NYSE· Cigarettes· Inc. VA· CIK 0001413329

PM

Philip Morris International Inc.
$186.43 ▼ -0.93%
Prev close $188.18
Market cap$302.2B
ConsensusBuy
12-mo target$208.13 (+10.6%)
▲ Bullish
Analyst conviction 7/10
Insider Selling Cluster (6 insiders)High Impact Filing (7/10)32 New Institutional Positions18 Institutional Exits Consumer & Retail
Snapshot
The big-picture read on PM right now — valuation, ownership and activity at a glance.
Market Cap
$302.2B
Cap Size
Mega Cap
Analyst Consensus
Strong Buy (74%)
Inst. Holders
50 funds
Inst. Value
$194.9B
Inst. Activity
32 buys / 18 sells
Insider Activity
$0.00 buy / $28.8M sell
Insider Net $
-$28.8M
Social Sentiment
53° Neutral
SEC Reports
11
Congressional
2 trades
Price chart 30d -0.8%
Daily candles (open–high–low–close) with volume. Green = up day, red = down day.
Vol
Recent activity
The latest filings, insider trades, analyst actions, press and options flow — newest first.
Sep 30, 2026 short_volume
Short Volume: PM — 59.5% short (0.8M / 1.4M)
Short: 844,427 | Exempt: 646 | TRF Vol: 1,418,859 | Short Ratio: 59.5% | Off-exchange volume (dark p
Sep 9, 2026 SEC
Philip Morris International raised its 2026 full-year adjusted diluted EPS forecast to $8.35-$8.50, representing 10.7%-1
8-K — Impact 5/10
Aug 24, 2026 SEC
Philip Morris International (PM) announced a contract manufacturing arrangement for combustible cigarettes with Altria's
8-K — Impact 3/10
Aug 3, 2026 SEC
NYSE notified the SEC of its intent to remove from listing and registration Philip Morris International Inc.'s 0.125% No
25-NSE — Impact 1/10
Jun 30, 2026 Inst.
Bank of New York — ADD
11,669,878 shares ($2.1B)
Jun 30, 2026 Inst.
UBS AM, a distinct — ADD
6,989,904 shares ($1.3B)
Jun 2, 2026 Congress
Ro Khanna buy
$1,001 - $15,000 — House
May 6, 2026 Insider
Yanai Shlomo was granted 1,119 shares
Director @ $169.93 ($190.2K)
Analyst ratings buy % -3.9%
How Wall Street rates the stock today, and the latest firm-by-firm actions.
Buy 74% rate it Buy or better · 27 analysts
Strong Buy 9 33% Buy 11 41% Hold 7 26% Sell 0 0% Strong Sell 0 0%
Recent analyst actions
DateFirmActionRatingFirm rating
Sep 23, 2026UBSMAINTAINNeutral 55%
Jul 30, 2026CitigroupMAINTAINBuy 55%
Jul 29, 2026BarclaysMAINTAINOverweight 54%
Jul 23, 2026Morgan StanleyMAINTAINOverweight 55%
Jul 23, 2026StifelMAINTAINBuy 54%
Jul 23, 2026NeedhamMAINTAINBuy 50%
Jul 2, 2026UBSMAINTAINNeutral 55%
Jun 3, 2026Morgan StanleyMAINTAINOverweight 55%
Apr 23, 2026NeedhamREITERATEBuy 50%
Apr 17, 2026UBSMAINTAINNeutral 55%
Monthly consensus history
PeriodStr. BuyBuyHoldSellStr. SellBuy %Distribution
Sep 1, 202691170074%
Aug 1, 202691170074%
Jul 1, 202681170073%
Jun 1, 202681170073%
May 1, 202681180070%
Apr 1, 202681090067%
Mar 1, 202681090067%
Feb 1, 202681180070%
Price targets
Where 15 covering analysts think PM trades over the next 12 months.
$208.13 +10.6% upside Buy
Current$188.18 Low$175.00 Median$211.00 High$230.00 15 analysts
$175.00$230.00
Analyst rating Buy· 1.7/5 as of Oct 2, 2026
Social media sentiment mood -20.0%
Retail-investor mood aggregated across social media. 0° = very bearish, 100° = very bullish.
53°
Neutral
BearishNeutralBullish
30 mentions 12 bullish 10 bearish 8 neutral
Reports & filings
AI-scored summaries of recent SEC filings and press releases, with sentiment and impact.
11 SEC filing reports analyzed · 3 bullish, 0 bearish, 0 mixed, 8 neutral · avg impact 3.6/10.
Upcoming & catalyst events
Scheduled dates plus disclosed catalysts — earnings, dividends, enforcement, FDA and clinical-trial events. Colored dot = impact.
Sep 30, 2026
short_volume
Short Volume: PM — 59.5% short (0.8M / 1.4M)
Short: 844,427 | Exempt: 646 | TRF Vol: 1,418,859 | Short Ratio: 59.5% | Off-exchange volume (dark pool + OTC)
Sep 28, 2026
short_volume
Short Volume: PM — 67.4% short (0.9M / 1.4M)
Short: 921,788 | Exempt: 1,235 | TRF Vol: 1,367,898 | Short Ratio: 67.4% | Off-exchange volume (dark pool + OTC)
Sep 25, 2026
short_volume
Short Volume: PM — 72.4% short (0.8M / 1.1M)
Short: 784,032 | Exempt: 896 | TRF Vol: 1,082,887 | Short Ratio: 72.4% | Off-exchange volume (dark pool + OTC)
Sep 24, 2026
short_volume
Short Volume: PM — 76.5% short (0.9M / 1.2M)
Short: 892,657 | Exempt: 10 | TRF Vol: 1,166,422 | Short Ratio: 76.5% | Off-exchange volume (dark pool + OTC)
Sep 22, 2026
short_volume
Short Volume: PM — 74.4% short (1.5M / 2.0M)
Short: 1,516,584 | Exempt: 465 | TRF Vol: 2,038,119 | Short Ratio: 74.4% | Off-exchange volume (dark pool + OTC)
Earnings estimates
Forecast earnings per share and revenue by period — and whether estimates are rising.
