Interactive Share Price Graph

Share Price
PM (Common Stock)

$10772

1.20 (+1.13%)

  • Open
  • $106.44
  • High
  • $107.77
  • Low
  • $105.80
  • Vol
  • 5,549,728
Feb 24, 2017 4:00 PM ET Minimum 20 minute delay
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Annual Dividend

PMI has increased its annual dividend every year since becoming a public company in 2008, representing a total increase of 126.1%, or a compound annual growth rate of 10.7%.

On March 28, 2008, Altria Group, Inc. completed the spin-off of 100% of the shares of Philip Morris International Inc. to Altria’s shareholders.”  

PMI_INVESTORS_dividend.jpg
Dividend Schedule

Dividends are declared and approved at the discretion of the Board of Directors. The anticipated dividend dates have been adjusted to fit the calendar of Board meetings. Dates chosen for Board meetings take into account a variety of factors, including other items on the corporate calendar and the schedules of Directors.

Declaration dateRecord DatePayment DateEx-Dividend Date
Mar 9, 2017Mar 23, 2017Apr 11, 2017Mar 21, 2017
Jun 9, 2017Jun 23 2017Jul 11, 2017Jun 21, 2017
Sep 13, 2017Sep 27, 2017Oct 12, 2017Sept 25, 2017
Dec 7, 2017Dec 21, 2017Jan 11, 2018Dec 19, 2017
Dividend History
Declared Ex-date Record Payable Amount Type
Dec 07, 2016 Dec 20, 2016 Dec 22, 2016 Jan 10, 2017 $1.04 Cash, quarterly
Sep 14, 2016 Sep 26, 2016 Sep 28, 2016 Oct 13, 2016 $1.04 Cash, quarterly
Jun 09, 2016 Jun 21, 2016 Jun 23, 2016 Jul 11, 2016 $1.02 Cash, quarterly
Mar 10, 2016 Mar 22, 2016 Mar 25, 2016 Apr 11, 2016 $1.02 Cash, quarterly
Dec 09, 2015 Dec 21, 2015 Dec 23, 2015 Jan 08, 2016 $1.02 Cash, quarterly
Sep 16, 2015 Sep 28, 2015 Sep 30, 2015 Oct 14, 2015 $1.02 Cash, quarterly
Jun 11, 2015 Jun 23, 2015 Jun 25, 2015 Jul 10, 2015 $1.00 Cash, quarterly
Mar 11, 2015 Mar 24, 2015 Mar 26, 2015 Apr 10, 2015 $1.00 Cash, quarterly
Dec 10, 2014 Dec 22, 2014 Dec 24, 2014 Jan 09, 2015 $1.00 Cash, quarterly
