The Moat Index

Philip Morris International Inc.

PM · Consumer Staples · FY2025 filings · Narrow moat

On the watchlist

79/ 100
Narrow moat

The four filters

Pricing power100

Median gross margin 64.8% over 10y, very stable.

Returns on capital100

Median ROIC 59.3%, above the 9% hurdle in 100% of years.

Balance-sheet safety38

Net debt/EBITDA 2.6x, interest coverage 9x.

Capital discipline59

Owner earnings +6.0%/yr, share count n/a.

Margin of safety

Above valueOn sale
No price data
Owner earnings (normalized)
$9.0B
Est. intrinsic value / share
Recent price
$191.03
Discount to value
No price data

Conservative model: 9% discount rate, 4% assumed growth (capped at 4%), maintenance capex ≈ min(capex, D&A).

Moat Score history

Score history begins 2026-07-17. Check back as the record builds.

Scores are logged append-only and never overwritten — this record can't be backfilled, which is exactly why it's worth keeping.

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Philip Morris International Inc. (PM) Moat Score — The Moat Index · Buy Like Buffett