| Volume | 3,237,043 |
| Open | 199.31 |
| Bid (Size) | 198.95 (200) |
| Ask (Size) | 202.00 (300) |
| Prev. Close | 200.50 |
| Today's Range | 198.85 - 201.28 |
| 52wk Range | 142.11 - 207.76 |
| Shares Outstanding | 1,558,540,992 |
| Dividend Yield | 3.18% |
Philip Morris International (PM) traded between $142.11 and $207.76 over the past 52 weeks and last traded at $201.19, 3.2% below its 52-week high. Over the past week it ranged between $184.11 and $202.70.
PM was +29.6% over the past year, +24.8% over six months, +25.5% year to date, +7.3% in the last week.
Over the past 12 months PM returned +29.6% versus DIA (Dow) +10.7%, SPY (S&P 500) +15.7%, QQQ (Nasdaq 100) +22.9% and IWM (Russell 2000) +13.1%.
PM most recently traded 3,237,043 shares against a 3-month average daily volume of 4.7M.