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PM

Philip Morris International

Consumer StaplesTobaccoNYSEData 2026-09-25Live

$190.48

-0.53%

202.99189.85176.71163.57150.4303-3009-25
Low 150.43 · High 202.992026-03-30 → 2026-09-25 · 125 bars

Indicators

Stored indicator values
IndicatorValueMeaning
Quality rank91.6Cross-sectional percentile built by the pipeline
RSI 1451.7Relative strength index over 14 days
SMA 20189.2320-day simple moving average
SMA 50190.0850-day simple moving average
EMA 20189.8820-day exponential moving average
ATR 144.46Average true range over 14 days
RVOL 200.88Volume relative to its own 20-day average

Values are read from the stored feature table as of 2026-09-25, source yahoo. A dash means the pipeline has no value for that indicator; it is not replaced by an estimate.

Detected patterns

  • Gap up

    2026-09-14

    BULLISH

    Strength 22%

  • Gap down

    2026-07-30

    BEARISH

    Strength 26%

  • Volatility breakout

    2026-07-28

    BULLISH

    Strength 100%

  • Gap up

    2026-07-22

    BULLISH

    Strength 21%

  • Volatility breakout

    2026-07-16

    BULLISH

    Strength 100%

  • Volatility breakout

    2026-07-07

    BULLISH

    Strength 100%

A pattern is a description of stored prices, not a prediction. Crosses need more than 200 bars, so an instrument with a short history shows fewer of them.

Related news

No news linked to this instrument

The news pipeline links a headline to an instrument when the source allows it. Nothing is currently linked.