Philip Morris Intl Inc (NYSE:PM) Shareholder Cam Group Holding A Lowered Its Position by $14.09 Million as Price Declined

May 3, 2018 - By Carey Conley

Philip Morris International Inc. (NYSE:PM) Corporate LogoBig Money Sentiment increased to 1.11 in Q4 2017. It has change of 0.14, from 2017Q3’s 0.97. The ratio is positive due to PM positioning: 74 sold and 467 reduced. 109 funds took positions and 493 increased positions. Investors holded 1.10 billion in 2017Q3 but now own 1.09 billion shares or 0.42% less. Btc Management holds 0.04% or 2,293 shs. Sii Invs Inc Wi holds 5,004 shs or 0.05% of its capital. Holderness Invests holds 0.19% in Philip Morris International Inc. (NYSE:PM) or 3,632 shs. Winslow Evans And Crocker has 1,250 shs. Silvercrest Asset Mgmt Gp Limited Liability has 0.14% invested in Philip Morris International Inc. (NYSE:PM) for 147,216 shs. Troy Asset Management Ltd holds 2.20 million shs. Fulton Bank Na holds 0.32% in Philip Morris International Inc. (NYSE:PM) or 42,912 shs. Bailard reported 0.02% of its capital in Philip Morris International Inc. (NYSE:PM). Ubs Asset Management Americas has invested 0.44% in Philip Morris International Inc. (NYSE:PM). Cape Cod Five Cents State Bank reported 0.1% of its capital in Philip Morris International Inc. (NYSE:PM). Sit Investment Associates has 188,167 shs for 0.47% of their capital. Bouchey Fin Grp reported 4,245 shs. Old Mutual Customised Solutions (Proprietary) Limited has invested 0.3% in Philip Morris International Inc. (NYSE:PM). Schafer Cullen Mgmt has invested 1.13% of its capital in Philip Morris International Inc. (NYSE:PM). Birmingham Management Inc Al, Alabama-based fund reported 4,525 shs.

PM had 2 sales and 2 insider buys since February 21, 2018. This’s net activity of $5.77 million. $5.08 million worth of Philip Morris International Inc. (NYSE:PM) shs were sold by CALANTZOPOULOS ANDRE. On Wednesday, February 21 Shares for $1.43M were sold by FIRESTONE MARC S. Whitson Jerry bought $248,282 worth of stock.

In Philip Morris Intl Inc (NYSE:PM) was reduced the stake owned by Cam Group Holding A. The decrease is 5.02% according to 2018Q1 Securities and Exchange form. 142,284 shares were sold by Cam Group Holding A as the company’s stock declined 7.57% with the market. The farming and seeds and milling company at the end of 2018Q1 was valued at $267.54M. It’s down from 2.83 million at the end of the previous reported quarter. Now it had 2.69M shares held by the institutional investor . Cam Group Holding A has risen its stake in and also increased its holding in by shares in the quarter, for a total of shares.

Philip Morris International Inc. (NYSE:PM) Ratings Coverage

Total analysts of 10 have positions in Philip Morris (NYSE:PM) as follows: 9 rated it a “Buy”, 1 with “Sell” and 0 with “Hold”. The positive are 90%. The firm has $137.0 highest while $100 is the lowest price target. The average target $112.25 is 40.14% above the last ($80.1) price. Since November 15, 2017 according to StockzIntelligence Inc Philip Morris has 16 analyst reports. On Tuesday, April 24 the firm has “Buy” rating by Deutsche Bank given. On Thursday, February 8 the firm earned “Buy” rating by Piper Jaffray. On Thursday, April 19 the stock of Philip Morris International Inc. (NYSE:PM) has “Buy” rating given by Cowen & Co. On Friday, April 20 Bank of America downgraded the shares of PM in report to “Underperform” rating. On Thursday, January 11 the stock of Philip Morris International Inc. (NYSE:PM) earned “Buy” rating by Piper Jaffray. The stock rating was maintained by Morgan Stanley with “Overweight” on Tuesday, January 30. In Wednesday, November 15 report Wells Fargo maintained the stock with “Buy” rating. On Thursday, April 19 the company was maintained by Piper Jaffray. The stock rating was maintained by Edward Jones with “Buy” on Thursday, April 19. On Friday, April 20 the stock of Philip Morris International Inc. (NYSE:PM) earned “Buy” rating by Stifel Nicolaus.

Philip Morris International Inc., through its subsidiaries, makes and sells cigarettes, other tobacco products, and other nicotine-containing products.The company has $124.51 billion market cap. The Company’s portfolio of brands comprises Marlboro, Merit, Parliament, Virginia S., L&M, Philip Morris, Bond Street, Chesterfield, Lark, Muratti, Next, and Red & White.The P/E ratio is 20.64. The firm also owns various cigarette brands, such as Dji Sam Soe, Sampoerna, and U Mild in Indonesia; Champion, Fortune, and Jackpot in the Philippines; Apollo-Soyuz and Optima in Russia; Morven Gold in Pakistan; Boston in Colombia; Belmont, Canadian Classics, and Number 7 in Canada; f6 in Germany; Delicados in Mexico; Assos in Greece; and Petra in the Czech Republic and Slovakia.

Philip Morris International Inc. (NYSE:PM) Institutional Investors Chart

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