PM

Philip Morris International Inc. ·NYSE·Consumer Staples
186.25 live · 2026-08-12 15:59

Some scores are at the bottom of their range

This score sits at the bottom of the 0–100 range. The underlying calculation was negative, so the displayed value is a floor, not a measurement of zero.

  • Tactical Score: displayed 0, underlying value -14.7
40.8%
Brown Bear Score
70.0%
Business Conviction Score
21.3%
Position Health Score
20.2%
Chase Risk
Daily closes

Daily closes · 1Y (252 sessions) · +10.4% · range 144.33–200.17

The Businesswhat the company reports

Business & cash flow

FCF / assets 15.4%
OCF / assets 17.7%
FCF / revenue 30.1%
Gross margin 67.5%
ROIC 35.3%
Forward P/E 20.3

FCF/assets and OCF/assets are the cash-flow measures Brown Bear's own testing found to survive; FCF/revenue is shown alongside for context. Assets are from the latest annual filing (FY2025).

Price vs Earnings growth

Forward EPS growth has outpaced trailing price return by +15.5pp

Confidence 95.0/100

Takeaway Earnings growth is outpacing price — consistent with the stock not yet fully reflecting its improving forward estimates.

Reported earnings

Next report 2026-10-21 before the open · consensus EPS 2.34

Q3 23 revenue: 9.14bnQ3 23 net income: 2.05bnQ3 23 EPS: 1.32Q4 23 revenue: 9.05bnQ4 23 net income: 2.20bnQ4 23 EPS: 1.41Q4 23Q1 24 revenue: 8.79bnQ1 24 net income: 2.15bnQ1 24 EPS: 1.38Q2 24 revenue: 9.47bnQ2 24 net income: 2.41bnQ2 24 EPS: 1.55Q2 24Q3 24 revenue: 9.91bnQ3 24 net income: 3.08bnQ3 24 EPS: 1.98Q4 24 revenue: 9.71bnQ4 24 net income: -579.00mQ4 24 EPS: -0.37Q4 24Q1 25 revenue: 9.30bnQ1 25 net income: 2.69bnQ1 25 EPS: 1.73Q2 25 revenue: 10.14bnQ2 25 net income: 3.04bnQ2 25 EPS: 1.95Q2 25Q3 25 revenue: 10.85bnQ3 25 net income: 3.48bnQ3 25 EPS: 2.23Q4 25 revenue: 10.36bnQ4 25 net income: 2.14bnQ4 25 EPS: 1.37Q4 25Q1 26 revenue: 10.15bnQ1 26 net income: 2.44bnQ1 26 EPS: 1.56Q2 26 revenue: 11.19bnQ2 26 net income: 2.82bnQ2 26 EPS: 1.81Q2 26

Revenue Net incomeEPS (GAAP) (-0.37–2.23, own scale) Derived Q4

12 quarters to Q2 26. Revenue and net income share one scale, so the gap between them is the margin. The baseline is zero — bars below it are losses. The line is GAAP EPS — it spans every quarter shown, where the reported figure only goes back as far as the consensus feed does.

Quarter endingRevenueYoY Net incomeEPS (GAAP) EPS reportedvs consensus Filed
2026-06-30 11.19bn +10.4% 2.82bn 1.81 2.20 +4.4% 2026-07-24
2026-03-31 10.15bn +9.1% 2.44bn 1.56 1.96 +4.1% 2026-04-24
2025-12-31 (derived) 10.36bn +6.8% 2.14bn 1.37 1.69 -3.4% 2026-02-06
2025-09-30 10.85bn +9.4% 3.48bn 2.23 2.24 +3.8% 2025-10-24

Earnings response

Typical move around a filing ±1.9%
On an ordinary two days ±1.1% — filings move it 1.7× as much
Direction 6 up, 6 down over 12 filings
Revenue change and price reaction, by quarter
Q3 22 revenue -1.1% year on yearQ3 22 filed 2022-10-27: price +3.3%Q1 23 revenue +3.5% year on yearQ1 23 filed 2023-04-26: price +0.1%Q1 23Q2 23 revenue +14.5% year on yearQ2 23 filed 2023-07-27: price +1.7%Q3 23 revenue +13.8% year on yearQ3 23 filed 2023-10-26: price -2.8%Q3 23Q1 24 revenue +9.7% year on yearQ1 24 filed 2024-04-26: price -0.5%Q2 24 revenue +5.6% year on yearQ2 24 filed 2024-07-25: price +1.7%Q2 24Q3 24 revenue +8.4% year on yearQ3 24 filed 2024-10-24: price -1.2%Q1 25 revenue +5.8% year on yearQ1 25 filed 2025-04-24: price +1.3%Q1 25Q2 25 revenue +7.1% year on yearQ2 25 filed 2025-07-25: price -2.1%Q3 25 revenue +9.4% year on yearQ3 25 filed 2025-10-24: price -2.8%Q3 25Q1 26 revenue +9.1% year on yearQ1 26 filed 2026-04-24: price -4.9%Q2 26 revenue +10.4% year on yearQ2 26 filed 2026-07-24: price +2.4%Q2 26

