(PM) Philip Morris - Performance 79.9% in 12m
PM performance: live returns, drawdowns, peer ranking & SPY comparison from 1w to 5y, all in one clean chart-driven dashboard.
Performance Rating
94.81%
#2 in Peer-Group
Rel. Strength
91.67%
#643 in Stock-Universe
Total Return 12m
79.86%
#2 in Peer-Group
Total Return 5y
221.07%
#1 in Peer-Group
P/E | Value |
---|---|
P/E Trailing | 28.8 |
P/E Forward | 24.4 |
High / Low | USD |
---|---|
52 Week High | 183.57 USD |
52 Week Low | 97.59 USD |
Sentiment | Value |
---|---|
VRO Trend Strength +-100 | 9.00 |
Buy/Sell Signal +-5 | -0.46 |
Support / Resistance | Levels |
---|---|
Support | 155.5, 149.4 |
Resistance | 184.4, 178.9 |
12m Total Return: PM (79.9%) vs SPY (14.4%)

5y Drawdown (Underwater) Chart

Top Performer in Tobacco
Overall best picks of Peer Group - Selected by proven GARP Predictive Metrics, sorted by Growth Rating
Symbol | 1m | 12m | 5y | P/E | P/E Forward | PEG | EPS Stability | EPS CAGR |
---|---|---|---|---|---|---|---|---|
PM NYSE Philip Morris International |
-3.02% | 79.9% | 221% | 28.8 | 24.4 | 1.34 | 31.5% | 5.62% |
BMT XETRA British American Tobacco |
2.49% | 49.3% | 73% | 26.7 | 10.5 | 0.41 | 33.1% | -25.7% |
ITB XETRA Imperial Brands |
-3.32% | 45.8% | 75.4% | 9.5 | 8.59 | 0.88 | 40.2% | 69.3% |
BTI NYSE British American Tobacco |
5.99% | 64.2% | 81.6% | 26 | 10.2 | 0.39 | 44.8% | -29% |
TPB NYSE Turning Point Brands |
-3.64% | 120% | 208% | 27.7 | 22.2 | 0.05 | -11.4% | 3.82% |
Performance Comparison: PM vs SPY vs S&P 500
SPY (SPDR SP500 Trust ETF) is the Sector Benchmark for PM
Total Return (including Dividends) | PM | SPY | S&P 500 |
---|---|---|---|
1 Month | -3.02% | 4.99% | 4.99% |
3 Months | 13.49% | 10.23% | 10.23% |
12 Months | 79.86% | 14.42% | 14.42% |
5 Years | 221.07% | 110.17% | 110.17% |
Trend Score (consistency of price movement) | PM | SPY | S&P 500 |
---|---|---|---|
1 Month | -1.9% | 79.1% | 79.1% |
3 Months | 91.1% | 95.5% | 95.5% |
12 Months | 93.9% | 44.7% | 44.7% |
5 Years | 89.1% | 84% | 84% |
Relative Strength (compared with Indexes) | Rank in Peer Group | vs. SPY | vs. S&P 500 |
---|---|---|---|
1 Month | %th16.67 | -7.63% | -7.63% |
3 Month | %th58.33 | 2.95% | 2.95% |
12 Month | %th91.67 | 57.19% | 57.19% |
5 Years | %th91.67 | 52.76% | 52.76% |
FAQs
Does Philip Morris (PM) outperform the market?
Yes,
over the last 12 months PM made 79.86%, while its related Sector, the SPDR SP500 Trust (SPY) made 14.42%.
Over the last 3 months PM made 13.49%, while SPY made 10.23%.
Performance Comparison PM vs Indeces and Sectors
Above 0 means better perfomance compared to Symbol in this Timeframe
PM vs. Indices
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
US S&P 500 | SPY | -3.5% | -8% | 40.9% | 65% |
US NASDAQ 100 | QQQ | -3.1% | -8.4% | 39.4% | 66% |
German DAX 40 | DAX | -2.5% | -2.5% | 29.3% | 50% |
Shanghai Shenzhen CSI 300 | CSI 300 | -0.8% | -7.2% | 40.5% | 62% |
Hongkong Hang Seng | HSI | -1.6% | -10.1% | 22.4% | 43% |
India NIFTY 50 | INDA | -2.4% | -5% | 43.5% | 80% |
Brasil Bovespa | EWZ | -6.2% | -11% | 18% | 66% |
PM vs. Sectors
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
Communication Services | XLC | -3.5% | -8.7% | 36.6% | 54% |
Consumer Discretionary | XLY | -4.6% | -5.9% | 47.8% | 61% |
Consumer Staples | XLP | -3.8% | -2.9% | 41.5% | 70% |
Energy | XLE | -4.2% | -9.1% | 45.7% | 81% |
Financial | XLF | -3.7% | -6.6% | 37.7% | 52% |
Health Care | XLV | -2.4% | -5.5% | 48.4% | 85% |
Industrial | XLI | -4.4% | -7.2% | 34.1% | 56% |
Materials | XLB | -6.6% | -8.8% | 36.7% | 73% |
Real Estate | XLRE | -2.7% | -3.9% | 42.3% | 67% |
Technology | XLK | -3% | -12.1% | 37.9% | 68% |
Utilities | XLU | -2.2% | -2.6% | 39.7% | 57% |
Aerospace & Defense | XAR | -3.7% | -10.6% | 22.6% | 32% |
Biotech | XBI | -3.2% | -7.4% | 55% | 87% |
Homebuilder | XHB | -8.4% | -14.6% | 46.9% | 74% |
Retail | XRT | -6.2% | -8.5% | 46.1% | 70% |
PM vs. Commodities
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
Oil | USO | -4.4% | -11.7% | 49.4% | 87% |
Natural Gas | UNG | 1.4% | 5.6% | 57% | 86% |
Gold | GLD | -2% | -2.2% | 21.6% | 36% |
Silver | SLV | -2% | -8.2% | 24.2% | 57% |
Copper | CPER | -5.8% | -9.2% | 20.3% | 63% |
PM vs. Bonds
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
iShares 20+ Years Bond | TLT | -1.8% | -6.3% | 45.5% | 79% |
iShares High Yield Corp. Bond | HYG | -2% | -4.9% | 42.8% | 69% |