Philip Morris (PM) option implied volatility elevated as shares sell off on earnings and outlook
Get Alerts PM Hot Sheet
Price: $174.51 -2.18%
Overall Analyst Rating:
SELL (= Flat)
Dividend Yield: 3.4%
Revenue Growth %: +4.5%
Overall Analyst Rating:
SELL (= Flat)
Dividend Yield: 3.4%
Revenue Growth %: +4.5%
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Philip Morris (NYSE: PM) April call option implied volatility is at 64, May is at 27; compared to its 52-week range of 13 to 27 put ratio1.6 calls to 1 put with focus on April 88 and 89 calls as shares sell off 15%
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