Philip Morris International Inc. (NYSE: PM) has been recognized by the Dow Jones Sustainability Index (DJSI) for the first time. The index has acknowledged the sustainability efforts of the company. PMI has been endeavoring for years to pursue its vision of marketing smoke-free products that are less harmful than smoking.

Dow Jones Index has measured the company’s performance against the environmental, social, and governance (ESG) metrics of the DJSI. Philip Morris is continuously operating in the innovation management category of DJSI. In this category, the Index evaluates research and development spending, product innovations, and a portfolio of tobacco alternatives and reduced-risk products of the company. 

Philip Morris International Inc. (PM) has seen some recent action in the marketplace and its shares closed at $77.47 yesterday. Investors are starting to take interest in PM as the shares traded as high as $79.21 and as low as $77.29 in the previous trading day.

Philip Morris International Inc. (PM) average trading volume is 4.53M. However, in the previous trading day Philip Morris International Inc. (PM) traded 3,703,827 shares. The First downside support level on PM is $75.96 and the First resistance level on PM is $82.32. PM 50 day moving average is $75.02 and PM 200-day moving average is $75.10.

Philip Morris International Inc. (PM) most current performance has been indicated by the recent movement in PM shares. PM has performed 5.65% over the past 4 weeks, PM has performed -0.96% over the past quarter and PM has shown -7.18% over the past 1 year. Philip Morris International Inc. (PM) has a 1 year range of $56.01 to $90.17. Philip Morris International Inc. (PM) is trading 38.31% from its 1 year low and -14.08% from its 1 year high. Philip Morris International Inc. (PM) is displaying a 0.46% short float displaying the amount short in the float.

PM has 1.56B shares outstanding and 1.55B shares in the float. Philip Morris International Inc. (PM) currently has a market cap of $118.44B and an income of 7.68B. The EPS next quarter for PM is 1.20 and the projected EPS next year is 11.03%. The market cap of Philip Morris International Inc. (PM) at $118.44B represents how many Investors own shares of PM and is based on the last price ($77.47) of PM and the amount of shares outstanding (1.56B) with Philip Morris International Inc. (PM).

Philip Morris International Inc. (PM) has aggregate cash (mrq) of 4.82B, aggregate cash per share (mrq) of 3.1, aggregate debt of PM stands at 29.49B. Philip Morris International Inc. (PM) operational cash flow (ttm) is 9.97B, PM leveraged free cash flow (ttm) is 8.49B.

PM is trading 5.76% above (bullish) its SMA20, 1.94% above (bullish) its SMA50 and 1.96% above (bullish) its SMA200.