PHILIP MORRIS INTERNATIONAL INC (PM) Stock Forecast & Price Prediction

Data as of · Consumer Staples sector.

Forecast: StoQuant's ML model estimates a 47% probability that PHILIP MORRIS INTERNATIONAL INC (PM) outperforms the S&P 500 over the next 30 trading days — a bearish signal. Wall Street's consensus 12-month price target is $206.09 from 6 analyst targets.

ML Forecast (30-day)

47% bearish

Probability of beating the S&P 500 over the next 30 trading days

Q-Score

64/100

Grade B — "Buy" composite of 140+ signals

Analyst Target

$206.09

6 targets · $182.00–$216.17

Next Earnings

2026-10-21

in 38 days — expect volatility

Why the model says this

The ML model scores PM on 60 live features, trained on 5,328 labeled outcomes and walk-forward validated. Biggest drivers of today's bearish call:

Pushing the forecast up

  • Price To Book +0.038
  • Accrual Ratio +0.032
  • Nfci +0.025
  • Operating Margin +0.021
  • Realized Vol21d +0.019

Pushing it down

  • Real Rate10y -0.029
  • Sector PEPercentile -0.018
  • Piotroski FScore X Trailing PE -0.014
  • M2 Money Supply Yoy -0.010
  • Social Buzz Score X Volume Ratio20d -0.007

What Wall Street is saying about PM

Across 6 price targets published in the last 90 days (latest 2026-08-18), the consensus for PHILIP MORRIS INTERNATIONAL INC is $206.09 — spanning $182.00 on the low end to $216.17 on the high end.

Next-period consensus: EPS n/a (as of 2030-12-31).

Track record — don't trust a forecast without one

StoQuant publishes its full walk-forward accuracy, updated daily. Current hit rates across all scored signals:

SignalWindowHit rateAvg returnObservations
Fundamental Undervalue7d51.1%+0.50%9,340
Vc Intelligence7d50.0%+0.72%18
Volume Spike7d49.1%+0.23%6,275
Sector Momentum7d48.5%+0.02%16,414

See the full live track record → · How the model works

⚠ PHILIP MORRIS INTERNATIONAL INC reports earnings on 2026-10-21 — expect elevated volatility and a forecast refresh right after the report.

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PM forecast FAQ

What is the PM stock forecast?

StoQuant's ML model estimates a 47% probability that PHILIP MORRIS INTERNATIONAL INC (PM) outperforms the S&P 500 over the next 30 trading days — a bearish signal. Wall Street's consensus 12-month price target is $206.09 from 6 analyst targets.

Is PM stock a buy or sell right now?

StoQuant's Q-Score rates PM 64/100 (grade B, "Buy") and the 30-day ML signal is bearish at 47% probability. StoQuant publishes its full walk-forward track record at /proof — always check a forecaster's accuracy before acting.

What is the analyst price target for PM?

The consensus analyst price target for PHILIP MORRIS INTERNATIONAL INC is $206.09, with a range of $182.00 to $216.17 across 6 recent analyst targets.

How accurate are StoQuant's stock forecasts?

Across StoQuant's walk-forward validated signal history, the fundamental undervalue signal hit its 7-day target in 51.1% of 9,340 observations (avg return +0.50%). Full methodology and live accuracy at /proof.

When does PM report earnings?

PHILIP MORRIS INTERNATIONAL INC is scheduled to report earnings on 2026-10-21. Expect elevated forecast volatility around the report.

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Additional resources

Track record · Methodology · All forecasts · PM deep dive

Forecasts are probabilistic model outputs, not investment advice. Past accuracy does not guarantee future results.

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