US Stock MarketDetailed Quotes

Philip Morris International (PM)

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  • 156.240
  • -0.950-0.60%
Close Apr 16 16:00 ET
  • 156.510
  • +0.270+0.17%
Post 20:01 ET
243.50BMarket Cap21.52P/E (TTM)

Philip Morris International (PM) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
0.13%12.23B
17.67%4.71B
33.51%4.46B
-26.34%3.41B
-245.23%-350M
32.74%12.22B
21.20%4B
-2.14%3.34B
34.57%4.63B
125.24%241M
Net income from continuing operations
57.91%11.85B
562.96%2.25B
12.38%3.61B
24.53%3.15B
26.31%2.84B
-9.25%7.5B
-121.01%-486M
48.09%3.22B
50.30%2.53B
6.85%2.25B
Operating gains losses
-54.37%94M
----
----
----
----
--206M
--8M
----
----
----
Depreciation and amortization
11.70%2B
9.22%521M
1.41%505M
10.11%490M
30.79%480M
27.83%1.79B
29.27%477M
16.08%498M
47.84%445M
22.74%367M
Deferred tax
-588.62%-847M
-189.51%-414M
-307.69%-159M
-1,117.65%-207M
-188.16%-67M
62.73%-123M
60.71%-143M
-115.92%-39M
85.22%-17M
179.17%76M
Other non cash items
616.48%909M
-16.78%238M
194.87%388M
4,500.00%92M
447.27%191M
-136.07%-176M
128.80%286M
-424.36%-409M
-99.39%2M
-148.25%-55M
Change In working capital
-367.06%-1.81B
30.83%2.02B
195.04%115M
-109.08%-152M
-56.65%-3.79B
152.08%677M
72.71%1.54B
-117.34%-121M
186.64%1.67B
30.38%-2.42B
-Change in receivables
39.30%-448M
4.82%261M
888.89%71M
215.91%102M
0.90%-882M
-335.03%-738M
-57.14%249M
-136.00%-9M
83.61%-88M
-463.27%-890M
-Change in inventory
-317.57%-1.2B
-61.71%-1.15B
70.18%371M
-118.08%-94M
-161.67%-325M
164.04%552M
-4.70%-713M
303.74%218M
-26.66%520M
167.31%527M
-Change in payables and accrued expense
-88.43%107M
42.92%2.61B
10.53%-374M
-71.11%431M
-29.63%-2.56B
277.88%925M
78.44%1.83B
-188.56%-418M
79.11%1.49B
30.60%-1.98B
-Change in other working capital
-329.03%-266M
66.48%298M
-46.59%47M
-136.40%-591M
74.68%-20M
73.28%-62M
677.42%179M
-71.43%88M
40.62%-250M
10.23%-79M
Cash from discontinued investing activities
Operating cash flow
0.13%12.23B
17.67%4.71B
33.51%4.46B
-26.34%3.41B
-245.23%-350M
32.74%12.22B
21.20%4B
-2.14%3.34B
34.57%4.63B
125.24%241M
Investing cash flow
Cash flow from continuing investing activities
-263.28%-3.97B
-197.05%-428M
21.34%-789M
-587.24%-2.32B
-124.87%-434M
69.65%-1.09B
177.64%441M
48.72%-1B
30.23%-337M
67.34%-193M
Capital expenditure reported
-8.66%-1.57B
-59.71%-444M
3.69%-365M
3.78%-356M
3.12%-404M
-9.31%-1.44B
10.61%-278M
-2.16%-379M
-2.78%-370M
-49.46%-417M
Net business purchase and sale
-160.00%-33M
-112.59%-17M
-18.18%-13M
114.29%7M
50.00%-10M
-31.25%55M
-93.13%135M
99.39%-11M
40.96%-49M
-150.00%-20M
Net investment purchase and sale
34.85%-86M
8,166.67%2.23B
----
----
----
---132M
-75.45%27M
----
----
----
Net other investing changes
-631.24%-2.28B
-494.79%-2.2B
520.04%1.91B
-2,498.78%-1.97B
-108.20%-20M
118.20%429M
123.87%557M
-241.88%-454M
305.00%82M
180.26%244M
Cash from discontinued investing activities
Investing cash flow
-263.28%-3.97B
-197.05%-428M
21.34%-789M
-587.24%-2.32B
-124.87%-434M
69.65%-1.09B
177.64%441M