Revenue up year on year Revenue down Price move around the filing separate scales — a crossing means nothing

Quarter endingFiledRevenue YoY Move around filingNext 20 sessions vs SPY
2026-06-30 2026-07-24 +10.4% +2.4%
2026-03-31 2026-04-24 +9.1% -4.9% +7.9%
2025-09-30 2025-10-24 +9.4% -2.8% +1.0%
2025-06-30 2025-07-25 +7.1% -2.1% +5.2%

Share count

Diluted shares over time

Diluted shares Return since the previous filing

Direction Flat — little net change
Diluted shares 1,560.0M as at 2026-06-30
Change over 1 year +0.1%
Change over 3 years +0.5%
Public float $283.00bn as at 2025-06-30 (10-K)

The Pricewhat the chart is doingTop ↑

Price Levels

StrategyFair Value Anchor
Reference band 173.05 — 187.12
Protective stop 169.14 (Atr, 6.1% risk)
Support 185.77 (3 touches, 0.2% away)
Resistance 186.26 (0.0% away)

Takeaway The shares are nearer the ceiling than the floor: about 0.0% below 186.26, where sellers have turned up before, and 0.2% above 185.77, where buyers have stepped in before. That floor has held 3 times, which is how it was spotted. If someone bought at today's price and sold if it dropped through the level below, they would be about 6.1% out of pocket. That is all this figure means — an illustration of the risk, not a price to sell at.

Levels are computed from price structure. They describe where the engine locates support and extension — they are not targets, and not advice.

Ichimoku Cloud (Adaptive)

Daily cloudPrice BELOW the cloud | periods 8/24/47 (91% of classic 9/26/52)
LinesTenkan/Kijun BULL | cloud twist BEAR
Cloud eventFresh down breakout 2d ago
Cloud thickness32% percentile (thin — little structure to fight through)
Chikou spanAbove price from 26 periods ago
Weekly cloudPrice ABOVE the weekly cloud (context only, not scored)

Takeaway The stock is trading below its cloud — a shaded band drawn from several of its own moving averages, currently 186.29 to 190.03. Being below it means the medium-term picture is pointing downwards, and that band is the first hurdle it would have to climb back through. Its shorter-term averages point the other way, so this is a mixed reading rather than a clear one.

Trailing returns

21 days +5.8%
63 days -0.4%
126 days +1.9%
252 days +9.3%
Below 252d high7.0%

Trend context

PositionAbove trend
ExtensionExtremely extended
Trend slopeFlat
Direction of travelHolding its deviation

Takeaway Extreme upside extension above Kalman fair trend; entry risk is elevated.

Volatility

State No recent compression
Current band width8.5% of price
Recent tightest8.5% (0 sessions ago, narrower than 76.0% of its history)
Expansion since1.00×
Band 182.85 — 198.99

Takeaway Lately this share price has been swinging around inside a range roughly 8% wide. That is normal for this stock, so there is nothing unusual to read into it either way.

Historical trends

0255075100Share price 175.95–200.172026-06-262026-08-12
Position Health Business Conviction Share price

History begins when the site started recording, not when the company listed, so a short line means a short record and nothing more.

Repair Pathway

  1. Nearest Trigger Relative momentum rank above 0.55 +0.07 rank relative momentum leadership is not yet strong enough for the next action tier · Broadly stable
  2. Trigger 2 Volume confirmation above 1.2x +0.20x volume confirmation would improve confidence in the pathway · Broadly stable
  3. Trigger 3 MACD bullish crossover repair trigger repair engine identifies this as the nearest technical repair catalyst · Broadly stable
  4. Trigger 4 RSI recovery above 50 secondary repair secondary repair catalyst could add confirmation if the primary trigger develops · Deteriorating rapidly
  5. Trigger 5 EMA20 reclaim +1.2% gap is deteriorating · Broadly stable

Who's Tradingthe flow behind the priceTop ↑

Insider activity

ActivityNo filings in the window
Buy filings0
Sell filings0

Open-market Form 4 purchases and sales over the last 75 days, read from SEC EDGAR Form 4. Grants, option exercises, gifts and shares withheld for tax are excluded — they are compensation mechanics, not a decision to buy or sell. Reported Form 4 activity. Brown Bear tested insider cluster-buying as a return signal and rejected it as era-unstable; shown as fact, not signal.

