Philip Morris
4I1.DE
€128.46 1.34%
Exchange: XETRA | Sector: Consumer Defensive | Industry: Tobacco
Q3 2024
Published: Oct 24, 2024

Earnings Highlights

  • Revenue of $9.91B up 8.4% year-over-year
  • EPS of $1.97 increased by 50% from previous year
  • Gross margin of 66.0%
  • Net income of 3.08B
  • "N/A" -

Philip Morris International Inc (4I1.DE) QQ3 2024 Results: Resilient Profitability and Robust Cash Flow Amid High Leverage in a Regulated Tobacco Landscape

Executive Summary

Philip Morris International reported solid QQ3 2024 results with a total revenue of USD 9.911 billion and a strong gross margin of 66.0%. The quarter delivered robust profitability, with operating income of USD 3.654 billion and net income of USD 2.082 billion, translating to an EPS of USD 1.98. YoY and QoQ momentum were evident in the top and bottom lines: revenue grew 8.42% YoY and 4.68% QoQ, while net income rose approximately 50.1% YoY and 28.1% QoQ. The company generated meaningful operating cash flow of USD 3.342 billion and free cash flow of USD 2.963 billion, supporting consistent shareholder returns even as leverage remains pronounced. Notwithstanding the earnings strength, PMI carries a heavily leveraged balance sheet: total debt USD 49.222 billion and net debt USD 44.964 billion, with total stockholders’ equity negative at USD -9.694 billion. This results in a debt-to-capitalization dynamic above 1.24 and a current ratio of 0.89, signaling liquidity and balance-sheet headwinds despite strong profitability. Management’s cadence on future earnings largely centers on sustaining pricing power, optimizing product mix toward smokefree offerings outside the United States, and ongoing cost discipline to manage leverage. The regulatory and currency backdrop in PMI’s 71-market footprint continues to be a critical driver of performance, with continued focus on price/mix, efficiency initiatives, and shareholder returns.

Key Performance Indicators

Revenue

9.91B
QoQ: 4.68% | YoY:8.42%

Gross Profit

6.55B
66.04% margin
QoQ: 6.89% | YoY:9.32%

Operating Income

3.65B
QoQ: 6.10% | YoY:11.33%

Net Income

3.08B
QoQ: 28.10% | YoY:50.05%

EPS

1.98
QoQ: 28.57% | YoY:50.00%

Revenue Trend

Margin Analysis

Key Insights

Revenue: USD 9.911B (YoY +8.42%, QoQ +4.68%) Gross Profit: USD 6.545B; gross margin 66.04% (YoY +9.32%, QoQ +6.89%) Operating Income: USD 3.654B; operating margin 36.87% (YoY +11.33%, QoQ +6.10%) EBITDA: USD 4.137B; EBITDA margin 41.74% Net Income: USD 2.082B; net margin 31.10% (YoY +50.05%, QoQ +28.10%) EPS: USD 1.98 (Diluted USD 1.97); YoY +50.00%, QoQ +28.57% Cash Flow: Operating cash flow USD 3.342B; Free cash flow USD 2.963B; Capex USD 0.379B Dividends Paid: USD 2.028B; Net cash provided by...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 10,845.00 2.23 +9.4% View
Q2 2025 10,140.00 1.95 +7.1% View
Q1 2025 9,249.00 1.72 +5.2% View
Q4 2024 9,706.00 -0.37 +7.3% View
Q3 2024 9,911.00 1.97 +8.4% View