Procter & Gamble Company (The) vs Philip Morris International Inc — Stock Comparison

Procter & Gamble Company (The) (PG) and Philip Morris International Inc (PM) are both listed on US exchanges. This page compares their Q·Score ratings, key fundamentals (P/E, margins, growth), and Wall Street analyst consensus side by side. Data sourced from Yahoo Finance and updated on each page load.

Q·Score Winner
Procter & Gamble Company (The)
PG7.5/10vs 6.9/10

Procter & Gamble Company (The) narrowly edges Philip Morris International Inc on Q·Score (7.5 vs 6.9 out of 10), led by Quality (9.3 vs 7.3) and Health (7.3 vs 5.4). Philip Morris International Inc scores higher on Sentiment, reflecting stronger analyst and market sentiment. Analyst price targets imply similar upside for both: +8.3% for PG and +7.8% for PM.

Price Performance

Normalised to 100 at period start — shows relative performance.

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PGPM

Q·Score Breakdown

7.5
Bullish
Overall
6.9
Neutral
9.3
Quality
7.3
7.3
Health
5.4
7
Growth
7
6.8
Valuation
7.3
6.6
Sentiment
7.3
PG

High-quality business with 31% return on equity and 19% profit margins.

PM

Strong profitability with 27% net profit margins.

balance sheet warrants attention.

Analyst Consensus

Bullish
+8.3%
Target $163.43
23 analysts
Bullish
+7.8%
Target $193.86
14 analysts

Fundamentals

PG
PM
22.0×
Trailing P/E
25.3×
21.3×
Forward P/E
19.7×
19.16%
Profit Margin
26.74%
50.98%
Gross Margin
67.28%
31.11%
ROE
7.40%
Revenue Growth
9.10%
5.80%
Earnings Growth
-9.30%
0.39
Beta
0.41
$351.3B
Market Cap
$280.2B
52-Week Range
PG
$13845% of range$167
PM
$14274% of range$193

Frequently Asked Questions

PG vs PM: which stock scores better overall?

Based on Q·Score, Procter & Gamble Company (The) (PG) scores 7.5/10 versus Philip Morris International Inc (PM) at 6.9/10. The Q·Score measures five dimensions: Quality, Health, Growth, Valuation, and Sentiment. For informational purposes only — not financial advice.

Which has better revenue growth: PG or PM?

Procter & Gamble Company (The) (PG) scores higher on Growth (7/10 vs 7/10). Procter & Gamble Company (The) reports revenue growth (7.4% YoY) while Philip Morris International Inc reports (9.1% YoY). Growth scores reflect revenue and earnings momentum relative to sector peers.

Is PG or PM more attractively valued?

Philip Morris International Inc (PM) scores higher on Valuation (7.3/10 vs 6.8/10). PG trades at 21.3× P/E versus PM at 19.7×. Valuation is assessed using P/E ratio, analyst price targets, and 52-week range positioning relative to sector peers.

What do analysts say about PG vs PM?

There are 23 analysts covering PG with a consensus price target of $163.43, and 14 analysts covering PM with a consensus target of $193.86. Analyst consensus ratings are aggregated from Wall Street research and do not constitute investment advice.

Which is more profitable: PG or PM?

Procter & Gamble Company (The) (PG) scores higher on Quality (9.3/10 vs 7.3/10). Net profit margin: PG at 19.2%, PM at 26.7%. Quality scores reflect profit margins, return on equity, and free cash flow generation.

Which has stronger financial health: PG or PM?

Procter & Gamble Company (The) (PG) scores higher on Financial Health (7.3/10 vs 5.4/10). Market beta: PG at 0.39, PM at 0.41. Health scores consider beta, debt-to-equity, and current ratio. All investments carry risk — this is not investment advice.

What are the market caps of PG and PM?

Procter & Gamble Company (The) (PG) has a market capitalisation of $351.3B, while Philip Morris International Inc (PM) has a market cap of $280.2B. Market cap data is sourced from Yahoo Finance and reflects the most recent available figures.

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Q·Score is an educational tool and is not financial advice. Data provided by Yahoo Finance. Updated on each page load. How it's calculated →

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