Philip Morris International stock price

필립 모리스 인터내셔널NYSE:PM · New York Stock Exchange · Consumer Staples · sector #23
$200.50+4.05%
2026-10-08 close
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Philip Morris International's chart data is dated 2026-10-08. Recorded technical signals: Near 52-week high, Golden cross, MA aligned, VCP, Bollinger breakout, MACD bullish cross. There are 5 published signal records.

Philip Morris International last closed at $200.50 (+4.05%) on 2026-10-08. Signals today: Near 52-week high, Golden cross, MA aligned, VCP, Bollinger breakout, MACD bullish cross. Listed on New York Stock Exchange. Trailing 12 months PER is 28.8×. Its overall grade ranks 11 of 123 stocks in Consumer Staples.

About this company

Philip Morris International last closed at $200.50 (+4.05%) on 2026-10-08. Signals today: Near 52-week high, Golden cross, MA aligned, VCP, Bollinger breakout, MACD bullish cross. Listed on New York Stock Exchange.

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Reported results

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Position in sector

Consumer Staples · Overall A+ · 11/123

Valuation grade C+

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Dividends

2025 dividend per share · $5.52 · Yield 3.09%

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ETFs holding this stock

iShares US Consumer Staples ETF · Global X Purecap MSCI Consumer Staples ETF · The Advisors’ Inner Circle Fund III

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About Philip Morris International
What technical signals does Philip Morris International (PM) have?
Philip Morris International current technical signals: golden cross (5_20, 0d ago), MA alignment (score 0.27).
Is Philip Morris International a cup-and-handle pattern?
No. Philip Morris International has no valid Cup signal right now.
What published figures are available for Philip Morris International?
Market cap: $320.39B. Trailing 12 months PER: 28.8×. Latest quarter PBR: -47.07×. Dividend yield: 3.09%.

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