PM
Philip Morris International IncConsumer Defensive$158.10
▲ Bullish
Mkt Cap: $246.40B|Float: 1.55B|SI: 1.1%|DTC: 3.2
Data as of market close Apr 2, 2026
IV Rank
73
IV Pctl
56%
HV 20d
3048.0%
52W Range
$140-$190
ATR(14)
$3.96
Exp. Move
±1.5%
P/C Ratio
1.00
Earnings
Apr 22
GEX Negative
DEX Long
Net Call Premium
IV High
Max Pain Above
Exp. Move Narrow
PM Key Options Data
- IV Rank
- 73.3%
- Total GEX
- $-0.00B
- Total DEX
- $4.1M
- Max Pain
- $165.00
- Expected Move
- ±1.5%
- Put/Call OI
- 1.00
- Net Premium
- $2.5M
- Spot Price
- $158.10
Gamma Exposure (GEX)
Delta Exposure (DEX)
Expected Move by Expiration
| Expiration | DTE | Expected Move | Move % | Lower | Upper |
|---|---|---|---|---|---|
| 2026-04-10 | 8 | ±$2.35 | ±1.5% | $155.75 | $160.45 |
| 2026-04-17 | 15 | ±$3.45 | ±2.2% | $154.65 | $161.55 |
| 2026-04-24 | 22 | ±$6.50 | ±4.1% | $151.60 | $164.60 |
| 2026-05-01 | 29 | ±$7.05 | ±4.5% | $151.05 | $165.15 |
| 2026-05-08 | 36 | ±$7.85 | ±5.0% | $150.25 | $165.95 |
| 2026-05-15 | 43 | ±$14.85 | ±9.4% | $143.25 | $172.95 |
Explore PM options data including implied volatility rankings, gamma and delta exposure, max pain levels, and expected price moves. AI-generated reports provide directional, income, and earnings analysis.