Philip Morris Financial Ratios for Analysis 2009-2024 | PM

Fifteen years of historical annual and quarterly financial ratios and margins for Philip Morris (PM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.750.720.921.101.091.131.351.071.031.020.990.981.001.071.31
1.301.221.501.611.561.661.481.731.831.711.351.220.960.770.69
-5.07-6.83-3.39-2.97-3.23-2.96-3.36-2.67-2.48-2.63-4.41-7.2433.664.202.51
63.3564.1068.0666.6564.7363.6963.7164.8123.5824.1326.0027.1426.7525.8425.79
32.8538.5641.3240.6635.3338.4040.2840.8614.3714.6116.8917.9117.4816.5416.17
32.8538.5641.3240.6635.3338.4040.2840.8614.3714.6116.8917.9117.4816.5416.17
38.7642.3044.4944.0838.5741.7443.3343.6415.3915.7217.9919.0718.7817.9217.55
29.7136.6338.9538.1733.1236.0236.8337.1913.0113.2915.6716.8016.4315.2514.89
22.1528.4128.9228.0124.0526.6520.9426.049.279.3110.6611.3111.1910.6710.22
0.540.510.760.640.700.740.670.722.182.282.102.052.151.931.80
1.201.151.151.001.141.221.181.046.677.076.016.306.896.045.00
8.016.687.977.638.028.317.697.6326.6020.0120.7721.5623.8522.5020.04
45.5754.6545.7947.8445.5243.9147.4647.8613.7218.2417.5716.9315.3016.2218.21
-87.53-150.96-118.30-80.82-80.51-77.16-61.98-66.51-61.28-68.36-141.06-290.231,611191107
-22.91-29.14-54.84-46.16-43.98-41.01-31.19-35.03-32.69-33.92-48.20-54.90-67.91-74.23-100.60
12.6615.4523.5219.1718.0220.8214.7619.6720.7121.7623.1924.3025.0221.3918.96
26.0033.3558.5848.9945.3151.0330.0548.4951.0548.7049.8663.2057.7343.3333.06
-6.08-4.07-5.29-6.83-6.17-6.91-6.59-7.03-7.41-7.24-3.95-1.910.322.183.26
5.936.967.686.306.486.105.745.215.084.946.255.575.985.124.04
5.086.277.205.915.945.174.744.454.464.215.514.945.474.743.68

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.890.940.940.750.890.850.850.720.920.890.920.921.001.181.181.101.121.131.021.091.080.950.851.131.191.151.161.351.131.071.261.071.161.271.131.031.000.900.951.020.981.081.060.991.001.141.150.981.050.921.001.000.940.970.931.071.131.291.371.311.451.521.68
1.211.221.241.301.221.241.211.221.521.481.521.501.501.511.541.611.601.601.791.561.531.611.791.661.551.571.551.481.521.631.591.731.621.621.691.831.901.921.921.711.521.411.381.351.491.321.241.221.071.080.980.960.840.770.730.770.730.770.740.690.670.670.68
-6.38-6.19-5.88-5.07-6.19-6.02-6.68-6.83-3.68-3.86-3.58-3.39-3.37-3.17-3.07-2.97-2.88-2.93-2.56-3.23-3.48-3.18-2.97-2.96-3.20-3.11-3.32-3.36-3.53-3.09-2.97-2.67-2.92-2.78-2.73-2.48-2.36-2.48-2.50-2.63-3.32-3.76-4.15-4.41-3.73-4.88-6.31-7.24-19.34-18.6455.1333.667.284.263.914.203.543.483.082.512.122.102.28
66.0464.6763.6661.7365.3864.0062.1260.6163.4666.1966.3365.3668.0469.0270.0265.4567.5567.2466.4263.9865.9165.3963.4962.9265.1164.4862.0863.8263.4063.5864.10-15.3822.8222.5023.7521.8723.4023.8825.2822.8924.0124.2325.5525.4425.7425.4727.5026.3827.2427.2227.7826.3826.6326.8327.2025.4725.5325.9526.4624.5225.7525.9627.29
36.8736.3834.6331.9336.8728.6234.0635.8736.9539.0242.5836.3642.5441.2045.4139.0243.5541.0638.9932.4936.4841.4030.3736.0342.0640.0335.1840.2741.3239.5739.84-9.2914.9314.4614.7310.3515.2415.4116.5512.7015.6813.6516.6015.6417.4516.2918.3016.3818.4917.9918.8815.6117.7618.3518.1915.4016.7516.7217.4214.3517.2015.9717.46
36.8736.3834.6331.9336.8728.6234.0635.8736.9539.0242.5836.3642.5441.2045.4139.0243.5541.0638.9932.4936.4841.4030.3736.0342.0640.0335.1840.2741.3239.5739.84-9.2914.9314.4614.7310.3515.2415.4116.5512.7015.6813.6516.6015.6417.4516.2918.3016.3818.4917.9918.8815.6117.7618.3518.1915.4016.7516.7217.4214.3517.2015.9717.46
---------------------------------------------------------------
