Level Chart

Basic Info

Philip Morris International (PM) - Reduced-Risk Products Revenue is at a current level of 0.000, down from 14.33B one year ago. This is a change of -100.0% from one year ago.

Philip Morris International Reduced-Risk Products Revenue refers to the revenue generated from its reduced-risk products, which are alternative tobacco and nicotine-containing products designed to present a potentially less harmful choice for adult smokers compared to traditional cigarettes.

Region United States
Source Fiscal.ai

Data provided via Fiscal.ai

Stats

Last Value 0.00
Latest Period 2025
Last Updated Feb 15 2026, 08:33 EST
Average Growth Rate 50.10%
Value from 1 Year Ago 14.33B
Change from 1 Year Ago -100.0%
Frequency Yearly
Unit USD
Adjustment N/A
Download Source File

Historical Data

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Date Value
December 31, 2025 0.00
December 31, 2024 14.33B
December 31, 2023 12.53B
December 31, 2022 9.919B
December 31, 2021 9.237B
December 31, 2020 6.947B
December 31, 2019 5.587B
Date Value
December 31, 2018 4.096B
December 31, 2017 3.64B
December 31, 2016 733.00M
December 31, 2015 0.00
December 31, 2014 0.00
December 31, 2013 0.00
December 31, 2012 0.00

Basic Info

Philip Morris International (PM) - Reduced-Risk Products Revenue is at a current level of 0.000, down from 14.33B one year ago. This is a change of -100.0% from one year ago.

Philip Morris International Reduced-Risk Products Revenue refers to the revenue generated from its reduced-risk products, which are alternative tobacco and nicotine-containing products designed to present a potentially less harmful choice for adult smokers compared to traditional cigarettes.

Region United States
Source Fiscal.ai

Data provided via Fiscal.ai

Stats

Last Value 0.00
Latest Period 2025
Last Updated Feb 15 2026, 08:33 EST
Average Growth Rate 50.10%
Value from 1 Year Ago 14.33B
Change from 1 Year Ago -100.0%
Frequency Yearly
Unit USD
Adjustment N/A
Download Source File

Related Securities

Symbol Name Change %
PM Philip Morris International, Inc. 0.53%

Related Indicators

Canada Ivey PMI 56.30
China Non-Manufacturing PMI 49.50
China PMI 49.00
Deposits of Operating Cash: OPM - Federal Employee Insurance Receipt 1.00M USD
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Managed Money Long Positions 11209.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Managed Money Long Positions WoW -565.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Managed Money Short Positions 13473.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Managed Money Short Positions WoW 1540.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Managed Money Spread Positions 4458.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Managed Money Spread Positions WoW -68.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Non-reportable Long Positions 415.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Non-reportable Long Positions WoW 1.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Non-reportable Short Positions 174.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Non-reportable Short Positions WoW -46.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Open Interest 107055.0
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Open Interest WoW -1389.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Other Reportable Long Positions 3560.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Other Reportable Long Positions WoW -1475.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Other Reportable Short Positions 1203.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Other Reportable Short Positions WoW -25.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Other Reportable Spread Positions 3333.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Other Reportable Spread Positions WoW 253.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Producers, Merchants, Processors, and Users Long Positions 72202.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Producers, Merchants, Processors, and Users Long Positions WoW 218.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Producers, Merchants, Processors, and Users Short Positions 66127.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Producers, Merchants, Processors, and Users Short Positions WoW -2854.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Swap Dealers Long Positions 10586.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Swap Dealers Long Positions WoW -70.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Swap Dealers Short Positions 16995.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Swap Dealers Short Positions WoW -506.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Swap Dealers Spread Positions 1292.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Swap Dealers Spread Positions WoW 317.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Total Reportable Long Positions 106640.0
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Total Reportable Long Positions WoW -1390.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Total Reportable Short Positions 106881.0
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Combined Total Reportable Short Positions WoW -1343.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Managed Money Long Positions 11209.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Managed Money Long Positions WoW -565.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Managed Money Short Positions 13473.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Managed Money Short Positions WoW 1540.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Managed Money Spread Positions 4458.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Managed Money Spread Positions WoW -68.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Non-reportable Long Positions 415.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Non-reportable Long Positions WoW 1.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Non-reportable Short Positions 174.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Non-reportable Short Positions WoW -46.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Open Interest 107055.0
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Open Interest WoW -1389.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Other Reportable Long Positions 3560.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Other Reportable Long Positions WoW -1475.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Other Reportable Short Positions 1203.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Other Reportable Short Positions WoW -25.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Other Reportable Spread Positions 3333.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Other Reportable Spread Positions WoW 253.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Producers, Merchants, Processors, and Users Long Positions 72202.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Producers, Merchants, Processors, and Users Long Positions WoW 218.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Producers, Merchants, Processors, and Users Short Positions 66127.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Producers, Merchants, Processors, and Users Short Positions WoW -2854.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Swap Dealers Long Positions 10586.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Swap Dealers Long Positions WoW -70.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Swap Dealers Short Positions 16995.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Swap Dealers Short Positions WoW -506.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Swap Dealers Spread Positions 1292.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Swap Dealers Spread Positions WoW 317.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Total Reportable Long Positions 106640.0
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Total Reportable Long Positions WoW -1390.00
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Total Reportable Short Positions 106881.0
ICE Energy Division SP-15 Financial Day-ahead LPM Peak OTC Futures Total Reportable Short Positions WoW -1343.00
Jpmorgan Chase & Co (JPM) - Asset & Wealth Management Revenue 24.07B USD
Jpmorgan Chase & Co (JPM) - Asset & Wealth Management Revenue 6.516B USD
Jpmorgan Chase & Co (JPM) - Consumer & Community Banking Revenue 19.40B USD
Jpmorgan Chase & Co (JPM) - Consumer & Community Banking Revenue 76.03B USD
Philip Morris International (PM) - Revenue Growth Ex-FX / Ex-Acquisitions 6.50 USD
Philip Morris International (PM) - Total Cigarettes and Heated Tobacco Shipment Transactions (Units) 762.50B
Philip Morris International (PM) - Wellness & Healthcare Revenue 0.00 USD
US First Time Buyer Effective Interest Rate Plus PMI 6.56%
US ISM Manufacturing PMI 52.40
US ISM Services PMI 56.10
Withdrawals of Operating Cash: OPM - Civil Serv Retirement & Disability 3.00M USD
Withdrawals of Operating Cash: OPM - Federal Employee Insurance Payment 317.00M USD