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PM

Philip Morris International Inc.

Stock

$190.82−3.08 (−1.59%)Close Sep 30, 2026

Mar 17, 2008 – Sep 30, 2026

$10,000 became$90,235
CAGR12.60%
Max drawdown−42.87%
Sharpe ratio0.62

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Growth of $10,000

  • PM

Trailing returns

PeriodPM
1M−0.56%
3M+5.48%
6M+16.73%
YTD+21.02%
1Y+21.91%
3Y+32.21%
5Y+20.23%
10Y+12.27%
15Y+12.80%
Since 2008+12.60%

Metrics

ReturnPM
Final balance$90,235
Total return802.35%
CAGR12.60%
Calendar yearsPM
Best year39.78%
Worst year−33.30%
Positive years14 of 17
RiskPM
Max drawdown−42.87%
Longest drawdown4 years
Volatility (annualized)23.61%
Risk-adjustedPM
Sharpe ratio0.62
Sortino ratio0.88
Calmar ratio0.29

Worst drawdowns

DeclinePeakBottomRecovered
−42.9%Jun 2017Mar 2020Jun 2021
−40.9%Aug 2008Mar 2009Mar 2010
−22.8%Feb 2022Sep 2022May 2024
−20.6%Jun 2025Oct 2025Feb 2026
−19.3%Apr 2013Feb 2014Oct 2015

Annual returns

YearPM
2008from Mar 17−9.06%
2009+16.51%
2010+27.16%
2011+39.78%
2012+9.66%
2013+8.50%
2014−2.12%
2015+13.38%
2016+8.56%
2017+19.85%
2018−33.30%
2019+35.02%
2020+3.69%
2021+20.78%
2022+12.31%
2023−1.85%
2024+34.34%
2025+37.99%
2026to Sep 30+21.02%