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Philip Morris International Inc.

PM · Consumer Defensive · · USD
182.11 USD
+0.00 (6.50%)
● Updated 2026-05-12 11:48 Saudi Time ↻ Refresh
Short-term Mid-term Long-term

Fahodi Score HOLD Long-term (Investment)

59
/ 100
Technical 80
Trend & RS 71
Momentum 69
Fundamental 44
Macro 65
Liquidity 63
ComponentScoreWeight
Technical 80.0 10%
Trend & RS 70.6 10%
Momentum 69.0 5%
Fundamental 44.4 40%
Macro 65.1 15%
Liquidity 62.6 20%

Trade Setup

Entry 182.11
Stop Loss 172.69 (5.2%)
Target 1 (1:1) 191.53 (+5.2%)
Target 2 (2:1) 200.95 (+10.3%)
ATR(14) 4.71 (2.6%)
Risk per Share 9.42
Reward:Risk 2:1

ATR-based levels. Adjust for support/resistance zones.

Factor Profile

Factor Score Z Bar
Value 54.1 +0.16
Momentum 69.0 +0.76
Quality 43.5 -0.26
Composite 55.5

Quality Scores

Piotroski F-Score 4 /9 — Average
1. Positive Net Income 2. Positive Roa 3. Positive Cfo 4. Quality Earnings 5. Lower Leverage 6. Higher Liquidity 7. No Dilution 8. Higher Gross Margin 9. Higher Asset Turnover
Altman Z-Score Insufficient Data

Valuation vs Peers Overvalued

MetricStockSectorvs Peers
P/E Ratio 25.6 18.0 +42% above
P/B Ratio -28.4 2.5 Inline
Dividend Yield 3.2% 2.0% Above avg

Comparing against Consumer Defensive median multiples.

Trading at a premium to sector peers — verify growth justifies premium.

Intrinsic Value (DCF) Significantly Overvalued

Intrinsic Value
118.46
vs
Market Price
182.11
Upside
-35.0%
Margin of Safety -53.7%
Stage 1 PV (5yr FCF)44,385,043,763
Terminal Value PV140,240,450,097
Total Enterprise Value184,625,493,860

Assumptions

Base FCF8,852,613,935
Growth Rate (5yr)9.1%
Terminal Growth2.5%
Discount Rate (WACC)9.0%

2-stage DCF: 5yr projected FCF + Gordon Growth terminal value. Estimates only — adjust growth and WACC for your own assumptions.

Position Sizing — Kelly Criterion

4.5%
Recommended Size
38.51%
Full Kelly
19.26%
Half Kelly
5.0%
Max Cap (Moderate)

Kelly inputs derived from quant score 59/100. Estimated win rate 58%, avg win 8.5%, avg loss 3.8%. Position was capped at the moderate risk maximum. This is analytical output, not a recommendation to trade.

BEAR Regime: BEAR (20% confidence) — position size reduced 10%

Signal Summary STRONG BUY

4
Bullish Signals
1
Bearish Signals
69.79
RSI(14)
2.8121
MACD

Relative Strength (RS) NEUTRAL

51
/ 99
RS Rating
O'Neil filter: <80
RS vs SPY → FLAT (-5.8% vs SPY 3M)
RS vs Sector INLINE (Consumer Defensive)
RS New High No (60d since high)
Sector Outperformance +9.4% (3M)
RS Line — stock / SPY (90 bars)
← older newer →
RS vs SPY 50-day SMA of RS
NEUTRAL: In line with the market — no strong outperformance or underperformance.

Technical Indicators

IndicatorValueSignal
Rsi 69.79 NEUTRAL
Macd 2.8121 BULLISH
Ma Cross 165.62 / 161.93 GOLDEN CROSS
Trend Short ABOVE SMA50
Trend Long ABOVE SMA200
Bollinger UPPER BAND
Volume 1.44x NORMAL

Key Levels

LevelPrice
52-Week High191.30
Bollinger Upper178.34
SMA(200)161.93
SMA(50)165.62
SMA(20)164.66
Current Price182.11
Bollinger Lower150.97
52-Week Low142.11
ATR(14)4.71

Advanced Technical Analysis

Click to expand

Wyckoff Phase & Volume Spread Analysis

Wyckoff Phase

ACCUMULATION E Confidence
50%
Acc: 1.0  |  Dist: 1.0  |  Markup: 0.0  |  Markdown: 0.0

Volume Spread Analysis (last 5 bars)

DateSignalVolDescription
2026-05-05 Normal 0.89x Normal bar — no special VSA pattern
2026-05-06 Normal 0.94x Normal bar — no special VSA pattern
2026-05-07 Normal 0.89x Normal bar — no special VSA pattern
2026-05-08 Normal 0.96x Normal bar — no special VSA pattern
2026-05-11 Normal 1.44x Normal bar — no special VSA pattern

Ichimoku Cloud BULLISH

LineValueStatus
Tenkan-sen (9) 172.11 Above Kijun
Kijun-sen (26) 167.73 Base line
Senkou A 169.92 Leading span A
Senkou B 170.10 Leading span B
Cloud 169.92 – 170.10 Bearish (Red)
Price vs Cloud 182.11 Above Cloud
Chikou Span 160.34 Bullish
Alignment Score 3/4 BULLISH

TTM Squeeze & Divergences

TTM Squeeze

SQUEEZE OFF No squeeze Momentum: BULLISH
BB: 150.97 – 178.34  |  KC: 157.56 – 171.76

Divergences (last 60 bars)

TypeIndicatorBars AgoStrength
Regular Bullish RSI 15
Hidden Bearish RSI 21

Anchored VWAP

VWAP: 163.57 Anchor: 2025-11-03 (52w Low) ABOVE AVWAP +11.3%

Heikin-Ashi Trend

BULLISH Full data via /api/advanced/PM

Valuation

MetricValue
Market Cap283.83B
P/E (TTM)25.65
Forward P/EN/A
P/B-28.37
EPS7.10

Financial Health

MetricValue
Revenue Growth9.1%
Profit Margin26.7%
ROEN/A
Debt/EquityN/A
Current Ratio0.98
Dividend Yield3.2%
Payout RatioN/A
Beta0.39

Trading Data

182.11
Open
182.11
Day High
182.11
Day Low
5.36M
Volume (1.1x avg)

Recent News (8)

These Are the 10 Largest Consumer Staples Stocks in May -- How to Pick the Top Investments
Motley Fool · 2026-05-12
Is It Too Late To Consider Philip Morris International (PM) After Strong Multi‑Year Share Gains?
Simply Wall St. · 2026-05-11
Philip Morris Stock: Is Wall Street Bullish or Bearish?
Barchart · 2026-05-05
Want Passive Income For Life? 2 Dividend Stocks to Buy and Never Sell
Motley Fool · 2026-05-05
Vaping industry shares jump as Trump reportedly demands FDA approve flavored vapes
Investing.com · 2026-05-05
Is Philip Morris (PM) Quietly Repricing Risk to Power Its Smoke‑Free Pivot?
Simply Wall St. · 2026-05-05
A Look At Philip Morris International’s Valuation As Shares Show Recent Short Term Momentum
Simply Wall St. · 2026-05-05
The Zacks Analyst Blog Highlights Philip Morris International, Honeywell, Starbucks and United-Guardian
Zacks · 2026-05-04

Price Chart (90 Days)

Candlesticks (green=up, red=down) SMA 20 SMA 50 Bollinger Bands (upper/lower) Volume (green=buying, red=selling)
Powered by Fahodi Methodology. This is analytical output, not financial advice. Always do your own due diligence.  ·  Pipeline status  ·  Data: —