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Philip Morris International Inc (PM) - Buy, Sell or Hold?

Sector: Consumer Non-Durables   Sub-Sector: Farming/Seeds/Milling
Trade DateCurrent Candlestick PatternPrevious Candlestick PatternWhenPerformance Since
Tue, 27 Jun 2017NoneHanging ManMon, 05 Jun 2017-3.14%
***Stock database and scans are updated around midnight (New York time) every trading day.
118.14 0.00 (0%) Jun 27 4:01pm EDT
Open: 119.60 Range: 117.84 - 120.20 Vol: 0.51K Avg Vol: 4.07M
EPS: 4.52 P/E ratio: 26.15 EBITDA: 11.50B Mkt Cap: 183.49B
Analyze "PM" - FREE 30 Day Trial of Market Analyst 7
Short Term: Trend is Down
Last Trade is below the 5 day moving average at 119.25
Medium Term: Trend is Up
Last Trade is above the 20 day moving average at 117.78
Last Trade is above the 50 day moving average at 114.48
Long Term: Trend is Up
Last Trade is above the 200 day moving average at 102.14
* Data normalized for Splits & Dividends. Report data issues
How to use this info: Stock Timing With Moving Averages
Daily Chart of PM

Stock Trend Analysis - Buy, Sell or Hold "Philip Morris International Inc" (PM)?

PM is in a long term trading range with an upward bias. The last 52 weeks has seen this stock maintain an upward swing with about 68% of the time spent trading above the 200 day moving average. In the medium term, the 50 day moving average for PM is very bullish, indicating good swing trading opportunities for longs. The 20 day moving average generally supports both the longer and medium term trends and is exhibiting a bullish bias. Unless key support levels currently at 102.14 and 114.48 are convincingly penetrated, the buy the dips strategy is still the higher probability trade. Click here for the latest support & resistance levels to help you finetune your entry into or exit out of "PM".

The analyst consensus estimates for the 1 year price target for this stock is $121.76* (*source: Yahoo Finance).

Objective Technical Analysis by BannRonn TA LogicEngine ver 1.1. Last Updated - Tue, 27 Jun 2017
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