Philip Morris International Inc (PM) carries a ŷRobot AI score of 67 out of 100. The model's fair value estimate is $209.17, 7.9% above the last close of $193.94. The chart signal reads Bearish.
| Metric | PM |
|---|---|
| AI score | 67 / 100 |
| Chart signal | Bearish |
| Fair value estimate | $209.17 |
| Upside to fair value | 7.9% |
| Previous close | $193.94 |
| P/E | 26.18 |
| Price / sales | 6.87 |
| Market cap | $296.88B |
| EPS | 7.33 |
| Revenue growth | 8.1% |
| 1-year price change | 8.4% |
How these numbers are built: the AI score, the fair value model, and the chart signal.
Other Consumer Defensive stocks: Walmart Inc., Costco Wholesale Corp, The Coca-Cola Company, Procter & Gamble Company, PepsiCo Inc, Anheuser Busch Inbev NV ADR.
As of Sep 29, 2026, ŷRobot's fair-value model estimates Philip Morris International Inc (PM) at $209.17 against a last close of $193.94, implying 7.9% upside to the model's estimate.
The chart-signal model classifies PM as Neutral as of Sep 29, 2026, with a signal score of -0.08 on a -1 to 1 scale.
PM scores 67 out of 100 on ŷRobot's AI composite, which measures how strongly the fair-value and chart models agree, as of Sep 29, 2026.
PM trades at 26.2 times earnings and 6.9 times sales as of Sep 29, 2026.
ŷRobot's seasonal forecast curve for PM reads +0.8% at 30 days, -0.4% at 90 days, and +8.4% at one year as of Sep 29, 2026. Seasonal tendencies are historical patterns, not predictions.
Philip Morris International Inc's revenue growth is +8.1% and free-cash-flow growth is +0.7% on the latest reported figures.
PM chart and technical read · All covered stocks
ŷRobot analysis is AI-generated and quality-gated; nothing here is investment advice.