ALTRIA GROUP, INC. (MO) Factsheet
ALTRIA GROUP, INC. (MO) Stock Analysis
Analysis from 10-Q filed 2025-10-30. Data as of Q1 2026.
Overall Grade: F (Concerning)
Grade F (Concerning). ROIC 38.0%. FCF margin 36.8%. D/E -7.7x. Source: 10-Q filed 2025-10-30.
| Metric | Value | Context |
|---|---|---|
| ROIC | 38.0% | Above industry average |
| FCF Margin | 36.8% | Strong cash generation |
| Debt/Equity | -7.7x | Conservative leverage |
ROIC 38.0% — Top 5% of sector peers. FCF margin 36.8% — Top 5%.
Explore ALTRIA GROUP, INC.: Earnings History | Filings | ROIC Analysis
Programmatic access: Available via MCP at mcp.metricduck.com. Tools for MO: get_company_overview, get_filing_index (lens: debt_stress, management_outlook, risk_trajectory), get_filing_changes, get_metric_history, compare_companies, screen_filing_signals.
Profitability: ALTRIA GROUP, INC. earns 38.0% ROIC, Top 5% in Consumer Staples
ROIC TTM 38.0%, sector median 5.8%, Top 5%. DuPont: NOPAT margin 36.0% × asset turnover 0.7x. Gross margin 63.1%. Operating margin 47.2%. Source: 10-Q filed 2025-10-30.
| Metric | MO | Rating | Context |
|---|---|---|---|
| Return on Invested Capital (ROIC) | 38.0% | Excellent | Above sector median of 5.8% |
| Return on Equity (ROE) | -251.7% | Red flag | Moderate equity returns |
| Gross Margin | 63.1% | Excellent | Strong pricing power |
| Operating Margin | 47.2% | Excellent | Efficient operations |
Cash Flow: ALTRIA GROUP, INC. generates $8.6B FCF at 36.8% margin, positive NaN/8 quarters
FCF TTM $8.6B. FCF margin 36.8%, Top 5%. OCF/Net income 1.1x. Positive FCF in NaN/8 trailing quarters. Source: 10-Q filed 2025-10-30.
| Metric | MO | Rating | Context |
|---|---|---|---|
| Free Cash Flow Margin | 36.8% | Excellent | Excellent cash conversion |
| Free Cash Flow (TTM) | $8.6B | Good | Positive cash generation |
| OCF/Net Income | 1.1x | Excellent | High earnings quality |
| FCF Consistency (8Q) | N/A | Warning | Variable cash flow |
Balance Sheet: ALTRIA GROUP, INC. at -7.7x leverage
Debt/Equity -7.7x. Total debt $24.6B, cash & investments $3.5B. Source: 10-Q filed 2025-10-30.
| Metric | MO | Rating | Context |
|---|---|---|---|
| Debt to Equity | -7.7x | Excellent | Conservative capital structure |
| Net Cash Position | $-21.1B | Warning | Net debt position |
Valuation: ALTRIA GROUP, INC. trades at 14.0x earnings
P/E 14.0x. EV/Sales 5.7x. FCF yield 7.7%. Dividend yield 6.3%. Source: 10-Q filed 2025-10-30.
| Metric | MO | Rating | Context |
|---|---|---|---|
| P/E Ratio | 14.0x | Adequate | Reasonable valuation |
| EV/Sales | 5.7x | Adequate | Growth premium priced in |
| FCF Yield | 7.7% | Good | Attractive cash return |
| Dividend Yield | 6.3% | Good | Meaningful income |
Capital Allocation: ALTRIA GROUP, INC. returns 7.1% shareholder yield
Total shareholder yield 7.1% (div 6.3% + buyback 0.8%). Capital returned $8.0B TTM. Source: 10-Q filed 2025-10-30.