Sep 10, 2014 Sep 23, 2014 Sep 25, 2014 Oct 10, 2014 $1.00 Cash, quarterly
Jun 11, 2014 Jun 24, 2014 Jun 26, 2014 Jul 11, 2014 $0.94 Cash, quarterly
Mar 12, 2014 Mar 25, 2014 Mar 27, 2014 Apr 11, 2014 $0.94 Cash, quarterly
Dec 11, 2013 Dec 23, 2013 Dec 26, 2013 Jan 10, 2014 $0.94 Cash, quarterly
Sep 11, 2013 Sep 24, 2013 Sep 26, 2013 Oct 11, 2013 $0.94 Cash, quarterly
Jun 12, 2013 Jun 25, 2013 Jun 27, 2013 Jul 12, 2013 $0.85 Cash, quarterly
Mar 13, 2013 Mar 26, 2013 Mar 28, 2013 Apr 12, 2013 $0.85 Cash, quarterly
Dec 12, 2012 Dec 24, 2012 Dec 27, 2012 Jan 13, 2013 $0.85 Cash, quarterly
Sep 12, 2012 Sep 25, 2012 Sep 27, 2012 Oct 11, 2012 $0.85 Cash, monthly
Jun 13, 2012 Jun 25, 2012 Jun 27, 2012 Jul 12, 2012 $0.77 Cash, quarterly
Mar 14, 2012 Mar 27, 2012 Mar 29, 2012 Apr 12, 2012 $0.77 Cash, quarterly
Dec 07, 2011 Dec 20, 2011 Dec 22, 2011 Jan 10, 2012 $0.77 Cash, quarterly
Sep 14, 2011 Sep 23, 2011 Sep 27, 2011 Oct 11, 2011 $0.77 Cash, quarterly
Jun 08, 2011 Jun 21, 2011 Jun 23, 2011 Jul 11, 2011 $0.64 Cash, quarterly
Mar 09, 2011 Mar 22, 2011 Mar 24, 2011 Apr 11, 2011 $0.64 Cash, quarterly
Dec 10, 2010 Dec 21, 2010 Dec 23, 2010 Jan 10, 2011 $0.64 Cash, quarterly
Sep 10, 2010 Sep 22, 2010 Sep 24, 2010 Oct 08, 2010 $0.64 Cash, quarterly
Jun 09, 2010 Jun 22, 2010 Jun 24, 2010 Jul 09, 2010 $0.58 Cash, quarterly
Mar 11, 2010 Mar 23, 2010 Mar 25, 2010 Apr 09, 2010 $0.58 Cash, quarterly
Dec 09, 2009 Dec 23, 2009 Dec 28, 2009 Jan 11, 2010 $0.58 Cash, quarterly
Sep 15, 2009 Sep 24, 2009 Sep 28, 2009 Oct 10, 2009 $0.58 Cash, quarterly
Jun 10, 2009 Jun 22, 2009 Jun 24, 2009 Jul 10, 2009 $0.54 Cash, quarterly
Mar 12, 2009 Mar 23, 2009 Mar 25, 2009 Apr 09, 2009 $0.54 Cash, quarterly
Dec 16, 2008 Dec 23, 2008 Dec 26, 2008 Jan 09, 2009 $0.54 Cash, quarterly
Aug 29, 2008 Sep 11, 2008 Sep 15, 2008 Oct 10, 2008 $0.54 Cash, quarterly
Jun 18, 2008 Jun 26, 2008 Jun 30, 2008 Jul 10, 2008 $0.46 Cash, quarterly
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Owning PMI Stock