48.72%-1B
30.23%-337M
67.34%-193M
Financing cash flow
Cash flow from continuing financing activities
14.23%-8.13B
12.72%-3.58B
-22.81%-3.66B
55.80%-1.56B
-40.88%671M
-69.85%-9.48B
-41.63%-4.1B
-68.90%-2.98B
-97.98%-3.53B
31.37%1.14B
Net issuance payments of debt
205.11%1.71B
50.70%-1.31B
-152.87%-1.41B
166.83%945M
15.97%3.48B
-143.84%-1.62B
-276.56%-2.65B
-269.09%-558M
-450.00%-1.41B
-18.30%3B
Net common stock issuance
----
----
----
----
----
--0
----
----
----
----
Cash dividends paid
-5.21%-8.62B
-8.97%-2.3B
-3.95%-2.11B
-3.90%-2.11B
-3.88%-2.12B
-2.93%-8.2B
-4.10%-2.11B
-2.53%-2.03B
-2.53%-2.03B
-2.52%-2.04B
Net other financing activities
-458.11%-1.21B
-96.79%21M
63.89%-143M
-339.56%-400M
-502.33%-692M
125.68%339M
484.71%654M
-235.59%-396M
56.87%-91M
120.95%172M
Cash from discontinued financing activities
Financing cash flow
14.23%-8.13B
12.72%-3.58B
-22.81%-3.66B
55.80%-1.56B
-40.88%671M
-69.85%-9.48B
-41.63%-4.1B
-68.90%-2.98B
-97.98%-3.53B
31.37%1.14B
Net cash flow
Beginning cash position
35.22%4.25B
-5.58%4.06B
-14.36%4.18B
9.20%4.48B
35.22%4.25B
-2.21%3.15B
41.76%4.3B
38.84%4.88B
67.58%4.1B
-2.21%3.15B
Current changes in cash
-91.85%134M
105.88%700M
101.87%12M
-160.94%-465M
-109.55%-113M
6,750.00%1.64B
308.59%340M
-109.80%-642M
-35.06%763M
273.46%1.18B
Effect of exchange rate changes
194.03%504M
133.85%131M
-289.55%-127M
1,078.57%165M
245.65%335M
-464.21%-536M
-240.73%-387M
138.95%67M
112.84%14M
-158.43%-230M
End cash Position
15.00%4.89B
15.00%4.89B
-5.58%4.06B
-14.36%4.18B
9.20%4.48B
35.22%4.25B
35.22%4.25B
41.76%4.3B
38.84%4.88B
67.58%4.1B
Free cash flow
-1.01%10.66B
14.53%4.27B
38.27%4.1B
-28.30%3.06B
-328.41%-754M
36.66%10.77B
24.51%3.72B
-2.66%2.96B
38.29%4.26B
85.74%-176M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 0.13%12.23B17.67%4.71B33.51%4.46B-26.34%3.41B-245.23%-350M32.74%12.22B21.20%4B-2.14%3.34B34.57%4.63B125.24%241M
Net income from continuing operations 57.91%11.85B562.96%2.25B12.38%3.61B24.53%3.15B26.31%2.84B-9.25%7.5B-121.01%-486M48.09%3.22B50.30%2.53B6.85%2.25B
Operating gains losses -54.37%94M------------------206M--8M------------
Depreciation and amortization 11.70%2B9.22%521M1.41%505M10.11%490M30.79%480M27.83%1.79B29.27%477M16.08%498M47.84%445M22.74%367M
Deferred tax -588.62%-847M-189.51%-414M-307.69%-159M-1,117.65%-207M-188.16%-67M62.73%-123M60.71%-143M-115.92%-39M85.22%-17M179.17%76M
Other non cash items 616.48%909M-16.78%238M194.87%388M4,500.00%92M447.27%191M-136.07%-176M128.80%286M-424.36%-409M-99.39%2M-148.25%-55M
Change In working capital -367.06%-1.81B30.83%2.02B195.04%115M-109.08%-152M-56.65%-3.79B152.08%677M72.71%1.54B-117.34%-121M186.64%1.67B30.38%-2.42B
-Change in receivables 39.30%-448M4.82%261M888.89%71M215.91%102M0.90%-882M-335.03%-738M-57.14%249M-136.00%-9M83.61%-88M-463.27%-890M
-Change in inventory -317.57%-1.2B-61.71%-1.15B70.18%371M-118.08%-94M-161.67%-325M164.04%552M-4.70%-713M303.74%218M-26.66%520M167.31%527M