34.8132.7531.0628.8233.9225.2430.9133.6935.1537.3540.5434.1640.3138.7342.8336.4341.0638.3036.8730.3634.4939.1927.8034.0740.0337.7831.8036.8838.0736.2635.90-8.2913.8313.2913.269.1113.9614.0314.9611.3814.4312.4515.0914.4016.2915.0917.0315.2317.4216.9417.7014.6216.8317.3216.9014.1915.4815.4315.9913.0315.8614.7016.27
31.0125.3424.3624.2222.4017.4324.8029.3425.9228.4230.0025.6729.7828.5231.8826.4830.9229.2025.4620.8524.7430.1220.0025.4329.8828.3822.528.3426.3125.6826.17-5.879.709.369.086.789.9610.0310.308.0010.068.7510.559.6911.2910.3211.4110.5511.3111.5011.929.9311.4111.8411.559.6510.7611.4010.938.9510.8510.1611.11
0.150.140.130.140.150.140.130.130.200.190.190.200.200.190.190.170.190.170.190.180.180.190.180.190.190.190.160.190.180.180.17-0.790.560.550.480.540.610.570.520.570.600.580.490.530.560.550.500.520.510.560.500.530.570.550.460.510.460.520.460.490.490.460.43
0.360.360.320.320.330.330.280.320.410.350.300.320.320.270.250.270.300.240.270.300.310.320.300.320.310.310.300.340.330.330.27-3.722.061.851.471.692.061.981.721.792.031.931.521.541.911.861.681.621.731.991.781.712.041.871.461.601.531.721.381.391.391.371.23
1.911.851.742.061.911.791.741.711.741.711.752.061.941.711.861.982.011.692.152.082.051.891.912.102.132.051.772.221.881.901.96-8.316.436.175.626.615.855.184.644.985.645.165.225.295.645.175.165.505.505.645.195.906.395.885.535.925.605.384.895.495.444.805.11
47.1448.6451.7143.6847.1550.3051.6252.5151.6752.7851.3343.7646.3452.6848.4945.4744.8753.3741.9543.3743.9247.6247.1342.7742.2443.9450.8240.5647.9947.4745.86-10.8314.0014.5816.0213.6115.3917.3619.4018.0715.9717.4517.2517.0115.9617.4217.4416.3616.3615.9617.3415.2614.0915.3116.2815.2116.0616.7318.4016.3916.5518.7617.63
-41.68-31.83-26.23-24.49-28.17-21.13-29.80-39.52-30.01-32.31-30.05-27.16-29.98-24.98-27.10-19.93-23.79-20.25-17.96-18.56-22.35-25.89-14.37-18.65-23.55-22.57-15.71-7.78-21.23-17.92-15.71-16.28-19.66-17.06-14.73-11.31-16.23-16.24-14.98-14.72-25.33-24.15-26.77-32.45-33.40-41.99-54.70-69.47-200.34-215.6859035310162.5046.1046.0238.4346.6533.7725.7827.6123.8824.66
-8.74-6.85-6.52-6.41-6.42-4.97-6.25-7.63-14.10-14.45-13.99-12.59-14.11-13.52-15.01-11.38-13.68-11.56-10.92-10.14-12.06-14.03-8.09-9.91-11.99-11.58-7.99-3.92-10.32-9.02-8.06-8.58-9.87-8.76-7.56-6.03-8.92-8.51-7.97-7.30-10.71-9.41-9.88-11.09-12.22-12.04-12.73-13.14-15.79-16.64-16.58-14.88-21.54-23.23-19.47-17.92-20.70-22.22-20.26-24.32-32.12-31.64-32.53
4.813.843.443.543.452.723.394.045.465.735.915.406.225.656.524.736.235.235.304.164.946.103.855.035.945.643.821.854.874.764.534.825.705.294.643.826.205.865.524.696.215.225.305.336.535.915.935.826.076.726.135.486.796.755.595.165.136.135.134.585.504.824.93
8.806.896.227.276.175.036.308.7315.4715.5515.5913.4515.1012.6214.6612.0814.2512.1114.2610.4511.8515.7711.3112.3412.8412.848.623.7711.0911.299.2011.8712.1910.6510.179.4214.6215.0113.7610.4913.159.8110.1711.4716.3613.4313.2515.1314.2117.5614.1912.6516.0814.6112.2710.4610.2210.948.777.999.067.927.86
-4.96-5.11-5.51-6.08-4.96-5.13-4.54-4.07-4.78-4.68-5.29-5.29-5.54-5.90-6.14-6.83-6.58-6.50-7.10-6.17-5.88-6.05-6.55-6.91-6.40-6.54-6.74-6.59-6.20-6.62-6.80-7.03-6.65-6.96-7.02-7.41-7.89-7.62-7.91-7.24-5.58-5.01-4.54-3.95-4.48-3.22-2.47-1.91-0.69-0.660.220.321.402.262.422.182.712.382.803.263.513.443.12
5.283.130.165.933.801.60-0.616.964.972.990.727.685.092.610.286.304.271.950.716.484.353.010.806.104.543.460.895.743.862.620.545.213.821.830.305.083.872.13-0.244.944.092.180.456.254.842.760.835.574.623.161.105.985.473.681.345.124.292.941.054.043.272.330.71
4.532.63-0.115.083.151.19-0.796.274.502.680.577.204.792.410.165.913.971.750.605.943.902.690.595.173.832.960.654.743.212.260.354.453.351.520.154.463.461.86-0.374.213.581.850.295.514.332.440.684.944.192.880.975.475.153.481.254.744.032.770.973.683.022.170.64