Technical Summary
PM
Philip Morris International Inc.stockComposite Signal
Range −100 (bearish) to +100 (bullish)
Trend strength is weak (ADX 13.8 < 20), so this score is damped by half — indicators disagree on direction or the market is ranging.
This is a mechanical summary of 11 technical indicators computed from past price data. It is not a prediction and not a buy, sell, or hold recommendation.
How the composite signal is calculated →Technical context
Evidence from the current daily chart — not a price target or recommendation.
Upward evidence
- Support / Resistance · near support 185.64
- Moving Averages · price above MA200, MA20 > MA50
Downward evidence
- Relative Volume · 1.94× vol on down day
Score change · 5 sessions
+24.7
Score change · 20 sessions
+27.8
Current band held
4 sessions
Nearest support
$185.64 · -1.58%
Nearest resistance
$195.94 · +3.88%
Relative strength
Return difference against the benchmark over the same daily sessions.
vs SPY
1M
+0.27%
3M
+3.73%
6M
+0.01%
vs XLP
1M
+3.63%
3M
+6.33%
6M
+14.44%
Support & Resistance
Category Breakdown
- Moving Averagesprice above MA200, MA20 > MA50
- MACD (12/26/9)above signal, hist +
- Parabolic SARSAR below price (up)
- RSI (14)48.7 — neutral
- Stochastic %K (14)52.6 — neutral
- CCI (20)-28 — neutral
- Williams %R (14)-47 — neutral
- OBV Divergenceprice ↑ / OBV ↑ (confirms up)
- Relative Volume1.94× vol on down day
- Support / Resistancenear support 185.64
- Bollinger Position43% of band
Statistics
- Open
- $188.00
- Prev Close
- $190.48
- Day Range
- $186.56 – $191.00
- 52W High
- $207.76
- 52W Low
- $142.11
- Volume
- 7.8M
- Avg Vol (20d)
- 4M