Philip Morris (PM) April option implied volatility elevated into Q1
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Price: $182.27 +2.58%
Overall Analyst Rating:
SELL (= Flat)
Dividend Yield: 3.3%
EPS Growth %: +6.3%
Overall Analyst Rating:
SELL (= Flat)
Dividend Yield: 3.3%
EPS Growth %: +6.3%
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Philip Morris (NYSE: PM) April call option implied volatility is at 34, May is at 20; compared to its 52-week range of 14 to 27 into the expected release of Q1 results before the open on April 19.
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