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Philip Morris International Inc. (PM) research

Philip Morris International Inc.
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Sector
Consumer Staples
Industry
Tobacco
Last price
$191.50
As of

Philip Morris International Inc. (PM): 6 institutional managers tracked by Kresmion reported non-option positions in their 2026Q2 Form 13F filings, and the most recent SEC filing on record for the company is a Form 8-K filed 2026-09-18.

As of . Source: SEC EDGAR filings for PM. Method and limitations.

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You are seeing 5 of 29 signals recorded on PM since 2026-08-16.

The five above landed across 2 days. The other 24 were recorded on 1 other days. 28 of the 29 are institutional flow rows, which arrive in batches on filing days.

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Largest reported share positions in PM (2026Q2)

Manager / securityMarket value% portfolioQoQ
MILLENNIUM MANAGEMENT LLCCUSIP 718172109 · 2026Q2$163M0.06%,
CITADEL ADVISORS LLCCUSIP 718172109 · 2026Q2$125.7M0.01%,
Point72 Asset Management, L.P.CUSIP 718172109 · 2026Q2$34M0.04%,
D. E. Shaw & Co., Inc.CUSIP 718172109 · 2026Q2$33.7M0.02%,
SOROS FUND MANAGEMENT LLCCUSIP 718172109 · 2026Q2$20.3M0.25%,
TWO SIGMA INVESTMENTS, LPCUSIP 718172109 · 2026Q2$7.4M0.01%,

Quarterly SEC Form 13F disclosures from the managers Kresmion tracks, not a complete ownership ranking. Non-option holdings only; reported put and call positions are excluded. Different securities are labeled by CUSIP. Values are reporting-period snapshots, not current position values. Filings can arrive up to 45 days after quarter-end.

Recent SEC filings, PM

PM mentioned in Kresmion daily briefs

PM against its peers

PM's operating margin of 36.6% ranks in the 83rd percentile of 14 Tobacco sub-industry peers, fiscal periods ending between 2025-10-31 and 2026-06-30.

MetricPMPeer medianPercentilen
Revenue FY40.6B USD20.9M USD9715
Revenue YoYn/a-1.0%n/a8
Gross margin67.1%29.3%8812
Operating margin36.6%-3.9%8314
Net margin27.9%-28.7%8415
Return on equityn/a2.3%n/a11
P / E26.4x16.7x755

Peers (16): BTI, MO, RLX, TPB, UVV, PYYX, ISPR, HCMC, RYM, CHUC, VPRB, GNLN, LIFD, XXII, KAVL, CBDW. Left out: AIIR (no annual filing), GRLF (no annual filing). Fiscal periods ending between 2025-10-31 and 2026-06-30. Every figure is one full fiscal year read from one annual filing (PM: 10-K), reported in USD. Nothing is trailing twelve months and nothing is converted between currencies. Source: SEC EDGAR XBRL company facts (public domain); prices from Kresmion's daily equity market-data snapshot. Open the full comparison.

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