Philip Morris International Inc. (NYSE: PM), is firmly in the large market cap category with market cap of 190.74 B. To be considered a large market cap stock companies have to be valued at more than $10 billion. The current price for Philip Morris International Inc. is 122.9 (with a change from open of 0.69%), this in conjunction with a target price of 121.71. Volume today has so far reached 2983855, with an average volume of about 4114.87. The GAP for this stock, is 0.18%.
The P/E ratio is 27.2, bringing the forward P/E to a value of 22.52. The current EPS for Philip Morris International Inc., is 4.52, with a EPS growth for this year coming to a value of 1.30%. Performance has been interesting with performance year to date coming to 34.33%.
Looking further into the growth statistics for Philip Morris International Inc., EPS is looking like it will grow 11.46% in the next year. Looking even further it is projected to be 10.98%. Quarter over quarter is 3.90% for EPS growth and for sales growth quarter over quarter it is -0.30%. Looking at past EPS growth statistics we see that for the past five years it has been -1.60%. Sales growth for the past five years has in fact been -3.00%.
Looking at the ownership, we see that the insider ownership is at 0.20% and institutional ownership is 73.40%. Shares outstanding is 1552, while shares float is at a value of 1550.27. Float short for Philip Morris International Inc. is 0.85% and the short ratio is 3.19.
In terms of debt, long term debt/equity is *TBA, while the total debt/equity comes to *TBA. The ability to meet these debts, means that the current ratio is 1.3, and the quick ratio is 0.7. The most recent gross margin is 64.50% and their operating margin is 40.30%. The profit margin is 26.30%.
Philip Morris International Inc. has seen returns on assets of 19.50%, and on investment, 49.10%. Return on equity is -56.30%. Price/Earnings to growth ratio is 2.48. Price/Sales ratio is at a value of 7.15, with Price/book ratio coming to *TBA and Price/cash is 37.58, and finally Price/Free cash Flow is 235.77.
The simple moving averages are 2.67% and 19.71% for 20 day and 200 day simple moving average respectively. For the 52 week high and low the 52 week high is 0.00% and the 52 week low is 41.62%.
Philip Morris International Inc. has a dividend yield of 3.38%, with a current price of 122.9. The ability to pay this means the payout ratio is 91.20%. This is in an industry, Cigarettes, with equally high dividends from other companies in this sector, which it is Consumer Goods. Philip Morris International Inc. is based in USA.
Performance in the Cigarettes industry means that Philip Morris International Inc. has seen performance for the past week of 3.13%, with performance for the month coming to 8.21%. Looking at the data for the quarter it is at a value of 7.80%, and for the half year the performance is 22.01%. Volatility for this week is 1.25% and for the month this is 1.25%.
Disclaimer: Remember there is a risk to your investment, this is not a recommendation, nor personal advice, never invest more than you are able too loose.