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Stock Trend Analysis Report
Prepared for you on Wednesday, April 8, 2026.
Philip Morris International Inc (NYSE:PM)
Long-Term Downtrend (-90) - PM is in a strong downtrend that is likely to continue. While PM is showing intraday strength, it remains in the confines of a bearish trend. Traders should use caution and set stops.
Is it time to buy, sell, or avoid PM?
MarketClub looks at technical strength and momentum to determine if the timing is right for PM.
Learn more about the Trade Triangles and how we make technical analysis as easy as buy and sell.
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MarketClub’s Trade Triangles for PM
The long-term trend has been DOWN since Apr 1st, 2026 at 153.7050
The intermediate-term trend has been DOWN since Mar 3rd, 2026 at 178.5801
The short-term trend has been DOWN since Apr 8th, 2026 at 156.2515
Smart Scan Analysis for PM
Based on our trend formula, PM is rated as a -90 on a scale from -100 (Strong Downtrend) to +100 (Strong Uptrend).
| Open | High | Low | Price | Change |
|---|---|---|---|---|
| 156.310 | 161.190 | 155.139 | 160.960 | +3.470 |
| Prev. Close | Volume | Bid | Ask | Time |
| 157.490 | 4119230 | 2026-04-08 15:59:49 |
| Year High | 111.25 | Year High Date | 2018-01-25 |
| Year Low | 76.21 | Year Low Date | 2018-06-06 |
| 52wk High | 191.3 | 52wk High Date | 2026-02-25 |
| 52wk Low | 142.11 | 52wk Low Date | 2025-11-03 |
| Year End Close | 83.64 | Average Volume | 4,953,191 |
| Shares Outstanding | 1,556,680 | Short Interest | 9,989,597 |
| % Institutional | 68 | Assets | 691,850,000M |
| Liabilities | 791,790,000M | P/E Ratio | 21.6928 |
| Beta | 0.88 | Volatility | 22.96 |
