May 26, 2025 a 09:00 pm

PM: Analysts Ratings - Philip Morris International Inc.

Philip Morris International Inc. Stock Analysis

Philip Morris International Inc. stocks present a diversified outlook with a current trend towards strong buy and buy recommendations dominating the sentiment. The consistent move towards smoke-free products indicates a robust strategic shift aimed at longevity and market expansion beyond traditional tobacco sectors. As the company navigates a transformational phase, the analyst sentiment remains cautiously optimistic, suggested by a moderate mix of hold ratings.

Historical Stock Grades

The latest analyst ratings as of May 2025 for Philip Morris International Inc. reflect a strong inclination towards buying, with 'Strong Buy' and 'Buy' making up the majority of recommendations. The stability in these ratings amidst zero sell recommendations is indicative of a generally positive long-term outlook.

Recommendation Count Score
Strong Buy 5
Buy 8
Hold 3
Sell 0
Strong Sell 1
Analyst Ratings History Image Stock Chart Image

Sentiment Development

The progression of analyst recommendations over the past months signifies a consistent preference for 'Buy' ratings, although with a subtle yet persistent mix of 'Hold' and occasional 'Strong Sell' recommendations. Trends indicate a stable sentiment with minimal fluctuations in overall rating counts.

  • Stable core in 'Strong Buy' and 'Buy' with fluctuations primarily in 'Hold' ratings.
  • Minimal 'Sell' ratings, emphasizing a lack of bearish outlook at this point.
  • Significant reduction in 'Strong Sell' from earlier points in the year, indicating growing confidence.

Percentage Trends

Throughout recent months, although 'Strong Buy' and 'Buy' continue to dominate, there's a noticeable consolidation as 'Hold' recommendations subtly increase. The data suggests a careful reevaluation by analysts, possibly influenced by market dynamics and strategic company shifts.

  • Consistent 'Strong Buy' and 'Buy' ratings, making up approximately 70% of total recommendations.
  • Slight but steady rise in 'Hold' over the year, moving from 15% to 20% of total ratings.
  • Insignificant presence of 'Sell' and notable decrease in 'Strong Sell,' enhancing the overall bullish sentiment.

Latest Analyst Recommendations

Recent adjustments in analyst recommendations reflect a continued positive outlook on Philip Morris International Inc., with steady 'Overweight' and mild upgrades reflecting confidence in performance stability.

Date New Recommendation Last Recommendation Publisher
2025-05-02 Overweight Overweight Barclays
2025-04-25 Neutral Sell UBS
2025-04-24 Buy Buy Stifel
2025-04-24 Overweight Overweight Morgan Stanley
2025-04-16 Buy Buy Citigroup

Analyst Recommendations with Change of Opinion

Noteworthy changes in recent months illustrate strategic shifts in analyst perspectives, primarily as upgrades from 'Sell' or downgrades from 'Buy.' These indicate a cautious yet optimistic stance from market observers.

Date New Recommendation Last Recommendation Publisher
2025-04-25 Neutral Sell UBS
2024-03-05 Hold Buy Argus Research
2024-02-13 Hold Sell Societe Generale
2024-01-23 Sell Buy UBS
2023-06-20 Buy Neutral Citigroup

Interpretation

The current analyst recommendations suggest a cautiously optimistic view on Philip Morris International Inc. The predominance of 'Buy' and 'Overweight' positions demonstrates confidence in the company's strategic shifts towards smoke-free products. Meanwhile, the presence of 'Hold' ratings and the occasional 'Strong Sell' reflect ongoing strategic challenges. Overall, the outlook remains stable, albeit with an awareness of potential uncertainties in the evolving market landscape.

Conclusion

In summary, the analysis highlights a strong but cautious optimism for Philip Morris International Inc. as it navigates significant strategic adjustments. The prevailing 'Buy' sentiment indicates confidence in the company's future growth, particularly as it moves towards smoke-free products. However, the presence of 'Hold' ratings necessitates vigilance, suggesting potential market uncertainties. Analysts appear consistent in their support, though a careful watch on future market movements is advised to weigh potential risks and opportunities effectively.