-Change in payables and accrued expense -88.43%107M42.92%2.61B10.53%-374M-71.11%431M-29.63%-2.56B277.88%925M78.44%1.83B-188.56%-418M79.11%1.49B30.60%-1.98B
-Change in other working capital -329.03%-266M66.48%298M-46.59%47M-136.40%-591M74.68%-20M73.28%-62M677.42%179M-71.43%88M40.62%-250M10.23%-79M
Cash from discontinued investing activities
Operating cash flow 0.13%12.23B17.67%4.71B33.51%4.46B-26.34%3.41B-245.23%-350M32.74%12.22B21.20%4B-2.14%3.34B34.57%4.63B125.24%241M
Investing cash flow
Cash flow from continuing investing activities -263.28%-3.97B-197.05%-428M21.34%-789M-587.24%-2.32B-124.87%-434M69.65%-1.09B177.64%441M48.72%-1B30.23%-337M67.34%-193M
Capital expenditure reported -8.66%-1.57B-59.71%-444M3.69%-365M3.78%-356M3.12%-404M-9.31%-1.44B10.61%-278M-2.16%-379M-2.78%-370M-49.46%-417M
Net business purchase and sale -160.00%-33M-112.59%-17M-18.18%-13M114.29%7M50.00%-10M-31.25%55M-93.13%135M99.39%-11M40.96%-49M-150.00%-20M
Net investment purchase and sale 34.85%-86M8,166.67%2.23B---------------132M-75.45%27M------------
Net other investing changes -631.24%-2.28B-494.79%-2.2B520.04%1.91B-2,498.78%-1.97B-108.20%-20M118.20%429M123.87%557M-241.88%-454M305.00%82M180.26%244M
Cash from discontinued investing activities
Investing cash flow -263.28%-3.97B-197.05%-428M21.34%-789M-587.24%-2.32B-124.87%-434M69.65%-1.09B177.64%441M48.72%-1B30.23%-337M67.34%-193M
Financing cash flow
Cash flow from continuing financing activities 14.23%-8.13B12.72%-3.58B-22.81%-3.66B55.80%-1.56B-40.88%671M-69.85%-9.48B-41.63%-4.1B-68.90%-2.98B-97.98%-3.53B31.37%1.14B
Net issuance payments of debt 205.11%1.71B50.70%-1.31B-152.87%-1.41B166.83%945M15.97%3.48B-143.84%-1.62B-276.56%-2.65B-269.09%-558M-450.00%-1.41B-18.30%3B
Net common stock issuance ----------------------0----------------
Cash dividends paid -5.21%-8.62B-8.97%-2.3B-3.95%-2.11B-3.90%-2.11B-3.88%-2.12B-2.93%-8.2B-4.10%-2.11B-2.53%-2.03B-2.53%-2.03B-2.52%-2.04B
Net other financing activities -458.11%-1.21B-96.79%21M63.89%-143M-339.56%-400M-502.33%-692M125.68%339M484.71%654M-235.59%-396M56.87%-91M120.95%172M
Cash from discontinued financing activities
Financing cash flow 14.23%-8.13B12.72%-3.58B-22.81%-3.66B55.80%-1.56B-40.88%671M-69.85%-9.48B-41.63%-4.1B-68.90%-2.98B-97.98%-3.53B31.37%1.14B
Net cash flow
Beginning cash position 35.22%4.25B-5.58%4.06B-14.36%4.18B9.20%4.48B35.22%4.25B-2.21%3.15B41.76%4.3B38.84%4.88B67.58%4.1B-2.21%3.15B
Current changes in cash -91.85%134M105.88%700M101.87%12M-160.94%-465M-109.55%-113M6,750.00%1.64B308.59%340M-109.80%-642M-35.06%763M273.46%1.18B
Effect of exchange rate changes 194.03%504M133.85%131M-289.55%-127M1,078.57%165M245.65%335M-464.21%-536M-240.73%-387M138.95%67M112.84%14M-158.43%-230M
End cash Position 15.00%4.89B15.00%4.89B-5.58%4.06B-14.36%4.18B9.20%4.48B35.22%4.25B35.22%4.25B41.76%4.3B38.84%4.88B67.58%4.1B
Free cash flow -1.01%10.66B14.53%4.27B38.27%4.1B-28.30%3.06B-328.41%-754M36.66%10.77B24.51%3.72B-2.66%2.96B38.29%4.26B85.74%-176M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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