Stock fundamentals · FY2025 · SEC 10-K data

Philip Morris International Inc. (PM) stock fundamentals

Philip Morris International Inc. (PM) reported $40.6B in revenue and $11.8B in net income in fiscal 2025, a 29.1% net margin, per its latest SEC 10-K filing. It carries a market capitalization of about $283.1B at a delayed share price. It scores 62/100 on WealthyBud's Investor Score, ranking #24 of 100 covered companies. Score is research, not investment advice.

Revenue (FY2025)
$40.6B
▲ +7.3% YoY
Net income
$11.8B
29.1% net margin
Market cap
$283.1B
Price $181.62 · delayed
P/E ratio
23.9
Price / earnings
Return on equity
n/a
Net income / equity
Investor Score
62/100
#24 of 100 covered

Philip Morris International Inc. fundamentals at a glance

The table summarizes Philip Morris International Inc.'s key financial figures for fiscal 2025 — revenue, profitability, returns, growth and balance-sheet strength — each taken from the company's SEC 10-K filing.

Philip Morris International Inc. (PM) fundamentals — FY2025, from SEC 10-K
MetricValueDetail
Revenue$40.6B+7.3% YoY
Net income$11.8B29.1% margin
Gross margin67.1%Gross profit / revenue
Operating margin36.6%Operating income / revenue
Return on equityn/aNet income / equity
Return on assets17%Net income / assets
Revenue growth (YoY)+7.3%FY2024 to FY2025
Revenue 3-yr CAGR-20.4%Compound annual
Diluted EPS$7.27FY2025
Debt-to-equityn/aLong-term debt / equity
Current ratio0.96Current assets / liabilities
Cash & equivalents$4.9BBalance sheet
Total assets$69.2BFY2025 year-end
Shareholders’ equity−$8.0BFY2025 year-end
Share price$181.62Delayed · 2026-07-10
Market cap$283.1BPrice × shares outstanding
P/E ratio23.9Market cap / net income
P/S ratio7.0Market cap / revenue
Dividend yield3.11%Dividend / price

How profitable is Philip Morris International Inc.?

Philip Morris International Inc. runs a 29.1% net margin and 67.1% gross margin in fiscal 2025, turning $40.6B of revenue into $11.8B of profit. Return on equity is n/a and return on assets 17%.

Is Philip Morris International Inc. growing?

Philip Morris International Inc.'s revenue changed +7.3% in fiscal 2025 and compounded at -20.4% a year over three years, reaching $40.6B. Diluted earnings per share were $7.27 for the year.

Philip Morris International Inc. annual revenue, 2021–2025
Fiscal yearRevenueGrowth
2021$82.2Bn/a
2022$80.7B-1.9%
2023$35.2B-56.4%
2024$37.9B+7.7%
2025$40.6B+7.3%

How is Philip Morris International Inc. valued?

Philip Morris International Inc. carries a market capitalization of $283.1B at a delayed share price of $181.62, trading at a 23.9 price-to-earnings ratio and 7.0 price-to-sales with a 3.11% dividend yield. Its Value subscore is 56/100 across the covered universe.

How financially healthy is Philip Morris International Inc.?

Philip Morris International Inc. ended fiscal 2025 with $4.9B in cash, a debt-to-equity ratio of n/a and a current ratio of 0.96. Lower leverage and a current ratio above 1.0 signal a stronger balance sheet.

What is Philip Morris International Inc.'s Investor Score?

Philip Morris International Inc. scores 62/100 on WealthyBud's Investor Score, #24 of 100 covered companies as of 2026-07-10. The score blends growth, profitability, returns on capital, balance-sheet strength and value into one percentile. It is a research opinion, not investment advice.

Investor Score
62/100
#24 of 100 covered companies
Growth
46
Profitability
80
Returns on capital
87
Balance-sheet strength
32
Value (valuation)
56

Subscores are percentile ranks (0–100) across the 100 covered companies, computed from the SEC fundamentals and delayed market price cited on this page. Data-derived opinion, not investment advice.

Philip Morris International Inc. (PM) stock FAQ

How much revenue does Philip Morris International Inc. make?
Philip Morris International Inc. (PM) reported $40.6B in revenue in fiscal 2025, +7.3% versus the prior year, according to its SEC 10-K filing. Over the past three years its revenue has compounded at -20.4% a year.
Is Philip Morris International Inc. profitable?
Yes. Philip Morris International Inc. earned $11.8B in net income in fiscal 2025, a 29.1% net margin. Its return on equity was n/a and return on assets 17%, based on figures from its latest 10-K.
How fast is Philip Morris International Inc. growing?
Philip Morris International Inc.'s revenue changed +7.3% year over year in fiscal 2025 and compounded at -20.4% annually over three years. Growth is one of four inputs to its WealthyBud Investor Score, scored 46/100 versus the covered universe.
What is Philip Morris International Inc.'s market cap and P/E ratio?
Philip Morris International Inc. has a market capitalization of $283.1B at a delayed share price of $181.62, trading at a price-to-earnings ratio of 23.9 and price-to-sales of 7.0. Its dividend yield is 3.11%. Prices are delayed and illustrative.
What is Philip Morris International Inc.'s WealthyBud Investor Score?
Philip Morris International Inc. scores 62/100, ranking #24 of 100 covered companies as of 2026-07-10. The score is a percentile blend of growth (46), profitability (80), returns on capital (87), balance-sheet strength (32) and value (56). It is a research opinion, not investment advice.
Where does this Philip Morris International Inc. financial data come from?
Fundamentals come from Philip Morris International Inc.'s annual report (Form 10-K) filed with the SEC, via the public-domain EDGAR database. The share price used for market cap, P/E and yield is a delayed end-of-day quote, shown as illustrative; a production site would use a licensed real-time market-data feed.
Fundamentals are drawn from Philip Morris International Inc.’s FY2025 Form 10-K filed with the SEC (EDGAR, public domain), retrieved 2026-07-10. Share price is a delayed end-of-day quote; market cap, P/E, P/S and dividend yield are illustrative and not real-time. The Investor Score is a data-derived research opinion. Not investment advice.

Marcus Bell Real Estate Market Analyst

Marcus Bell leads market and career research at WealthyBud, turning public housing and labor data into plain-English answers for investors and agents. He focuses on U.S. metro housing markets, agent economics and licensing.