Investor Alert

Philip Morris International Inc.



After Hours

 --Quotes are delayed by 20 min

Sep 22, 2020, 7:59 p.m.





+0.09 +0.12%


Volume 102,932

Quotes are delayed by 20 min


Today's close

$ 77.83

$ 77.01


-0.82 -1.05%

Day low

Day high




52 week low

52 week high




Annual Financials for Philip Morris International Inc.


Fiscal year is January-December. All values USD millions. 20152016201720182019 5-year trend
Cash & Short Term Investments 3.42B4.24B8.45B6.59B6.87B
Cash Only 3.42B4.24B8.45B6.59B6.87B
Short-Term Investments -----
Total Accounts Receivable 2.78B3.5B3.74B3.56B3.72B
Accounts Receivables, Net 2.78B3.5B3.19B2.95B3.08B
Accounts Receivables, Gross 2.84B3.54B3.22B2.98B3.1B
Bad Debt/Doubtful Accounts (58M)(42M)(25M)(25M)(20M)
Other Receivables --544M614M637M
Inventories 8.47B9.02B8.81B8.8B9.24B
Finished Goods 4.22B4.95B4.64B5.08B5.59B
Work in Progress -----
Raw Materials 4.25B4.07B4.17B3.72B3.65B
Progress Payments & Other -----
Other Current Assets 1.14B853M603M481M697M
Miscellaneous Current Assets 1.14B853M603M481M697M
Total Current Assets 15.8B17.61B21.59B19.44B20.51B
20152016201720182019 5-year trend
Net Property, Plant & Equipment 5.72B6.06B7.27B7.2B7.4B
Property, Plant & Equipment - Gross 11.77B12.36B14.57B14.56B15.21B
Buildings 3.36B3.47B3.99B3.98B4.13B
Land & Improvements 583M590M639M600M566M
Computer Software and Equipment -----
Other Property, Plant & Equipment -----
Accumulated Depreciation 6.05B6.3B7.3B7.36B7.82B
Total Investments and Advances 890M1.01B1.07B1.27B4.64B
Other Long-Term Investments -----
Long-Term Note Receivable -----
Intangible Assets 10.04B9.79B10.1B9.47B7.97B
Net Goodwill 7.42B7.32B7.67B7.19B5.86B
Net Other Intangibles 2.62B2.47B2.43B2.28B2.11B
Other Assets 1.5B1.52B1.92B1.45B1.21B
Tangible Other Assets 1.46B1.48B1.88B1.41B1.16B
Total Assets 33.96B36.85B42.97B39.8B42.88B

Liabilities & Shareholders' Equity

20152016201720182019 5-year trend
ST Debt & Current Portion LT Debt 3.23B3.22B3.01B4.78B4.58B
Short Term Debt 825M643M499M730M532M
Current Portion of Long Term Debt 2.41B2.57B2.51B4.05B4.05B
Accounts Payable 1.29B1.67B2.24B2.07B2.3B
Income Tax Payable 1.18B832M812M576M796M
Other Current Liabilities 9.69B10.75B9.9B9.76B11.16B
Dividends Payable 1.59B1.62B1.67B1.78B1.83B
Accrued Payroll 903M800M856M794M1.04B
Miscellaneous Current Liabilities 7.2B8.33B7.38B7.19B8.28B
Total Current Liabilities 15.39B16.47B15.96B17.19B18.83B
Long-Term Debt 25.25B25.85B31.33B26.98B27.23B
Long-Term Debt excl. Capitalized Leases 25.25B25.85B31.33B26.98B26.66B
Non-Convertible Debt 25.25B25.85B31.33B26.98B26.66B
Convertible Debt -----
Capitalized Lease Obligations -----
Provision for Risks & Charges 2.57B2.8B2.27B3.08B3.63B
Deferred Taxes 1.54B1.04B(208M)(79M)(245M)
Deferred Taxes - Credit 1.54B1.9B799M898M908M
Deferred Taxes - Debit -859M1.01B977M1.15B
Other Liabilities 687M736M2.83B2.39B1.87B
Other Liabilities (excl. Deferred Income) 687M736M2.83B2.39B1.87B
Deferred Income -----
Total Liabilities 45.43B47.75B53.2B50.54B52.47B
Non-Equity Reserves -----
Preferred Stock (Carrying Value) -----
Redeemable Preferred Stock -----
Non-Redeemable Preferred Stock -----
Common Equity (Total) (13.24B)(12.69B)(12.09B)(12.46B)(11.58B)
Common Stock Par/Carry Value -----
Retained Earnings 29.84B30.4B29.86B31.01B30.99B
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain (6.13B)(6.09B)(5.76B)(6.5B)(5.54B)
Unrealized Gain/Loss Marketable Securities -----
Revaluation Reserves -----
Treasury Stock (35.61B)(35.49B)(35.38B)(35.3B)(35.22B)
Total Shareholders' Equity (13.24B)(12.69B)(12.09B)(12.46B)(11.58B)
Accumulated Minority Interest 1.77B1.79B1.86B1.72B1.98B
Total Equity (11.48B)(10.9B)(10.23B)(10.74B)(9.6B)
Liabilities & Shareholders' Equity 33.96B36.85B42.97B39.8B42.88B
Trending Tickers
  • /quotes/zigman/17636479/composite VUZI+15.60%
  • /quotes/zigman/237947/composite JCP-5.83%
  • /quotes/zigman/59392505/composite NUGT-2.93%
  • /quotes/zigman/59386294/composite JNUG-5.94%
  • /quotes/zigman/65801738/composite TLT+1.11%
Powered by StockTwits
Link to MarketWatch's Slice.