HomeCompareAVXX vs PM

AVXX vs PM: Dividend Comparison 2026

AVXX yields 0.28% · PM yields 3.48%● Live data

vsPost on X →
After 10 years · $10,000 invested · DRIP enabled
🏆 PM wins by $29.5K in total portfolio value
10 years
AVXX
AVXX
● Live price
0.28%
Share price
$10.40
Annual div
$0.03
5Y div CAGR
0%
Payout ratio
50%
After 10 yrs · $10,000 · DRIP
Portfolio value
$20.1K
Annual income
$28.41
Full AVXX calculator →
PM
Philip Morris International
● Live price
3.48%
Share price
$165.34
Annual div
$5.76
5Y div CAGR
17.2%
Payout ratio
50%
After 10 yrs · $10,000 · DRIP
Portfolio value
$49.6K
Annual income
$2,492.02
Full PM calculator →

Portfolio growth — AVXX vs PM

📍 PM pulled ahead of the other in Year 1

Annual dividend income

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Recession Test — Did They Cut Dividends?

How each stock treated shareholders during the 3 biggest crises of the last 20 years

Crisis PeriodAVXXPM
2008–2009
GFC
— No data— No data
2020 Q1–Q2
COVID
— No data— No data
2022 Q4
Rate Hike
— No data— No data
Based on dividend payment history. "Increased" = dividend grew during crisis. "Maintained" = held within 3%. "Cut" = reduced by more than 3%.
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Dividend Calendar Overlap

Combined, AVXX + PM cover 0 of 12 monthsgood coverage

Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec
AVXX pays
PM pays
Both pay
Neither
💰

Tax Bracket Optimizer

Which stock is actually better after tax? Adjust your rate to find out.

AVXX
Annual income on $10K today (after 15% tax)
$23.71/yr
After 10yr DRIP, annual income (after tax)
$24.15/yr
PM
Annual income on $10K today (after 15% tax)
$296.12/yr
After 10yr DRIP, annual income (after tax)
$2,118.22/yr
At 15% tax rate, PM beats the other by $2,094.07/year in after-tax income after 10 years on $10,000
⚖️

Lazy Portfolio Split Optimizer

What's the optimal mix of AVXX + PM for your $10,000?

AVXX: 50%PM: 50%
100% PM50/50100% AVXX
Portfolio after 10yr
$34.8K
Annual income
$1,260.21/yr
Blended yield
3.62%
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Analyst Conviction Gap

Where Wall Street is most bullish on PM right now

AVXX
No analyst data
PM
Analyst Ratings
17
Buy
7
Hold
1
Sell
Consensus: Buy
Price Target
$194.30
+17.5% upside vs current
Range: $180.00 — $205.00
Altman Z
4.0
Piotroski
7/9
Analyst ratings via FMP. Altman Z-Score: >3.0 safe, 1.81–3.0 grey zone, <1.81 distress. Piotroski: 7–9 strong, 0–3 weak.
🏛️

Copy Congress — What Are Politicians Buying?

Senate & House STOCK Act disclosures (last 90 days)

AVXX buys
0
PM buys
0
No recent congressional trades found for AVXX or PM in the last 90 days.
STOCK Act mandates disclosure within 45 days of transaction. Data via FMP.Full tracker →
MetricAVXXPM
Forward yield0.28%3.48%
Annual dividend / share$0.03$5.76
Payout ratio50%50%
1-year div growth0%0%
5-year div CAGR0%17.2%
Portfolio after 10y$20.1K$49.6K
Annual income after 10y$28.41$2,492.02
Total dividends collected$282.00$11.7K
Payment frequencyquarterlyquarterly
SectorStockConsumer Staples

Year-by-year: AVXX vs PM ($10,000, DRIP)

YearAVXX PortfolioAVXX Income/yrPM PortfolioPM Income/yrGap
1← crossover$10,728$27.90$11,648$408.29$920.00PM
2$11,507$27.97$13,589$495.90$2.1KPM
3$12,340$28.04$15,877$603.21$3.5KPM
4$13,232$28.10$18,580$734.88$5.3KPM
5$14,187$28.16$21,781$896.75$7.6KPM
6$15,208$28.22$25,578$1,096.12$10.4KPM
7$16,301$28.27$30,092$1,342.17$13.8KPM
8$17,470$28.32$35,470$1,646.46$18.0KPM
9$18,721$28.37$41,892$2,023.58$23.2KPM
10$20,060$28.41$49,578$2,492.02$29.5KPM

AVXX vs PM: Complete Analysis 2026

AVXXStock

The fund is an actively managed exchange traded fund (“ETF”) that attempts to achieve two times (200%) the daily percentage change in the share price of the underlying security by employing derivatives, namely swap agreements and/or listed options contracts. The fund is expected to allocate between 40% and 60% of its assets as collateral for swap agreements or as premiums for purchased options contracts. The fund is non-diversified.

Full AVXX Calculator →

PMConsumer Staples

Philip Morris International Inc. operates as a tobacco company working to delivers a smoke-free future and evolving portfolio for the long-term to include products outside of the tobacco and nicotine sector. The company's product portfolio primarily consists of cigarettes and smoke-free products, including heat-not-burn, vapor, and oral nicotine products that are sold in markets outside the United States. The company offers its smoke-free products under the HEETS, HEETS Creations, HEETS Dimensions, HEETS Marlboro, HEETS FROM MARLBORO, Marlboro Dimensions, Marlboro HeatSticks, Parliament HeatSticks, and TEREA brands, as well as the KT&G-licensed brands, Fiit, and Miix. It also sells its products under the Marlboro, Parliament, Bond Street, Chesterfield, L&M, Lark, and Philip Morris brands. In addition, the company owns various cigarette brands, such as Dji Sam Soe, Sampoerna A, and Sampoerna U in Indonesia; and Fortune and Jackpot in the Philippines. The company sells its smoke-free products in 71 markets. Philip Morris International Inc. was incorporated in 1987 and is headquartered in New York, New York.

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⚠️ Educational purposes only. Not financial advice. Congressional trades sourced from SEC STOCK Act filings via FMP. Past performance does not guarantee future results.