1,221Prior-quarter shares · no longer reported
From a 13F filed Aug 14, 2026 covering holdings at Jun 30, 2026 — a quarter-end snapshot, not a live trade.
PM · NYSE · Tobacco
Tobacco company based in New York City, New York.
Last close, Oct 1, 2026
$188.18
Adjusted for splits and dividends
Last 12 months
+17.0%
S&P 500 +14.3% over the same dates
Market value
$293B
Last close × shares outstanding
Bets against the stock: 13.8M shares sold short (0.9% of shares outstanding), -16.7% vs the previous count, 3.5 days of normal trading to buy them back. FINRA, as of Sep 15, 2026.
Insiders buying, last 90 days
None
No open-market purchases reported
Insiders selling, last 90 days
None
No open-market sales reported
New federal contracts, 12 months
None
Nothing found for this company
Revenue, fiscal 2025
$40.6B
+7.3% vs the year before
Net income, fiscal 2025
$11.3B
As reported in the annual filing
Shares outstanding
1.56B
As of Jul 17, 2026
In fiscal 2025 the company spent $8.62B on dividends. Cash actually paid, from its cash-flow statement.
From a 13F filed Aug 14, 2026 covering holdings at Jun 30, 2026 — a quarter-end snapshot, not a live trade.
2 different filers disclosed PM within 90 days. Disclosed 116 days after the transaction; reported as an official range, not an exact amount.
3 different filers disclosed PM within 90 days. Disclosed 35 days after the transaction; reported as an official range, not an exact amount.
Stock since the trade +2.5% · S&P 500 +11.6% · to Oct 1Traded 13 days after resultsStock within 3% of its 52-week high, after an 18% rise in the previous month
154K → 134K shares held−13% of their stake
The boss of Philip Morris International sold $3.65M of Philip Morris International shares. Nobody planned it ahead of time.
Stock since the trade +2.6% · S&P 500 +10.8% · to Oct 1Traded 14 days after resultsStock within 3% of its 52-week high, after an 18% rise in the previous month
60K → 45K shares held−24% of their stake
The boss of Philip Morris International sold $2.63M of Philip Morris International shares. Nobody planned it ahead of time.
Prices are daily closes from Polygon.io. Company figures come from its own SEC filings. Past moves are not a forecast. OQRO reports what was filed and never tells you what to buy or sell.
Last 12 months, adjusted daily closes
Adjusted close went from $160.86 on Oct 1, 2025 to $188.18 on Oct 1, 2026 (+17.0%). Disclosed trades in the last 12 months: 0 insider purchases, 7 insider sales (2 under pre-arranged plans), 1 Congress purchase, 3 Congress sales.
Vanguard Capital Management
Schedule 13G: passive · filed Apr 30, 2026 · 117M shares
Capital Research Global Investors
Schedule 13G: passive · filed May 14, 2026 · 79.9M shares
Anyone owning more than 5% must file within days. Structured filings exist since December 2024, so older stakes that were never amended may be missing.
Short sale volume: 56.6% of the volume reported to FINRA over the last 20 trading days was marked short, above its 1-year average of 48.8%. FINRA daily files, to Oct 2, 2026.
Fails to deliver: 21K shares (about $3.91M) were not delivered on time for settlement on Sep 10, 2026. SEC fails-to-deliver data.
Short sale volume is not short interest. It counts trades marked short, including market makers selling short to fill buy orders, so it is a share of daily trading, not a count of bets against the stock. Fails to deliver have many causes, including processing delays, and are often resolved within days.