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MU — Micron Technology, Inc.
Last scan (Sept. 18, 2026): price $977.50, RSI 53.81, relative volume 0.90x, MACD ⚪ No, score 51.49.
It's in a bullish underlying trend (above its 200-day average), with an RSI of 53.81 in a neutral zone. Neither the MACD nor a range breakout gives a technical entry signal right now. The analysts' average target price implies +54.8% upside — one of the score's strongest signals. With a PEG of 0.14, the price looks cheap relative to how fast earnings are expected to grow. Today it holds rank #14 in the Monster group on Smart Scanner's upside + relative volume ranking.
Price chart
MU
Price: $1015.8 · RSI (14): 62.46 · Rel. volume: 0.58x · Breakout: No
- Current price: ($1015.8) — solid white line — the latest available closing price.
- Target price: ($1513.11) — dashed green line — average 12-month target price from analysts covering the stock.
- Quarter low: ($737.88) — dotted orange line — the lowest price over the last ~3 months, as a recent support reference.
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What analysts say
MU
Micron Technology, Inc.
Micron Technology, Inc. designs, develops, manufactures, and sells memory and storage products in the United States, Taiwan, Japan, Mainland China, Hong Kong, Europe, and internationally. It operates through the Cloud Memory Business Unit; Core Data Center Business Unit; Mobile and Client Business Unit; and Automotive…
- Buy 45
- Hold 4
- Sell 0
Average target price: $1513.11 (+49.0% vs. current price) · range $361.0 – $2200.0
Healthy Moderate Attention No data
Total market value of the company (price × shares outstanding).
P/E (trailing): compares the stock's price with its earnings per share over the last 12 months — how many times that earning is being paid for.
In a reasonable range compared to the market's historical average (~20).
P/E (forward): same as P/E, but using analysts' estimated earnings per share for the next year.
Same as P/E, using estimated future earnings.
PEG: the P/E divided by the expected earnings growth rate — relates how expensive the stock is to how fast it's expected to grow.
Below 1: the price could be cheap relative to how much its earnings are expected to grow.
Debt/Equity: how much debt the company carries per dollar of shareholder equity — measures how leveraged the balance sheet is.
Low leverage: conservative balance sheet, less risk if interest rates rise.
Net margin: what percentage of each dollar of revenue ends up as net profit, after all costs.
High margin: usually indicates a strong competitive advantage (brand, scale, technology).
Dividend: what percentage of the stock's price is paid out in cash to shareholders each year.
Pays out a portion of its earnings as cash to shareholders on a recurring basis.
Beta: how volatile the stock is compared to the overall market (S&P 500 = 1.0).
More volatile than the market: higher potential gain, but also higher potential loss.
General reference ranges, do not vary by sector. Third-party data; may be incomplete. Not investment advice.
💰 Financial Statements (last 3 quarters)
💰 Financial Statements (last 3 quarters)
What this chart shows
- Japanese candlesticks: green when the period's close is higher than its open, red when it's lower.
- Volume: bars colored the same as the candle for that period.
- RSI (14): bottom line with reference levels at 70 (overbought) and 30 (oversold) — the same indicator the daily scanner uses.
- Dotted line on top: the high of the last 20 periods, the same reference the scanner uses to detect breakouts.
Third-party market data, for informational purposes. Not investment advice — read the disclaimer.