Altria Group, Inc. vs Philip Morris International Inc.

Full side-by-side comparison — 2026

Data as of Aug 25, 2026 · Updated automatically

8
MO Wins
0
Tie
9
PM Wins

MO

Price USD 68.82
P/E Ratio 13.9x
Div Yield 0.0642%
Beta 0.50
Sector Consumer Staples

PM

Price USD 194.31
P/E Ratio 25.9x
Div Yield 0.0312%
Beta 0.40
Sector Consumer Staples

Price Overview

Metric MO PM
Current Price 68.82 194.31
Previous Close 68.07 193.92

Valuation

Metric MO PM
Trailing P/E 13.92 25.86
Forward P/E 11.42 20.53
Price / Book -41.89 -34.18
Price / Sales 5.47 6.90
EV / EBITDA 8.50 18.79

Dividends & Income

Metric MO PM
Dividend Yield 0.0642% 0.0312%
Dividend Rate (Annual) 4.24 5.88
5-Year Avg Yield 7.96% 5.15%
Payout Ratio 0.8555% 0.8282%

Risk & Financial Health

Metric MO PM
Beta (Volatility) 0.50 0.40
Debt / Equity N/A N/A
Quick Ratio 0.34 0.47
Current Ratio 0.52 0.98

Growth & Profitability

Metric MO PM
Revenue Growth 0.0120% 0.1040%
Earnings Growth -0.0270% -0.0750%
Return on Equity N/A N/A
Revenue / Share 12.20 27.33
Trailing EPS 4.81 7.28
Forward EPS 5.86 9.17

Analyst Targets

Metric MO PM
Analyst Mean Target 70.00 203.80
Analyst High Target 82.00 225.00
Analyst Low Target 58.00 175.00

Bottom Line: MO vs PM

Philip Morris International Inc. (PM) leads on 9 of 17 comparable metrics.

Philip Morris International Inc. is the stronger pick for growth investors, while Altria Group, Inc. may appeal to value investors.

Philip Morris International Inc. has a higher Revenue Growth (10.40% vs 1.20%), which indicates the business is expanding faster
Altria Group, Inc. has a higher Earnings Growth (-2.70% vs -7.50%), which indicates profits are growing more quickly
Philip Morris International Inc. has a higher Revenue / Share (27.32 vs 12.20), which means more revenue attributable to each share

This comparison is based on publicly available financial data and is for informational purposes only. It is not investment advice. Past performance does not guarantee future results.

MO Altria Group, Inc.

Best for Value Investors
• Lower Trailing P/E: 13.92
• Lower Forward P/E: 11.42
• Lower Price / Book: -41.89
Best for Income Investors
• Higher Dividend Yield: 6.42%
• Higher 5-Year Avg Yield: 7.96%

PM Philip Morris International Inc.

Best for Growth Investors
• Higher Revenue Growth: 10.40%
• Higher Forward EPS: 9.17
Best for Conservative Investors
• Lower Beta (Volatility): 0.40
• Higher Quick Ratio: 0.47
• Higher Current Ratio: 0.98

Analyst Upside / Downside

MO
+1.7%
PM
+4.9%

Based on analyst mean price targets. Estimates are not guaranteed and may not reflect future performance.

About These Companies

Altria Group, Inc. (MO)

Consumer Staples · United States · NYQ

Altria Group, Inc., through its subsidiaries, manufactures and sells smokeable and oral tobacco products in the United States. It offers cigarettes primarily under the Marlboro brand; large cigars and pipe tobacco under the Black & Mild brand; moist smokeless tobacco and oral tobacco products under the Copenhagen, Skoal, Red Seal, and Husky brands; oral nicotine pouches under the on! brand; and e-vapor products under the NJOY ACE brand. The company sells its products to distributors, as well as large retail …

View MO details →

Philip Morris International Inc. (PM)

Consumer Staples · United States · NYQ

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.

View PM details →

Frequently Asked Questions

Which has a better dividend yield, MO or PM?
Altria Group, Inc. currently has the higher dividend yield. Altria Group, Inc. (MO) yields 6.42% while Philip Morris International Inc. (PM) yields 3.12%. Past dividends do not guarantee future payments.
Which is more volatile, MO or PM?
Altria Group, Inc. is more volatile based on beta. Altria Group, Inc. has a beta of 0.49 and Philip Morris International Inc. has a beta of 0.40. A beta above 1.0 means higher volatility than the overall market.
Which is cheaper by P/E ratio, MO or PM?
Altria Group, Inc. has the lower trailing P/E ratio. Altria Group, Inc. trades at 13.9x earnings while Philip Morris International Inc. trades at 25.9x. A lower P/E may suggest better relative value, but could also reflect lower growth expectations.
Which has more analyst upside, MO or PM?
Based on mean analyst price targets, Philip Morris International Inc. has more upside potential. Altria Group, Inc. has +1.7% upside and Philip Morris International Inc. has +4.9% upside from current prices. Analyst estimates are not guaranteed.
Can I track both MO and PM in one portfolio?
Yes. AllInvestView lets you add both Altria Group, Inc. and Philip Morris International Inc. to the same portfolio and monitor price changes, dividends, total return, and allocation — completely free.

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