Price Chart

DATE TIME TYPE PERIOD REPORTED
EPS
ESTIMATED
EPS
SURPRISE
10/20/2022 -- Results Q3 2022 -- 1.37 --
10/20/2022 -- Earnings Call Q3 2022 -- -- --
07/21/2022 09:00 EST Earnings Call Q2 2022 -- -- --
07/21/2022 -- Results Q2 2022 1.48 1.25 18.47%
04/21/2022 -- Results Q1 2022 1.56 1.49 4.60%
04/21/2022 -- Earnings Call Q1 2022 -- -- --
02/10/2022 -- Results Q4 2021 1.35 1.33 1.71%
02/10/2022 12:00 EST Earnings Call Q4 2021 -- -- --
*Estimated Date/Time

Earnings

Next Report Date 10/20/2022
EPS Estimate Upgrade
Last Actual EPS Upgrade

Loading chart...
Last Report Date 07/21/2022
Beat/Miss Upgrade
Return Since -5.72%
Last FQE 06/30/2022
Next FQE 09/30/2022

Profile

Edit
Philip Morris International is an international tobacco company with a product portfolio primarily consisting of cigarettes and reduced-risk products, including heat-not-burn, vapor and oral nicotine products, which are sold in markets outside the United States. The company diversified away from nicotine products with the acquisition of Vectura, a provider of innovative inhaled drug delivery solutions, in 2021. The firm has six geographical segments: the European Union; Eastern Europe; Middle East and Africa; South and Southeast Asia; East Asia and Australia; and Americas.
URL https://www.pmi.com
Investor Relations URL https://www.pmi.com/investor-relations/overview
HQ State/Province New York
Sector Consumer Defensive
Industry Tobacco
Equity Style Large Cap/Value
Next Earnings Release Oct. 20, 2022
Last Earnings Release Jul. 21, 2022
Next Ex-Dividend Date N/A
Last Ex-Dividend Date Sep. 27, 2022

Dividends

Dividend Per Share (TTM) 5.00
2017
2018
2019
2020
2021
No data available
 
6.00%
4.00%
2.00%
 
Yield to Market 3.930
Yield to Sector 2.010
Yield to Industry 0.8026
Last Dividend Amt. 1.27
Dividend Frequency Quarterly
Last Ex-Dividend Date Sep. 27, 2022
Yield (TTM) 5.83%
Forward Yield 5.84%
Payout Ratio 85.05%
Cash Payout Ratio 66.45%
Consistent Payer (5Y) Yes
Consistent Growth (5Y) Yes

Ownership

Insider Ownership Percentage Upgrade
Jul '20
Nov '20
Mar '21
 
80.00%
40.00%
10.00%
 

Short Interest

Short Interest Upgrade
Percent of Shares Outstanding Short Upgrade
Jul '20
Nov '20
Mar '21
 
80.00%
40.00%
10.00%
 

Total Returns Comparison

Edit comparables

Annual Total Returns Versus Peers

Edit comparables
Loading chart...
Name
2015
2016
2017
2018
2019
2020
2021
YTD
13.42%
8.58%
19.88%
-33.24%
34.97%
3.86%
20.80%
-4.65%
1.38%
11.96%
21.83%
-4.38%
31.49%
18.40%
28.71%
-19.66%
23.10%
20.46%
9.45%
-27.09%
7.96%
-10.38%
24.26%
-4.02%
27.50%
-41.18%
66.67%
4.30K%
-18.77%
2.31K%
-85.56%
36.86%
-4.24%
14.75%
8.93%
-59.26%
56.69%
26.79%
31.26%
-59.01%
24.75%
8.65%
11.27%
-49.27%
65.92%
-6.87%
4.30%
-14.77%
As of October 05, 2022.

Profile

Edit
Philip Morris International is an international tobacco company with a product portfolio primarily consisting of cigarettes and reduced-risk products, including heat-not-burn, vapor and oral nicotine products, which are sold in markets outside the United States. The company diversified away from nicotine products with the acquisition of Vectura, a provider of innovative inhaled drug delivery solutions, in 2021. The firm has six geographical segments: the European Union; Eastern Europe; Middle East and Africa; South and Southeast Asia; East Asia and Australia; and Americas.
URL https://www.pmi.com
Investor Relations URL https://www.pmi.com/investor-relations/overview
HQ State/Province New York
Sector Consumer Defensive
Industry Tobacco
Equity Style Large Cap/Value
Next Earnings Release Oct. 20, 2022
Last Earnings Release Jul. 21, 2022
Next Ex-Dividend Date N/A
Last Ex-Dividend Date Sep. 27, 2022

Ownership

Insider Ownership Percentage Upgrade
Jul '20
Nov '20
Mar '21
 
80.00%
40.00%
10.00%
 

Short Interest

Short Interest Upgrade
Percent of Shares Outstanding Short Upgrade
Jul '20
Nov '20
Mar '21
 
80.00%
40.00%
10.00%
 

Top Fund Holders

Symbol Dollars Invested % Weight
HDV 527.94M USD 4.56%
VDC 359.60M USD 4.51%
XLP 649.45M USD 4.31%
CICFX 3.352B USD 3.34%
FAIFX 2.927B USD 2.49%
CAIFX 2.448B USD 2.44%
CLBFX 4.078B USD 2.11%
VYM 628.63M USD 1.08%
VTV 1.295B USD 0.90%
IWD 376.23M USD 0.77%

Top Portfolio Holders

0 of 0

Other Resources

Whale Wisdom 13F Filings
Seeking Alpha Call Transcripts
Morningstar Insider Trading
Nasdaq Institutional Ownership
Nasdaq Option Chain
SEC SEC Filings
Twitter PM Tweets