages, and household goods.

METRICPMSECTOR AVGVS SECTOR
P/E Ratio21.1x21.0x 1%
Beta0.450.65Less volatile
Div Yield3.84%2.80%Above avg
30d Volatility26.3%18%Higher risk

TOP CONSUMER DEFENSIVE PEERS

Competitors Analysis

Compare PM's key metrics against its main consumer defensive sector competitors.

COMPANYPRICEMARKET CAPSECTOR
PMPM(You are here)
$153.25$238.84BConsumer Defensive
$142.32$332.56BConsumer DefensiveVIEW →
$74.70$321.52BConsumer DefensiveVIEW →
$154.92$211.77BConsumer DefensiveVIEW →
Click on a competitor to view their full analysis

Technical Analysis

Philip Morris International is currently trading at $153.25, which is 19.9% below its 52-week high. With a beta of 0.45, the stock shows lower sensitivity to market movements.

RSI (14)NEUTRAL
30-DAY TRENDBEARISH
VOLUME5.1M(Below avg)

Frequently Asked Questions

Is PM a good buy right now?

Philip Morris International trades at 21.1x earnings. This is near market average. Current risk level is Medium based on 26.3% volatility.

Does PM pay dividends?

Yes, Philip Morris International offers a dividend yield of 3.84%. This translates to approximately $5.88 per share annually.

How volatile is PM?

With 30-day annualized volatility of 26.3% and beta of 0.45,PM is classified as Medium risk. The stock tends to be more stable than the market average.

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Last updated: 4/22/2026, 8:49:24 AM