TickerRisk
Learn Pricing Open Scanner

Philip Morris International Inc. (PM) Options Risk Score

Real-time risk analysis for PM options traders — updated every 30 minutes.

46
MEDIUM Risk
53.4
IV Rank
35.3%
IV %
2026-07-22
Next Earnings
Cigarettes
Sector

Data last updated: 2026-07-23

Run a full PM options risk analysis

See the complete risk breakdown — news catalysts, SEC filings, legal proceedings, earnings overlap, IV vs HV, options flow and Expected Move — all in one scan.


Scan PM Now — Free →

Is it risky to sell options on Philip Morris International Inc. (PM) right now?

Philip Morris International Inc. (PM) currently scores 46 out of 100 for options catalyst risk (MEDIUM) over a 4-week expiry window. That score is driven by 1 recent news item, 10 active legal filings and 1 recent SEC event falling inside the 4-week window. MEDIUM covers 45 to 69: there is something on PM's calendar worth reading before you pick an expiry, without it dominating the trade. Direction is not part of what the score measures.

PM shows an IV Rank of 53, putting implied volatility in the middle of its one-year range — options are moderately priced, with a current implied volatility of about 35%. IV Rank answers how PM options are priced against their own history, which is the starting point for choosing between selling and buying premium.

PM does not report again until 2026-07-22, so near-dated expiries avoid it.

TickerRisk provides risk scoring for informational purposes only. This is not financial advice. Options trading involves substantial risk of loss. Full disclaimer