Philip Morris International Inc. is projected to rise to $207.10 by 2027, a +16% move from its current price of $179.20. PM is currently trading below its 50-day average (a bearish sign). Technical indicators currently lean buy.
A data-driven summary — not financial advice. See the full breakdown below.
Live market data via Yahoo Finance · updated 7/11/2026
| Period | Min | Prediction | Max | Change |
|---|---|---|---|---|
| Jul 13 | $176.50 | $179.15 | $181.84 | -0.03% |
| Jul 14 | $175.37 | $179.11 | $182.92 | -0.05% |
| Jul 15 | $174.50 | $179.06 | $183.74 | -0.08% |
| Jul 16 | $173.76 | $179.01 | $184.43 | -0.10% |
| Jul 17 | $173.10 | $178.97 | $185.03 | -0.13% |
| Jul 18 | $172.51 | $178.92 | $185.57 | -0.16% |
| Jul 19 | $171.96 | $178.87 | $186.07 | -0.18% |
| Period | Min | Prediction | Max | Change |
|---|---|---|---|---|
| Week 1 | $171.96 | $178.87 | $186.07 | -0.18% |
| Week 2 | $168.87 | $178.55 | $188.79 | -0.36% |
| Week 3 | $166.46 | $178.22 | $190.82 | -0.55% |
| Week 4 | $164.41 | $177.90 | $192.49 | -0.73% |
| Week 5 | $162.59 | $177.57 | $193.94 | -0.91% |
| Week 6 | $160.93 | $177.25 | $195.22 | -1.09% |
| Week 7 | $159.40 | $176.93 | $196.38 | -1.27% |
Short-term targets derived from the forecast trend and recent volatility. Highly uncertain — not financial advice.
Philip Morris International Inc. operates as a tobacco company. The company offers cigarettes and smoke-free products, including heat-not-burn, e-vapor, and oral nicotine products under the IQOS, VEEV, and ZYN brands; and consumer accessories, such as lighters and matches.
It also offers wellness products. The company was incorporated in 1987 and is headquartered in Stamford, Connecticut, and it is categorized as Consumer Defensive.
Philip Morris International Inc. (PM) is trading at $182.27 with a market cap of $284.08B and is ranked 48. It sits in the Consumer Defensive sector, reflecting its role in essential consumer goods. The 30-day price action shows a range from $165.10 to $201.22, illustrating near-term volatility around the current level.
Looking ahead, the forecast shows a path of continued upside across multiple years. The 2026 average price is $182.27 with a neutral tone, and the model projects a sequence of rising averages through 2030 and beyond, culminating in an average of $1,300.46 by 2050 with a projected ROI of 613.5%. Notable mid-term milestones include a 2030 average of $312.89 (ROI 71.7%) and a bullish sentiment, with further gains through 2040 ($725.89 avg; ROI 298.3%) and 2050 ($1,300.46 avg; ROI 613.5%).
A major floor 14.5% below — a decisive break under it would weaken the trend.
The nearest floor, 3.6% below — buyers have tended to step in here.
The nearest ceiling, 4.8% above — a clean break opens room to run.
A major ceiling 9.3% above — clearing it would confirm fresh momentum.
Key PM support and resistance from recent price action — levels where the trend has historically paused or reversed. Percentages are the distance from the current price.
A snapshot of PM market posture derived from its technical indicators and recent volatility. Higher trend and alignment lean bullish; higher risk means larger swings.
Technical Analysis
Indicators computed on daily closing prices.
