Stock vs Stock Comparison

Philip Morris International Inc. vs Walmart Inc.

PM wins the Tale of the Tape 7–2.

PM$173.66
WMT$113.06

🏆 Tale of the Tape

72
PMWMT
27.9%Profitability (Net Margin)3.1%
25.0xValuation (P/E)40.8x
27.9%Efficiency (ROIC)14.4%
8/9Health (Piotroski F)7/9
4.0Safety (Altman Z)6.7
7.3%Growth (Rev YoY)4.7%
0.31Risk (Sharpe 1Y)1.40
-9.62xBalance Sheet (D/E)1.68x
3.67%FCF Yield1.44%

Green = winner in each category. Higher is better except P/E (lower = cheaper).

Rolling Correlation

0.283
252-Day Correlation
0.338
126-Day Correlation

Low correlation — excellent diversification pair.

Fundamentals

MetricPMWMT
Market Cap$276.5B$922.6B
P/E Ratio25.0x40.8x
Forward P/E19.4x35.2x
P/B-27.63x9.26x
Dividend Yield3.31%0.86%
Beta0.390.65

Quantitative Metrics

MetricPMWMT
DCF Fair Value$114.10$40.45
DCF Upside-29.9%-67.5%
Piotroski F8/97/9
Altman Z3.976.70
Beneish M-2.36-2.72
FCF Yield3.67%1.44%
Net Debt/EBITDA2.3x0.5x
ROIC27.9%14.4%
WACC7.4%8.8%
ROIC – WACC20.5pp5.6pp
Gross Margin67.1%24.9%
Net Margin27.9%3.1%
Rev Growth YoY7.3%4.7%
Sharpe (1Y)0.311.40
Max Drawdown 3Y
FCF Payout Ratio81%50%

PM Price

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WMT Price

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ETF Exposure

PM found in:

IYK10.25%
XLP6.15%
HDV5.36%
VDC4.17%
DGRO1.94%
MGV1.27%
DVY1.17%
VYM1.07%
VTV1.00%
SCHV0.98%
IWD0.85%
VONV0.79%
SPYG0.47%
SCHX0.47%
SPY0.46%
SPYV0.45%
SCHB0.44%
SPTM0.43%
IVV0.43%
VOO0.42%
VONE0.39%
SPLG0.39%
ITOT0.38%
VTI0.37%
URTH0.34%
ACWI0.29%
QUS0.28%
RSP0.23%
VT0.23%
ONEO0.14%
VFMO0.09%

WMT found in:

VDC16.16%
XLP11.15%
IYC4.59%
MGV2.87%
VIG2.60%
VTV2.25%
IVE2.03%
SCHV1.89%
SPYV1.84%
IWD1.60%
VONV1.58%
QUS1.52%
NOBL1.49%
DIA1.48%
XRT1.39%
LRGF1.25%
VFQY1.18%
DGRW0.97%
VOO0.94%
SCHX0.90%
VONE0.87%
SCHB0.84%
IVV0.83%
SPY0.83%
VTI0.83%
SPTM0.77%
SPLG0.76%
ITOT0.74%
URTH0.66%
ACWI0.54%
VT0.51%
VFMV0.47%
SDY0.32%
VFMO0.24%
RSP0.21%
IWF0.19%
VONG0.18%
ONEO0.01%

More Comparisons

Quant metrics computed from financial statements and 1,200+ trading days. Correlation is Pearson coefficient on daily log returns. Not investment advice.

PM vs WMT: Head-to-Head Analysis

Philip Morris International Inc. (PM) and Walmart Inc. (WMT) represent two companies in the Consumer Defensive sector. In our quantitative Tale of the Tape scoring, PM leads 7–2 across nine fundamental and risk metrics including profitability, valuation, capital efficiency, and financial health.

In terms of capital efficiency, PM generates a return on invested capital (ROIC) of 27.9% compared to WMT's 14.4%. This suggests PM is more effective at deploying capital to generate shareholder returns.

The 252-day rolling correlation between PM and WMT is 0.283, indicating low correlation, making them an effective diversification pair in a portfolio context.

PM appears in 31 ETFs tracked by SecuritiesDB, while WMT appears in 38 ETFs. Investors holding broad-market ETFs may already have indirect exposure to both stocks.

Frequently Asked Questions

Which stock is the better investment, PM or WMT?

Our quantitative analysis compares PM and WMT across nine fundamental dimensions. PM wins the Tale of the Tape 7–2. However, stock selection depends on your individual risk tolerance, time horizon, and portfolio context. These metrics are computed from SEC filings and market data — they are not investment recommendations.

Are PM and WMT correlated?

The 252-day correlation between PM and WMT is 0.283. They have low correlation, offering good diversification.

How is the Tale of the Tape scored?

The Tale of the Tape compares both stocks across nine categories: profitability (net margin), valuation (P/E), efficiency (ROIC), health (Piotroski F-Score), safety (Altman Z-Score), growth (revenue YoY), risk (Sharpe ratio), leverage (debt-to-equity), and cash generation (FCF yield). The stock that wins more categories takes the overall score. Lower P/E and lower debt-to-equity count as wins.