Volume confirmation

Volume-price trend Below its signal line
Confirmation Marginal

No absorption or distribution event in the recent window.

Takeaway The heaviest trading has been happening on days when the price falls: when large numbers of shares change hands, the price has tended to go down rather than up. That tells you where the weight of trading has been. It does not tell you what happens next, and it is not a signal to sell.

Options Positioning

No binary-event flag

PM: no binary-event flag. Near IV 27%, far IV 29% (ratio 0.96), implied move 3.4%.

Implied volatility 27% near (9d) · 29% far (65d)
Term structure 0.96× near/far
Historical volatility 32%
Implied vs historical 0.87×
Implied move ±3.4% by 2026-08-21
Implied move vs ATR 0.49×
Skew Put Skew (1.18×)
Put wall 90.00 (-51.7% away)
Gamma pin 90.00

Takeaway Insuring against a move in this stock costs less for the next few weeks than for the next few months, which is the normal state of affairs and suggests no particular date is worrying anyone. Options traders are positioned for a move of around 3.4% in either direction by 2026-08-21.

Chain as at 2026-08-12. This is a risk read on whether a specific event is being priced — not a directional view.

Context & Methodthe record, and how it was builtTop ↑

Relative Rotation

ImprovingLeadingLaggingWeakeningvs sectorvs SPYsector vs SPYRS-Ratio →RS-Momentum →

Stock Rotation Headwind

Rotation health 4.5/100; Severe Rotation Headwind.

Rotation health 4.5
Rotation strength 85.7
LegQuadrantRS-RatioRS-Mom
Stock vs sector Lagging 84.6 86.1
Stock vs SPY Lagging 83.7 86.1
Sector vs SPY Lagging 84.3 87.1

Direction of travel: South-West / deteriorating rotation

Position only. Brown Bear's RRG redesign programme is closed — five constructions, none beat an appropriate null — so this section describes where the name sits, and is not a signal.

News Headlines

  1. Loading headlines\u2026

Headlines are supplied by third-party feeds and are not written, ranked or interpreted by Brown Bear. They feed no score on this page.

Detailed Scoring

Positive signals

  • Piotroski F-score 6/9 (+15.0)
  • Altman Z-score 4.27 (+8.0)
  • Gross margin quality: 67.5% (+17.4)
  • ROIC quality: 35.3% (+26.0)
  • FCF margin quality: 30.1% (+20.0)
  • Gross margin improving by 2.7 pts (+2.0)
  • FCF margin improving by -2.2 pts (+-3.0)
  • High earnings quality (accrual ratio -0.013) (+2.0)
  • Track 1: 20-day momentum acceleration 0.03 (+3.0)
  • Track 1: bullish DI spread 0.2 (+1.0)
  • Track 1: relative momentum rank 0.48 (+0.3)
  • Track 1: price above EMA50 by 0.6% (+0.3)
  • Track 1: EMA50 slope improving 0.8% (+1.5)
  • Track 1: EMA50 support proximity 0.6% (+4.5)
  • Track 1: EMA200 support proximity 6.9% (+2.1)
  • Track 1: Bollinger position 0.21 (+6.3)

Negative signals

  • Track 1: weak MACD histogram (-1.12)
  • Track 1: weak volume confirmation (0.52x average)
  • Relative strength versus sector deteriorating
  • Track 1: price below EMA20 by 1.2%
  • Track 1: EMA20 slope deteriorating -0.5%
  • Track 1: MACD histogram deteriorating (-0.27)
  • Track 1: weak MACD line/signal structure (-5.0)
  • Track 1: MACD slope deteriorating (-5.0)
  • Track 1: RSI deterioration/extension 41.9, 5-day change -7.0
  • Track 1: weak VPT confirmation (-0.01)
  • ROIC improving by -0.6 pts (+-5.0)

Chase risk is not elevated for this name, so extension penalties are omitted from the negative signals above.