| Metric | MO | Rating | Context |
|---|---|---|---|
| Total Shareholder Yield | 7.1% | Excellent | Dividend + buyback yield combined |
| Buyback Yield | 0.8% | Adequate | Minimal buyback activity |
| Total Capital Returned (TTM) | $8.0B | Good | Dividends + buybacks returned to shareholders |
Sector Rankings
| Metric | Value | Percentile | vs Median |
|---|---|---|---|
| Return on Invested Capital (ROIC) | 38.0% | Top 5% | 6.5x above |
| Free Cash Flow Margin | 36.8% | Top 5% | 6.5x above |
| Gross Margin | 63.1% | Top 5% | 2.2x above |
| Operating Margin | 47.2% | Top 5% | 8.9x above |
| Return on Equity (ROE) | -251.7% | Top 5% | -34.6x below |
| P/E Ratio | 14.0x | N/A | - |
Financial Scorecard
| Metric | MO | Rating | Sector Context |
|---|---|---|---|
| Return on Invested Capital (ROIC) | 38.0% | Excellent | Top 5% of sector (median: 5.8%) |
| Free Cash Flow Margin | 36.8% | Excellent | Top 5% of sector (median: 5.7%) |
| Gross Margin | 63.1% | Excellent | Top 5% of sector (median: 28.8%) |
| Debt to Equity Ratio | -766.2% | Excellent | Conservative capital structure |
| P/E Ratio (Price-to-Earnings) | 14.0x | Adequate | Attractively valued |
| Free Cash Flow Yield | 7.7% | Good | Solid cash yield |
Frequently Asked Questions
Q: What is ALTRIA GROUP, INC.'s Return on Invested Capital (ROIC)?
ALTRIA GROUP, INC. (MO) has a trailing twelve-month Return on Invested Capital (ROIC) of 38.0%. Sector median 5.8%. Source: 10-Q filed 2025-10-30.
Q: What is ALTRIA GROUP, INC.'s Free Cash Flow Margin?
ALTRIA GROUP, INC. (MO) has a free cash flow margin of 36.8%, generating $8.6 billion in free cash flow over the trailing twelve months. Source: 10-Q filed 2025-10-30.
Q: What is ALTRIA GROUP, INC.'s P/E ratio and how does it compare to peers?
ALTRIA GROUP, INC. (MO) trades at a P/E ratio of 14.0x, which is above the sector median of N/A. EV/Sales 5.7x. FCF yield 7.7%. Source: 10-Q filed 2025-10-30.
Q: Does ALTRIA GROUP, INC. pay a dividend?
ALTRIA GROUP, INC. (MO) currently pays a dividend yield of 6.3%. Total shareholder yield (dividend + buybacks) 7.1%. Source: 10-Q filed 2025-10-30.
Q: What is ALTRIA GROUP, INC.'s revenue and earnings growth?
ALTRIA GROUP, INC. (MO) declined revenue by 1.1% year-over-year. EPS -20.1% YoY. Source: 10-Q filed 2025-10-30.
Q: Is ALTRIA GROUP, INC. buying back stock?
ALTRIA GROUP, INC. (MO) repurchased $954.0 million of stock over the trailing twelve months. This represents a buyback yield of 0.8%. Source: 10-Q filed 2025-10-30.
Q: How does ALTRIA GROUP, INC. compare to competitors in Consumer Staples?
Compared to other companies in Consumer Staples, ALTRIA GROUP, INC. (MO) shows: ROIC 38.0%, sector median 5.8% (Top 5%). FCF margin 36.8%, sector median 5.7% (Top 5%). Gross margin 63.1%, 34.3pp above sector median. These rankings are based on MetricDuck's analysis of all Consumer Staples companies with available SEC filings.
Q: What warning signs should I watch for with ALTRIA GROUP, INC.?
Quantitative warning flags for ALTRIA GROUP, INC. (MO): 1) ROIC declining -7.0% over 8 quarters. Source: 10-Q filed 2025-10-30.
Data Source: Data sourced from 10-Q filed 2025-10-30. TTM metrics as of Q1 2026.
Methodology: Financial metrics calculated from SEC 10-K and 10-Q filings using standardized formulas. Sector comparisons use peer group based on SIC code.
Scope: This analysis covers SEC filing fundamentals — profitability, cash flow, balance sheet, and valuation metrics. For analyst estimates and price targets, consult sell-side research.
This analysis is for informational purposes only and does not constitute investment advice.