NYSE · Stocky rates: Hold

Philip Morris International Inc (PM)

$188.51 ▼ -0.22% as of 6 Aug, 19:36

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64
/ 100
Hold

What Stocky thinks

Hold. PM's balanced 69/100 Growth and 67/100 Value scores reflect stable 3–5% organic growth offset by secular tobacco headwinds and execution risk on next-gen products (IQOS/Zyn). Leadership alignment (68/100) is adequate but not compelling; regulatory uncertainty remains a structural drag. At 20.5× forward P/E, the stock fairly prices a mature cash cow with modest upside—suitable for income-focused portfolios, not growth.

Compounder Score
69/100
Business quality — profitability, growth, capital efficiency.
Leadership Alignment
68/100
Founder-led, insider ownership, capital allocation history.
Vulnerability
67/100
Downside resilience — customer concentration, supply chain, refinancing risk.
Value Score
60/100
Valuation vs peers and history — is this a good price to pay?

What Stocky gives investors that other tools don't

Every stock is scored across six proprietary dimensions built for retail investors who want Buffett-quality analysis without a Bloomberg subscription. Here's the actual snapshot for Philip Morris International Inc:

64
VERDICT

Stocky Verdict — one score, everything

Quality + moat + leadership + valuation + sentiment fused into a single 0–100 number. When you see 64/100, you know instantly whether to dig deeper or skip.

Rated
MOAT

Moat Score — is there a real edge?

Pricing power, switching costs, network effects, and 10-year ROIC data. Same framework Morningstar charges for — free inside Stocky.

68
LEADER

Leadership Alignment — is management on your side?

Founder tenure, insider ownership, CEO pay reasonableness, long-term value creation. Six factors, one score — turns "trust the CEO" into evidence.

67
RISK

Vulnerability Profile — what could break?

Customer concentration, supply chain, refinancing walls, regulatory exposure. Stocky maps knowable fragilities so you're never blindsided.

Elite
TRACK

Track Record — does the system work?

Every score backtested against real S&P 500 returns. See how "Elite" (90+ Verdict) picks have performed vs the index — no black boxes.

24/7
ALERTS

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Analyst target shifts, insider buys, big moves — plus a monthly Portfolio Health Report telling you what's actually driving your returns.

Philip Morris International Inc (PM) — frequently asked

Is Philip Morris International Inc (PM) a good investment right now?

Stocky rates Philip Morris International Inc (PM) at 64/100 — a Hold — quality is solid but valuation or risk factors cap upside. The score fuses business quality, moat width, leadership alignment, valuation and analyst signal into a single number. Hold. PM's balanced 69/100 Growth and 67/100 Value scores reflect stable 3–5% organic growth offset by secular tobacco headwinds and execution risk on next-gen products (IQOS/Zyn). Leadership alignment (68/100) is adequate but not compe

What is PM's Stocky Verdict?

PM's current Stocky Verdict is 64/100, placing it in the "Hold" band. This composite combines a 69/100 Compounder score, 68/100 Leadership, Moat rating, and analyst signal.

Does Philip Morris International Inc have a competitive moat?

Stocky hasn't finalised a Moat Score for Philip Morris International Inc yet — the analysis draws from ROIC trends, pricing power evidence, and competitive-position filings.

Is Philip Morris International Inc's leadership aligned with shareholders?

Philip Morris International Inc scores 68/100 on Leadership Alignment. Higher = more founder involvement, higher insider ownership, sensible pay, and evidence of long-term capital allocation discipline.

What are the biggest risks to PM?

Philip Morris International Inc's Vulnerability Profile scores 67/100 (higher = more resilient). The profile flags customer concentration, supply chain, refinancing walls and regulatory risks specific to Philip Morris International Inc.

This is just the surface. See the whole picture on Philip Morris International Inc.

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STOCKY VERDICT
64
/ 100 · Hold

See Philip Morris International Inc the Stocky way

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Stocky Verdict
A plain-English Buy / Hold / Sell score out of 100.
Compounder & Value scores
How strong the business is — and whether it looks cheap.
Interactive charts
1M to 5Y price history with company events plotted on it.
Top analyst targets
What the best-rated Wall Street analysts expect next.
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