If you hold your shares with a financial institution, such as a bank or broker, and want information about your account, please contact your financial institution directly. If you hold stock certificates or you hold stock in our dividend-reinvestment plan, you can manage your account through services offered via the Investor Center of our transfer agent, Computershare.

Contact Details

Computershare Investment Plan
for Philip Morris International Inc.
P.O. Box 43078
Providence, RI 02940 USA

Bond Information

ISIN Number Currency Nominal Amount Coupon Issue Date Maturity Date Offering Format
US718172AN93USD550,000,0001.625%Mar 20, 2012Mar 20, 2017S-3 Shelf
US718172BP33 USD 500,000,000 1.250% Aug 11, 2015 Aug 11, 2017 S-3 Shelf
US718172AS80 USD 750,000,000 1.125% Aug 21, 2012 Aug 21, 2017 S-3 Shelf
US718172BN84 USD 500,000,000 1.250% Nov 10, 2014 Nov 9, 2017 S-3 Shelf
US718172AA72 USD 2,500,000,000 5.650% May 16, 2008 May 16, 2018 S-3 Shelf
US718172BF50 USD 750,000,000 1.875% Nov 12, 2013 Jan 15, 2019 S-3 Shelf
US718172BW83USD 750,000,0001.625%Feb 21, 2017Feb 21, 2019S-3 Shelf
US718172BR98 USD 500,000,000 1.375% Feb 25, 2016 Feb 25, 2019 S-3 Shelf
CH0206903764 CHF 200,000,000 0.875% Mar 11, 2013 Mar 11, 2019 Stand alone
XS0787510618 EUR 750,000,000 2.125% May 30, 2012 May 30, 2019 S-3 Shelf
CH0243069355 CHF 275,000,0000.750% May 16, 2014Dec 16, 2019Stand alone
US718172BX66USD 1,000,000,0002.000%Feb 21, 2017Feb 21, 2020S-3 Shelf
US718172BY40USD 300,000,000FloatFeb 21, 2017Feb 21, 2020S-3 Shelf
XS0906815088 EUR 1,250,000,000 1.750% Mar 19, 2013 Mar 19, 2020 S-3 Shelf
US718172AH26 USD 1,000,000,000 4.500% Mar 26, 2010 Mar 26, 2020 S-3 Shelf
CH0193296990 CHF 325,000,000 1.000% Sep 18, 2012 Sep 18, 2020 Stand alone
US718172BS71 USD 750,000,000 1.875% Feb 25, 2016 Feb 25, 2021 S-3 Shelf
XS1040104231 EUR 750,000,000 1.875% Mar 03, 2014 Mar 03, 2021 S-3 Shelf
US718172AK54 USD 350,000,000 4.125% May 16, 2011 May 17, 2021 S-3 Shelf
US718172AL38 USD 750,000,000 2.900% Nov 15, 2011 Nov 15, 2021 S-3 Shelf
CH0136594386 CHF 300,000,000 2.000% Dec 6, 2011 Dec 6, 2021 Stand alone
US718172BZ15USD 500,000,0002.625%Feb 21, 2017Feb 18, 2022S-3 Shelf
US718172AT63 USD 750,000,000 2.500% Aug 21, 2012 Aug 22, 2022 S-3 Shelf
US718172AV10 USD 600,000,000 2.625% Mar 4, 2013 Mar 6, 2023 S-3 Shelf
US718172BU28 USD 500,000,000 2.125% May 10, 2016 May 10, 2023 S-3 Shelf
US718172BE85 USD 500,000,000 3.600% Nov 12, 2013 Nov 15, 2023 S-3 Shelf
CH0243069363 CHF 250,000,000 1.625% May 16, 2014 May 16, 2024 Stand alone
XS0787527349 EUR 600,000,000 2.875% May 30, 2012 May 30, 2024 S-3 Shelf
US718172BM02 USD 750,000,000 3.250% Nov 10, 2014 Nov 10, 2024 S-3 Shelf
XS0906815591 EUR 750,000,000 2.750% Mar 19, 2013 Mar 19, 2025 S-3 Shelf
US718172BQ16 USD 750,000,000 3.375% Aug 11, 2015 Aug 11, 2025 S-3 Shelf
US718172BT54 USD 750,000,000 2.750% Feb 25, 2016 Feb 25, 2026 S-3 Shelf
XS1040105980 EUR 1,000,000,000 2.875% Mar 03, 2014 Mar 03, 2026 S-3 Shelf
XS1066312395 EUR 500,000,000 2.875% May 13, 2014 May 14, 2029 S-3 Shelf
XS0940697187 EUR 500,000,000 3.125% Jun 3, 2013 Jun 3, 2033 S-3 Shelf
XS1408421763 EUR 500,000,000 2.000% May 9, 2016 May 9, 2036 S-3 Shelf
US718172AC39 USD 1,500,000,000 6.375% May 16, 2008 May 16, 2038 S-3 Shelf
US718172AM11 USD 750,000,000 4.375% Nov 15, 2011 Nov 15, 2041 S-3 Shelf
US718172AP42 USD 700,000,000 4.500% Mar 20, 2012 Mar 20, 2042 S-3 Shelf
US718172AU37 USD 750,000,000 3.875% Aug 21, 2012 Aug 21, 2042 S-3 Shelf
US718172AW92 USD 850,000,000 4.125% Mar 4, 2013 Mar 4, 2043 S-3 Shelf
US718172BD03 USD 750,000,000 4.875% Nov 12, 2013 Nov 15, 2043 S-3 Shelf
US718172BL29 USD 1,250,000,000 4.250% Nov 10, 2014 Nov 10, 2044 S-3 Shelf
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