PM Philip Morris International Inc
Consumer Staples > Food, Beverage & Tobacco > Tobacco > Tobacco | NYSE, MegaCap | Last Price: 186.83 | 2026-02-27 | Atrp: 2.26
Sat 21 Feb 2026 to Fri 27 Feb 2026: Score 4
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Short Ratio | 3.83 | 3.25 | ▼ -15.14% | Bullish. Lower is better. Moderate improvement |
| â | PEG Ratio | 1.2235 | 1.1983 | ▼ -2.06% | Bullish. Lower is better. Slight decrease, improving the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 22.3714 | 21.9298 | ▼ -1.97% | Bullish. Lower is better. Slight improvement Stock price divided by expected future earnings |
| â | Enterprise Value | $335.86B | $339.42B | ▲ 1.06% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
| â | Short Percent | 1.28% | 1.23% | ▼ -3.91% | Bullish. Lower is better. Slight decrease; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | Price Sales TTM | 7.0236 | 7.1806 | ▲ 2.24% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Enterprise Value/Revenue | 8.2625 | 8.3502 | ▲ 1.06% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 19.2324 | 19.4366 | ▲ 1.06% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
Thu 05 Feb 2026 to Fri 13 Feb 2026: Score 6
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Profit Margin | 21.57% | 27.92% | ▲ 29.44% | Bullish. Higher is better. Profit margin growth accelerating. Percentage of revenue that turns into profit |
| â | EPS Estimate Current Year | 7.5464 | 8.3863 | ▲ 11.13% | Bullish. Higher is better. Moderate increase; improved outlook for current year earnings Expected earnings per share this year |
| â | EPS Estimate Next Year | 8.329 | 9.1765 | ▲ 10.18% | Bullish. Higher is better. Moderate raised expectations for further out Expected earnings per share next year |
| â | EBITDA | $17960M | $18722M | ▲ 4.24% | Bullish. Higher is better. Increase in earnings before interest, taxes, depreciation, and amortization; indicates stronger operational cash flow Earnings before interest, taxes, depreciation, and amortization |
| â | Wall Street Target Price | 180.375 | 191.1563 | ▲ 5.98% | Bullish. Higher is better. Higher analyst expectations, pointing to increased optimism for future performance Analysts' consensus target price for the stock |
| â | Book Value | -7.011 | -6.42 | ▲ 8.43% | Bullish. Higher is better. Slight increase; stock now trades closer to book value Net asset value of the company per share |
| â | Return On Assets TTM | 14.94% | 15.96% | ▲ 6.83% | Bullish. Higher is better. Return on assets TTM growth accelerating. Efficiency in generating profits from total assets |
| â | Earnings Per Share | 7.08 | 7.26 | ▲ 2.54% | Bullish. Higher is better. Slight increase in earnings per share Profit allocated to each outstanding share |
| â | Gross Profit TTM | $26763M | $27282M | ▲ 1.94% | Bullish. Higher is better. Slight increase, but margins may be improving Revenue minus cost of goods sold over the trailing twelve months |
| â | Revenue TTM | $39992M | $40648M | ▲ 1.64% | Bullish. Higher is better. Slight top-line expansion Total revenue over the trailing twelve months |
| â | Revenue Per Share TTM | 25.722 | 26.123 | ▲ 1.56% | Bullish. Higher is better. Slight improvement Revenue generated per outstanding share over the trailing twelve months |
| â | Enterprise Value | $326.85B | $338.1B | ▲ 3.44% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
| â | Institutional Ownership | 83.167% | 84.164% | ▲ 1.2% | Bullish. Higher is better. Slight increase; continued strong interest from big investors Percentage held by institutions like mutual funds |
| â | Price Sales TTM | 7.0841 | 7.181 | ▲ 1.37% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Enterprise Value/Revenue | 8.1728 | 8.3177 | ▲ 1.77% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 18.8962 | 19.3608 | ▲ 2.46% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Short Percent | 1.25% | 1.28% | ▲ 2.4% | Bearish. Lower is better. Slight increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | PEG Ratio | 1.177 | 1.2329 | ▲ 4.75% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 21.5517 | 22.5734 | ▲ 4.74% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Operating Margin TTM | 40.75% | 32.94% | ▼ -19.17% | Bearish. Higher is better. Operating margin TTM growth slowing. Percentage of revenue left after operating expenses |
| â | Short Ratio | 3.43 | 3.83 | ▲ 11.66% | Bearish. Lower is better. Moderate decline |
| â | Quarterly Revenue Growth YOY | 91% | 71% | ▼ -27.66% | Bearish. Higher is better. Quarterly revenue growth YOY growth slowing. Year-over-year growth in quarterly revenue |
Wed 21 Jan 2026 to Wed 28 Jan 2026: Score -13
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Short Ratio | 3.1 | 3.43 | ▲ 10.65% | Bearish. Lower is better. Moderate decline |
| â | PEG Ratio | 1.0908 | 1.1671 | ▲ 6.99% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 19.9601 | 21.3675 | ▲ 7.05% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Sales TTM | 6.5707 | 6.9514 | ▲ 5.79% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Enterprise Value/Revenue | 7.6586 | 8.114 | ▲ 5.95% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 17.7073 | 18.7603 | ▲ 5.95% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Short Percent | 1.16% | 1.25% | ▲ 7.76% | Bearish. Lower is better. Slight increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | Enterprise Value | $306.28B | $324.5B | ▲ 5.95% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
Wed 14 Jan 2026 to Wed 21 Jan 2026: Score -2
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Wall Street Target Price | 182.875 | 180.375 | ▼ -1.37% | Bearish. Higher is better. Lower analyst expectations, pointing to decreased optimism for future performance Analysts' consensus target price for the stock |
| â | Price Sales TTM | 6.4555 | 6.5707 | ▲ 1.78% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
Wed 07 Jan 2026 to Wed 14 Jan 2026: Score -10
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | PEG Ratio | 1.0124 | 1.0821 | ▲ 6.88% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 18.5185 | 19.802 | ▲ 6.93% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Sales TTM | 6.039 | 6.4555 | ▲ 6.9% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Enterprise Value/Revenue | 7.1908 | 7.6069 | ▲ 5.79% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 16.6256 | 17.5876 | ▲ 5.79% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Short Ratio | 3.04 | 3.1 | ▲ 1.97% | Bearish. Lower is better. Slight decline |
| â | Short Percent | 1.13% | 1.16% | ▲ 2.65% | Bearish. Lower is better. Slight increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | Enterprise Value | $287.57B | $304.21B | ▲ 5.79% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
Sun 21 Dec 2025 to Wed 07 Jan 2026: Score 1
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | PEG Ratio | 1.0233 | 1.0124 | ▼ -1.07% | Bullish. Lower is better. Slight decrease, improving the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 18.7266 | 18.5185 | ▼ -1.11% | Bullish. Lower is better. Slight improvement Stock price divided by expected future earnings |
| â | Price Sales TTM | 6.1048 | 6.039 | ▼ -1.08% | Bullish. Lower is better. Lower multiple; market willing to pay less per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Short Ratio | 2.93 | 3.04 | ▲ 3.75% | Bearish. Lower is better. Slight decline |
| â | Short Percent | 1.09% | 1.13% | ▲ 3.67% | Bearish. Lower is better. Slight increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
