Philip Morris Internation...

NYSE: PM · Real-Time Price · USD
166.66
1.39 (0.84%)
At close: Aug 15, 2025, 3:10 PM

Philip Morris International Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
4.18B 4.48B 4.22B 4.26B 4.88B 4.1B 3.06B 3.02B 3.49B 2.43B 3.21B 5.37B 5.04B 4.62B 4.5B 4.49B 4.92B 3.9B
Short-Term Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments
3.53B 3.19B 2.65B 5.63B 5.25B 5.18B 4.93B 4.69B 4.75B 4.5B 4.43B 4.09B 4.33B 4.31B 4.46B 4.62B 4.63B 4.64B
Other Long-Term Assets
3.85B 2.67B 2.78B 2.85B 2.33B 5.2B 5.65B 5.5B 2.72B 4.01B 3.93B 2.95B 2.6B 2.58B 2.55B 2.27B 2.42B 2.52B
Receivables
5.89B 5.79B 4.67B 5.19B 5.12B 5.05B 4.39B 4.79B 5.01B 4.6B 4.76B 4.61B 4.59B 4.42B 3.94B 4.18B 4.45B 4.09B
Inventory
10.73B 10.13B 9.45B 9.36B 9.38B 9.97B 10.77B 9.64B 9.9B 10.71B 9.89B 7.15B 7.55B 8.68B 8.72B 8.17B 8.69B 9.02B
Other Current Assets
2.57B 1.8B 1.83B 1.99B 1.65B 1.75B 1.53B 1.74B 1.43B 1.83B 1.77B 1.9B 1.2B 1B 561M 1B 693M 902M
Total Current Assets
23.36B 22.2B 20.17B 20.8B 21.03B 20.87B 19.75B 19.19B 19.84B 19.57B 19.62B 19.04B 18.38B 18.72B 17.72B 17.85B 18.74B 17.91B
Property-Plant & Equipment
8.04B 7.53B 7.31B 7.55B 7.26B 7.2B 7.52B 6.88B 6.99B 6.79B 6.71B 5.61B 5.96B 6B 6.17B 6.06B 5.97B 5.95B
Goodwill & Intangibles
28.61B 28.21B 27.93B 29.06B 28.99B 25.91B 26.64B 26.09B 25.87B 26.6B 26.39B 8.35B 8.97B 9.42B 9.5B 9.71B 7.8B 7.72B
Total Long-Term Assets
45.14B 42.88B 41.61B 46.1B 44.75B 44.44B 45.55B 43.73B 42.03B 42.49B 42.06B 21.68B 22.58B 23.01B 23.57B 23.74B 21.94B 21.89B
Total Assets
68.51B 65.08B 61.78B 66.89B 65.78B 65.31B 65.3B 62.93B 61.87B 62.06B 61.68B 40.72B 40.96B 41.73B 41.29B 41.59B 40.69B 39.8B
Account Payables
3.87B 3.75B 3.95B 3.51B 3.59B 3.65B 4.14B 3.53B 3.79B 3.94B 4.08B 3.34B 3.28B 3.2B 3.33B 2.81B 2.63B 2.54B
Deferred Revenue
n/a n/a n/a n/a -3.59B -3.65B n/a n/a -3.79B n/a n/a n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt
9.03B 10.8B 3.53B 4.99B 4.49B 5.7B 6.67B 4.8B 6.49B 6.71B 8.25B 5.46B 5.71B 5.34B 3.02B 3.34B 1.74B 2.12B
Other Current Liabilities
13.21B 11.2B 1.3B 12.58B 5.87B 5.97B 13.15B 11B 6.38B 10.46B 12.8B 9.96B 9.82B 10.11B 1.15B 9.72B 9.71B 8.6B
Total Current Liabilities
28.15B 28.09B 22.91B 23.37B 22.42B 22.17B 26.38B 21.55B 23.25B 22.98B 27.34B 20.77B 20.55B 20.42B 19.25B 17.88B 15.88B 15.21B
Long-Term Debt
42.43B 38.78B 42.17B 44.24B 44.65B 44.68B 41.24B 42.91B 41.4B 40.42B 34.88B 21.76B 22.34B 24.02B 24.78B 25.77B 27.41B 27.28B
Other Long-Term Liabilities
5.79B 4.32B 4.06B 4.46B 4.01B 4.36B 4.79B 3.27B 3.47B 3.89B 3.83B 4.66B 4.47B 4.75B 4.73B 5.86B 6.08B 6.38B
Total Long-Term Liabilities
50.37B 45.92B 48.74B 51.24B 51.31B 51.71B 48.37B 49.09B 46.58B 46.13B 40.66B 27.35B 27.67B 29.52B 30.24B 32.34B 34B 34.16B
Total Liabilities
78.52B 74B 71.65B 74.61B 73.72B 73.88B 74.75B 70.63B 69.83B 69.11B 67.99B 48.12B 48.22B 49.94B 49.5B 50.22B 49.89B 49.38B
Total Debt
51.46B 49.58B 45.7B 49.22B 49.14B 50.39B 47.91B 47.72B 47.89B 47.12B 43.12B 27.22B 28.05B 29.36B 27.81B 29.11B 29.16B 29.4B
Common Stock
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Retained Earnings
34.38B 33.45B 32.87B 35.56B 34.58B 34.21B 34.09B 33.92B 33.89B 34.3B 34.29B 33.87B 33.76B 33.47B 33.08B 32.94B 32.47B 32.18B
Comprehensive Income
-13.15B -11.12B -11.31B -11.89B -10.93B -11.06B -11.81B -9.82B -10.04B -9.61B -9.56B -9.29B -9.04B -9.76B -9.58B -10.52B -10.66B -10.75B
Shareholders Equity
-11.97B -10.9B -11.75B -9.69B -9.74B -10.31B -11.22B -9.43B -9.7B -8.92B -8.96B -9.14B -9.04B -10.1B -10.11B -10.55B -11.11B -11.55B
Total Investments
3.53B 3.19B 2.65B 5.63B 5.25B 5.18B 4.93B 4.69B 4.75B 4.5B 4.43B 4.09B 4.33B 4.31B 4.46B 4.62B 4.63B 4.64B