Philip Morris International (PM)

NYSE Piyasa kapalı

Philip Morris International Inc. is a global tobacco and nicotine company best known for Marlboro and for its expanding portfolio of smoke-free products. The business was separated from Altria in 2008 to hold the group’s international operations, and it continues to generate a large share of sales outside the United States through cigarettes sold across Europe, Asia, Latin America, and other markets.

PMI’s strategy centres on shifting adult nicotine users away from combustible cigarettes toward alternatives that it describes as reduced-risk products. Its flagship platform is IQOS, a heated-tobacco system that warms tobacco sticks rather than burning them. IQOS has become one of the leading heated-tobacco brands globally and is a major part of the company’s long-term growth plan. PMI also competes in vaping through Veev and in oral nicotine through Zyn.

The 2023 acquisition of Swedish Match significantly changed PMI’s product mix and geographic exposure. Swedish Match brought a strong position in Scandinavian snus, US chewing tobacco, and, most importantly, nicotine pouches, where Zyn is a category leader in several markets. This deal gave PMI a much larger presence in the US nicotine market and strengthened its position beyond cigarettes.

As a listed company, Philip Morris International is often viewed as a cash-generative consumer staples business with substantial regulatory and litigation exposure. Its performance depends on pricing power in cigarettes, adoption of smoke-free products, excise tax policy, public health regulation, currency movements, and competition from both traditional tobacco companies and newer nicotine brands.

175.94 USD
175.23 USD
+2.28 (+1.31%)
Mesai sonrası

Son güncelleme

Piyasa değeri
270.66B
F/K
24.43
F/SNF
25.38
F/S
6.52
Firma değeri
317.16B
Sektör
Consumer Staples
Sektör altı
Cigarettes
Adres
677 WASHINGTON BLVD, STE. 1100, STAMFORD, CT, 06901
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Piyasa değeri
270.66B
Firma değeri
317.16B
F/K
24.43
F/DD
-29.17
F/S
6.52
FD / FAVÖK
18.34
FD / satışlar
7.64
Hisse başına kazanç
7.11
Temettü verimi
3.26%
F/SNF
25.38
F/NF
22.21
Serbest nakit akışı
10.67B
Özkaynak karlılığı
-119.41%
Aktif karlılığı
16.08%
Borç / özkaynak
-5.6
Cari oran
0.98
Asit-test oranı
0.54
Nakit
0.21
Ort. hacim
4.93M
Temel gösterge anlık fiyatı
173.66

Gelir tablosu

Kalem 2026 Q1 2025 Q4 2025 Q3 2025 Q2 2025 Q1
Gelir 10.15B 10.36B 10.85B 10.14B 9.3B
Brüt kâr 6.91B 6.8B 7.36B 6.86B 6.27B
Faaliyet kârı 3.89B 3.37B 4.26B 3.7B 3.54B
FAVÖK 4.4B 3.89B 4.77B 4.23B 4.02B
Net kâr 2.44B 2.14B 3.47B 3.04B 2.69B
Temel EPS 1.56 1.37 2.23 1.95 1.72
Seyreltilmiş EPS 1.56 1.37 2.23 1.95 1.72

Bilanço

Kalem 2026 Q1 2025 Q4 2025 Q3 2025 Q2 2025 Q1
Toplam varlıklar 68.91B 69.19B 67.06B 68.51B 65.08B
Toplam yükümlülükler 76.21B 77.21B 76.05B 78.52B 74.01B
Özkaynak -7.3B -8.03B -8.98B -10.01B -8.93B
Nakit ve benzerleri 5.45B 4.87B 4.04B 4.14B 4.44B
Dönen varlıklar 25.6B 24.36B 22.67B 23.36B 22.2B
Kısa vadeli yükümlülükler 26.22B 25.43B 26.72B 28.15B 28.09B

Nakit akışı

Kalem 2026 Q1 2025 Q4 2025 Q3 2025 Q2 2025 Q1
Faaliyet nakit akışı -399M 4.71B 4.46B 3.41B -350M
Yatırım nakit akışı -3M -428M -789M -2.32B -434M
Finansman nakit akışı 1.1B -3.58B -3.66B -1.56B 671M
Nakit değişimi 578M 831M -115M -300M 222M
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