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IWMY vs PM: Dividend Comparison 2026

IWMY yields 57.87% · PM yields 3.48%● Live data

vsPost on X →
After 10 years · $10,000 invested · DRIP enabled
🏆 IWMY wins by $537.0K in total portfolio value
10 years
IWMY
IWMY
● Live price
57.87%
Share price
$18.09
Annual div
$10.47
5Y div CAGR
0%
Payout ratio
50%
After 10 yrs · $10,000 · DRIP
Portfolio value
$586.6K
Annual income
$133,331.19
Full IWMY 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 — IWMY vs PM

📍 IWMY 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 PeriodIWMYPM
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, IWMY + PM cover 0 of 12 monthsgood coverage

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

Tax Bracket Optimizer

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

IWMY
Annual income on $10K today (after 15% tax)
$4,918.86/yr
After 10yr DRIP, annual income (after tax)
$113,331.51/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, IWMY beats the other by $111,213.29/year in after-tax income after 10 years on $10,000
⚖️

Lazy Portfolio Split Optimizer

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

IWMY: 50%PM: 50%
100% PM50/50100% IWMY
Portfolio after 10yr
$318.1K
Annual income
$67,911.60/yr
Blended yield
21.35%
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Analyst Conviction Gap

Where Wall Street is most bullish on PM right now

IWMY
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)

IWMY buys
0
PM buys
0
No recent congressional trades found for IWMY or PM in the last 90 days.
STOCK Act mandates disclosure within 45 days of transaction. Data via FMP.Full tracker →
MetricIWMYPM
Forward yield57.87%3.48%
Annual dividend / share$10.47$5.76
Payout ratio50%50%
1-year div growth0%0%
5-year div CAGR0%17.2%
Portfolio after 10y$586.6K$49.6K
Annual income after 10y$133,331.19$2,492.02
Total dividends collected$483.0K$11.7K
Payment frequencyquarterlyquarterly
SectorStockConsumer Staples

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

YearIWMY PortfolioIWMY Income/yrPM PortfolioPM Income/yrGap
1← crossover$16,487$5,786.90$11,648$408.29+$4.8KIWMY
2$26,558$8,916.64$13,589$495.90+$13.0KIWMY
3$41,840$13,423.55$15,877$603.21+$26.0KIWMY
4$64,534$19,764.61$18,580$734.88+$46.0KIWMY
5$97,541$28,490.29$21,781$896.75+$75.8KIWMY
6$144,614$40,245.33$25,578$1,096.12+$119.0KIWMY
7$210,502$55,764.15$30,092$1,342.17+$180.4KIWMY
8$301,097$75,860.37$35,470$1,646.46+$265.6KIWMY
9$423,584$101,410.36$41,892$2,023.58+$381.7KIWMY
10$586,566$133,331.19$49,578$2,492.02+$537.0KIWMY

IWMY vs PM: Complete Analysis 2026

IWMYStock

IWMY is actively managed to seek potential daily income on the price, and monthly distributions by utilizing options strategies. The fund implements two strategies: The first seeks to provide daily income by selling put options either at-the-money or up to 5% in-the-money, expiring the next trading day. The option positions become profitable if the Russell 2000 Index increases in value. The second strategy involves selling in-the-money put options to attempt a minimum daily income of 0.25% to seek monthly distributions. If this is determined to not be achievable, the fund will sell options that are priced at the current market value to maximize income. Even during periods of adverse market conditions, the fund will not seek defensive positions and it will not directly or fully participate in the gains of the index. The funds risk and return potential will fluctuate daily. A significant portion of the portfolio will be held in short-term US Treasury securities, which will serve as collateral for the short put option positions.

Full IWMY 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.

Full PM Calculator →
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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.