Monday, October 19, 2015

Philip Morris Intl. Inc. (PM)

Company Profile: Philip Morris International Inc., through its subsidiaries, manufactures and sells cigarettes, other tobacco products, and other nicotine-containing products. Its portfolio of brands comprise Marlboro, Merit, Parliament, Virginia Slims, L&M, Chesterfield, Bond Street, Lark, Muratti, Next, Philip Morris, and Red & White. 

Fundamentals:
Trailing P/E: 18.89
Forward P/E: 18.64
EPS: 4.65
Beta: 1.048
PEG: 4.98
P/S: 4.83
Profit Margin: 26.22%
Operating Margin: 40.89%
ROA: 20.93%
Qtrly Earnings Growth (yoy): -9.90%
Current Ratio: 1.00

Additional fundamental data: http://finance.yahoo.com/q/ks?s=PM

Technicals:
Recently broke out of a 28-month consolidation
New 52-week high
New all-time high
Buying momentum is positive and rising
Buying volume is neutral
Accumulation is rising and at a 5-year high
PM is outperforming the S&P 500 since July 2015
Support is at $86

The safety stop is at $84

The target is at $100

Note: If PM moves past the target, we suggest using a 3% trailing stop.

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