Micron Technology, Inc. (MU) escalated 3.28% and closed its last trading session at $41.21. Its opening price on the last trading day was $39.9. The company’s market cap is $49.04 Billion. The company has 1.19 Billion shares outstanding and 1.1 Billion shares were floated in market. The short ratio in the company’s stock is documented at 1.44 and the short float is around of 4.87%. Micron Technology, Inc. has been given an analysts’ mean target of 53.64.
The highest price MU stock touched in the last 12 month was $49.89 and the lowest price it hit in the same period was $18.58. Stock’s distance from 52 week High is -17.4% and the distance from 52 week Low is 124.03%.
Share Volume Analysis
A total of 56.47 Billion shares exchanged at hands and its average trading volume is standing at 37.21 Million shares. The relative volume of the stock is 1.52.
Micron Technology, Inc. (MU) performance during the last one year upgraded 121.44 percent, while its year to date (YTD) performance showed a positive trend of 88 percent. The stock jumped 26.8 percent over the past six months. The stock’s quarterly performance indicates a positive momentum of 27.78 percent, whereas its last one month trend is pessimistic with -5.72 percent. Its weekly performance showed downward trend of -14.02 percent.
Profit Margins Analysis
Profitability analysis helps a great deal in making investment decision. Net profit margin of the company was recorded at 25 percent, operating profit margin was 28.7 percent, while gross profit margin stands at 41.5 percent.
Key Ratios Review
Liquidity ratios help investors to determine a company’s ability to pay off its debts. For the most recent quarter, quick ratio was 1.7, current ratio was 2.3, LT Debt/Equity ratio was 0.53 and Total Debt/Equity ratio stands at 0.6, while Payout ratio is 0.
Return on Assets, Investment and Equity
Micron Technology, Inc. (MU) has a Return on Assets of 15.8 percent, Return on Investment of 19.2 percent and a Return on Equity of 33.2 percent.
Simple Moving Average
Moving averages are used as a strong indicator for technical stock analysis and it helps investors in figuring out where the stock has been and also helps in determining where it may be possibly heading. Now we look at the Moving Averages, the 200-day is 26.25%, the 50-day is -3.12% and the 20-day is -9.28%.
EPS Growth Analysis
The company’s diluted EPS for trailing twelve months was 4.33.
EPS Estimate for the next year is 6.77.
EPS Estimate for the next Quarter is 2.19.
EPS Growth this year is 58.3 percent.
Earnings and Sales Growth
EPS growth for the next 5 years is 17.85 percent.
Annual EPS growth Past 5 years is 44.2 percent.
Annual Sales Growth in the past 5 years was 19.8 percent.
Quarterly Revenue Growth on year-over-year basis stands at 90.8 percent.
Quarterly Earnings Growth on year-over-year basis stands at 0 percent.
Investment Valuation Ratios
The company P/E (price to earnings) ratio is 9.53 and Forward P/E ratio is 6.09. The company P/S (price to Sales) ratio is 2.41, P/B (price to Book) ratio is 2.46, while its P/C (price to Cash) ratio stands at 9.03.
If we look at the Volatility of Micron Technology, Inc. (MU), Week Volatility is 7.53%, whereas Month Volatility is at 3.75%.
Micron Technology, Inc. (MU)’s RSI (Relative strength index) is at 39.53, its ATR (Average True Range) value is 1.92, while its Beta factor was calculated at 1.77.
Earnings Released Date
The company last reported its quarterly results on Dec 19 AMC.
Micron Technology, Inc. (MU) has an Analysts’ Mean Recommendation of 1.8.
Insider Ownership and Transactions
Micron Technology, Inc.’s insider ownership stands at 0.2 percent, while its insider transaction is -13.71 percent.
Institutional Ownership and Transactions
Institutional ownership refers to the ownership stake in a company that is held by large financial organizations, pension funds or endowments. Micron Technology, Inc.’s institutional ownership is 85.4%, while its institutional transactions stand at 7.22%.