PeriodEPS Est.RangeGrowth30d RevUp/DnRevenue#
Current Q$2.34$2.32–$2.394.6%+4.1%0↑ 8↓$11.4B4
Next Q$1.95$1.91–$1.9914.8%-0.2%2↑ 5↓$11.0B4
Current FY$8.40$8.29–$8.5911.4%+0.2%2↑ 9↓$43.5B14
Next FY$9.19$8.78–$9.509.4%+0.2%4↑ 7↓$46.1B15
Current-quarter EPS estimate — revision history
WhenEPS estimateChange vs now
Current$2.342—
7d ago$2.322+0.020
30d ago$2.250+0.093
60d ago$2.247+0.095
90d ago$2.431-0.089
Institutional ownership
Which big funds own PM (from quarterly 13F filings) and who is adding or trimming.
50 institutional holders with $194.9B total value (1,076,304,484 shares) as of 2026-Q2. Top holders: Capital, BlackRock,, VANGUARD. Net buying activity: 32 institutions added/increased vs 18 reduced.
Top holders — 2026-Q2
FundSharesValue% TrackedLast move
Capital World Investors133,152,391$24.1B12.4%—
BlackRock, Inc.108,039,522$19.5B10.0%—
VANGUARD CAPITAL MANAGEMENT LLC101,785,557$18.4B9.4%—
Capital Research Global Investors84,253,663$15.2B7.8%—
Capital International Investors72,252,261$13.1B6.7%—
STATE STREET CORP55,569,994$10.1B5.2%—
JPMORGAN CHASE & CO48,189,101$8.8B4.5%—
FMR LLC46,521,326$8.4B4.3%—
GQG Partners LLC45,436,985$8.2B4.2%—
GEODE CAPITAL MANAGEMENT, LLC39,038,598$7.1B3.6%—
Recent position changes
FundActionPrevCurrentChangeValue
Bank of New York Mellon CorpADD8,914,21611,669,878+30.9%$2.1B
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLCADD5,577,4266,989,904+25.3%$1.3B
Fundsmith LLPTRIM5,113,1632,913,693-43.0%$527.1M
BARCLAYS PLCTRIM4,607,0412,863,635-37.8%$518.1M
FIRST TRUST ADVISORS LPDOUBLED391,1352,835,056+624.8%$512.9M
ARROWSTREET CAPITAL, LIMITED PARTNERSHIPTRIM4,129,1272,447,712-40.7%$442.8M
CITIGROUP INCADD1,491,0102,338,733+56.9%$423.1M
BANK OF NOVA SCOTIAADD1,061,4731,608,480+51.5%$291.0M
CANADA PENSION PLAN INVESTMENT BOARDTRIM3,016,9231,473,678-51.2%$266.6M
MAVERICK CAPITAL LTDDOUBLED567,2501,457,059+156.9%$263.6M
Insider activity
Buying and selling by company executives and directors (SEC Form 4).
15 insiders, 39 transactions. Net -$28.8M — $0.00 bought, $28.8M sold.
DateInsiderTitleTypeSharesPriceValue
May 6, 2026Yanai ShlomoDirectorAWARD1,119$169.93$190.2K
May 6, 2026Calantzopoulos AndreDirectorAWARD1,119$169.93$190.2K
May 6, 2026Hook LisaDirectorAWARD1,119$169.93$190.2K
May 6, 2026Bough BoninDirectorAWARD1,119$169.93$190.2K
May 6, 2026Morparia KalpanaDirectorAWARD1,119$169.93$190.2K
May 6, 2026Harker Victoria DDirectorAWARD1,119$169.93$190.2K
May 6, 2026Polet RobertDirectorAWARD1,119$169.93$190.2K
May 6, 2026Combes MichelDirectorAWARD1,119$169.93$190.2K
May 6, 2026Geissler WernerDirectorAWARD1,119$169.93$190.2K
Mar 6, 2026Dobrowolski ReginaldoGroup ControllerTAX W/H22$169.98$3.7K
Congressional trades
PM trades disclosed by members of Congress, with disclosure delay.
2 members · 1 buys / 1 sells
DateMemberPartyChamberTypeAmountAssetDisclosed
Jun 2, 2026Ro KhannaDHOUSEBUY$1,001 - $15,000Philip Morris International IncJul 8, 2026(37d)
Feb 5, 2026Julia LetlowRHOUSESELL$1,001 - $15,000Philip Morris International IncMar 13, 2026(37d)
Short interest & halts
FINRA semi-monthly short positions, Reg SHO threshold status, and recent trading halts for PM.
Shares short
13,817,309
Settlement Sep 15, 2026
Change vs prior
-16.7%
Semi-monthly cycle
Days to cover
3.5
At avg daily volume
Of shares outstanding
≈0.9%
Estimate — not % of float
All PM filing & press-release reports (11)