


Technical Sentiment Analysis for Philip Morris International Inc (PM) As of 2026-03-10, Philip Morris International Inc (PM) is exhibiting a Neutral technical sentiment. Our proprietary analysis, which aggregates 11 technical signals, shows that 5 indicators are flashing buy, while 6 are indicating sell.
Momentum Indicators: RSI, MACD & Overbought/Oversold Status Currently, the Relative Strength Index (RSI) for PM stands at 40.495, which suggests a Neutral condition. Meanwhile, the MACD (12, 26) indicator is at -0.911, providing a Sell signal for short-term momentum. Other oscillators like the Stochastic Oscillator at 20.587 and the Commodity Channel Index (CCI) at -121.487 further confirm a -14.46 outlook for the stock.
Support, Resistance & Moving Averages From a structural perspective, PM is trading above its 60-day moving average of $172.008 and above its 200-day long-term moving average of $167.484. Key price levels to watch include the immediate resistance at $191.259 and strong support at $166.859. A break above $191.259 could signal a bull continuation, while falling below $166.859 may test the next Fibonacci floor at $154.68.
| Name | S3 | S2 | S1 | Pivot Points | R1 | R2 | R3 |
|---|---|---|---|---|---|---|---|
| Classic | 142.459 | 154.68 | 166.859 | 179.08 | 191.259 | 203.48 | 215.659 |
| Fibonacci | 154.68 | 164 | 169.759 | 179.08 | 188.4 | 194.159 | 203.48 |
2026-03-10
| Name | Value |
|---|---|
| RSI_14 | 40.495 |
| STOCHk_14_3_3 | 20.587 |
| STOCHd_14_3_3 | 16.65 |
| CCI_20 | -121.487 |
| AO_5_34 | -7.388 |
| MOM_10 | -14.46 |
| MACD_12_26_9 | -0.911 |
2026-03-10
| Period | Simple | Signal |
|---|---|---|
| MA_5 | 172.902 | Sell |
| MA_10 | 179.039 | Sell |
| MA_20 | 182.162 | Sell |
| MA_60 | 172.008 | Buy |
| MA_200 | 167.484 | Buy |
| MA_250 | 166.303 | Buy |