| Period | SMA | Action | EMA | Action |
|---|---|---|---|---|
| MA 5 | $184.48 | Sell | $183.00 | Sell |
| MA 10 | $182.69 | Sell | $182.54 | Sell |
| MA 20 | $181.26 | Sell | $181.52 | Sell |
| MA 50 | $179.82 | Sell | $178.72 | Buy |
| MA 100 | $174.36 | Buy | $175.19 | Buy |
| MA 200 | $167.66 | Buy | $170.14 | Buy |
| Name | Value | Action |
|---|---|---|
| RSI (14) | 51.09 | Neutral |
| Stoch RSI (14) | 47.07 | Neutral |
| CCI (20) | 9.44 | Neutral |
| Williams %R (14) | -42.20 | Info |
| MACD (12,26,9) | 0.16 | Buy |
| ROC (12) | 1.64 | Buy |
| Bollinger %B (20,2) | 0.53 | Neutral |
| Stochastic %K (14) | 57.80 | Neutral |
| TRIX (15) | 0.08 | Buy |
| Awesome (5,34) | 4.03 | Buy |
| Ultimate (7,14,28) | 52.63 | Neutral |
| Momentum (10) | 2.69 | Buy |
| Aroon Osc (25) | 40.00 | Buy |
| Hull MA (9) | 184.87 | Sell |
| ADX (14) | 10.08 | Neutral |
| ATR (14) | 2.63 | Info |
The 30-day technical picture is bullish overall. Sentiment is listed as BULLISH, with RSI14 at 50, suggesting room to move higher without being overbought. The stock trades above its short- and long-term averages, with a SMA50 of $177.85 and a SMA200 of $167.12, respectively, indicating a constructive intermediate trend.
Near-term support sits at $172.66 and resistance at $188.99. The 30-day price range extends from $165.10 to $201.22, highlighting a fairly wide trading band and the possibility of continued volatility in coming weeks.
| Year | Min | Avg | Max | ROI | Sentiment |
|---|---|---|---|---|---|
| $153.25 | $179.20 | $215.69 | 0% | Neutral | |
| $169.61 | $207.10 | $264.39 | +16% | Neutral | |
| $179.57 | $223.37 | $292.88 | +25% | Bullish | |
| $194.71 | $245.95 | $329.34 | +37% | Bullish | |
| $240.16 | $307.45 | $419.11 | +72% | Bullish | |
| $268.00 | $347.28 | $480.89 | +94% | Bullish | |
| $288.07 | $377.51 | $530.17 | +111% | Bullish | |
| $303.98 | $402.56 | $572.68 | +125% | Bullish | |
| $311.93 | $417.20 | $600.59 | +133% | Bullish | |
| $339.05 | $457.76 | $666.31 | +155% | Bullish | |
| $516.71 | $727.62 | $1,109.90 | +306% | Bullish | |
| $856.79 | $1,293.96 | $2,115.76 | +622% | Bullish |
Current year — the forecast is anchored to the live price, so ROI shows 0%.
| Month | Min | Avg | Max | Change |
|---|---|---|---|---|
| July 2026 | $153.25 | $179.20 | $212.40 | +0.00% |
| August 2026 | $150.11 | $175.73 | $210.20 | -1.94% |
| September 2026 | $148.77 | $174.99 | $210.94 | -0.42% |
| October 2026 | $150.75 | $178.05 | $216.04 | +1.75% |
| November 2026 | $149.64 | $177.35 | $216.38 | -0.39% |
| December 2026 | $147.93 | $175.90 | $215.69 | -0.82% |
Click any year to see its month-by-month PM forecast. Min / Avg / Max are a bear / base / bull scenario; ROI is the projected move from the current price. Change is the month-over-month move in the average. Estimates, not guarantees.
Philip Morris International Inc.'s 2026 outlook centres on $179.20, within a $153.25 to $215.69 range. That marks a 0% change versus current levels. Price action looks broadly range-bound.
By 2027, PM could reach as high as $264.39, with a base case around $207.10 and support toward $169.61 — roughly +16% from $179.20. A consolidation phase looks the most probable path here.
Expect PM to range from $179.57 to $292.88 through 2028. The $223.37 average target implies a +25% move from current prices. That is up +8% on the projected 2027 average. Momentum favours further upside here.
The PM price prediction for 2029 points to an average of $245.95 (low $194.71, high $329.34) — a potential gain of +37% on today's $179.20. Buyers look set to stay in control over this stretch.
In 2030, PM is projected to trade between $240.16 and $419.11, averaging $307.45 — a potential gain of +72% from today's $179.20. That is up +25% on the projected 2029 average. Momentum favours further upside here.
Philip Morris International Inc.'s 2031 outlook centres on $347.28, within a $268.00 to $480.89 range. That is up +13% on the projected 2030 average. That marks a +94% change versus current levels. Buyers look set to stay in control over this stretch.
By 2032, PM could reach as high as $530.17, with a base case around $377.51 and support toward $288.07 — roughly +111% from $179.20. Momentum favours further upside here.
Expect PM to range from $303.98 to $572.68 through 2033. The $402.56 average target implies a +125% move from current prices. That is up +7% on the projected 2032 average. Buyers look set to stay in control over this stretch.
The PM price prediction for 2034 points to an average of $417.20 (low $311.93, high $600.59) — a potential gain of +133% on today's $179.20. Momentum favours further upside here.
In 2035, PM is projected to trade between $339.05 and $666.31, averaging $457.76 — a potential gain of +155% from today's $179.20. That is up +10% on the projected 2034 average. Buyers look set to stay in control over this stretch.
Philip Morris International Inc.'s 2040 outlook centres on $727.62, within a $516.71 to $1,109.90 range. That is up +59% on the projected 2035 average. That marks a +306% change versus current levels. Momentum favours further upside here.
By 2050, PM could reach as high as $2,115.76, with a base case around $1,293.96 and support toward $856.79 — roughly +622% from $179.20. Buyers look set to stay in control over this stretch.
Investing $1,000 in PM today (≈ 5.580357 PM) could be worth
$7,220.77
+$6,220.77 (+622%) by 2050 · US Dollar
Based on the average projected PM price of $1,293.96 in 2050.
Based on the base (average) forecast scenario. FX rates are indicative. Estimates only — not financial advice.
See what a past investment in PMwould be worth at today's price.
$1,000 invested in PM on Jul 10, 2025 (≈ 5.525167 PM) would be worth
$990.11
-$9.89 (-1.0%) today · 0.99× · US Dollar
Based on a PM entry price of $180.99 vs. today's $179.2.
| Invested | Entry price | Value today | Return |
|---|---|---|---|
| 1 week ago | $182.27 | $983.16 | -1.7% |
| 1 month ago | $182.95 | $979.5 | -2.0% |
| 3 months ago | $160.45 | $1,116.86 | +11.7% |
| 6 months ago | $165.16 | $1,085.01 | +8.5% |
| 1 year ago | $180.99 | $990.11 | -1.0% |
| All time (5.0y) ago | $97.71 | $1,834 | +83.4% |
Past performance from historical market data — it does not predict future results. FX rates are indicative. Not financial advice.
Enter a price to see how it sits against our PM forecast.
Our base-case forecast reaches $360.00 around 2032.
Implied market cap at $360.00: $561.08B
The long-range forecast shows a strong bullish trajectory into the late 2020s and beyond. The year-by-year path starts with a 2026 average of $182.27 (ROI 0, sentiment NEUTRAL) and rises through 2027 ($211.33 avg, ROI 15.9, NEUTRAL) and 2028 ($225.69 avg, ROI 23.8, BULLISH), continuing to 2029 ($248.96 avg, ROI 36.6, BULLISH) and 2030 ($312.89 avg, ROI 71.7, BULLISH).
By 2040, the forecast envisions an average of $725.89 with ROI of 298.3 and a bullish stance, and by 2050 an average of $1,300.46 with ROI of 613.5 and continued bullish sentiment. These numbers imply substantial upside from today if the projections hold, but they are estimates and not guarantees. The path to 2030 and beyond reflects a steadier upward trajectory with meaningful upside in the later years, balanced by the inherent uncertainty of long-horizon forecasts.
Tap a question to reveal the answer.
The 2030 forecast shows an average price of $312.89, with a minimum of $244.35 and a maximum of $426.64, and an estimated ROI of 71.7% with bullish sentiment.
The long-range forecast points to strong upside, with a 2050 average price of $1,300.46 and a projected ROI of 613.5% alongside bullish sentiment in later years; however, these are estimates and not guarantees.
Yes, the 2040 forecast shows a max of $1,107.42, with an average of $725.89 and an ROI of 298.3%, indicating that hitting $1,000 is possible in a high-case scenario.
PM’s current price is $182.27 and its market cap is $284.08B, with a rank of 48.
Sentiment is BULLISH with RSI14 at 50. The SMA50 is $177.85 and the SMA200 is $167.12, with a support level at $172.66 and resistance at $188.99. The 30-day range is $165.10 to $201.22.
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