MU

Micron Technology, Inc. Technology - Semiconductors Investor Relations →

NO
455.5% ABOVE
↓ Approaching Was 487.4% last week
-15% -10% -5% 0% 5% 10% 15%+
Buy Threshold $130.46
14-Week RSI 76
Rel. Volume (14w) This week's trading vs. the 14-week average 1.6x
Buyers vs. Sellers (14w) Are up-weeks or down-weeks getting more volume? 0.84

Micron Technology, Inc. (MU) closed at $724.66 as of 2026-05-15, trading 455.5% above its 200-week moving average of $130.46. The stock is currently moving closer to the line, down from 487.4% last week. With a 14-week RSI of 76, MU is in overbought territory.

Trading volume is running at 1.6x of its 14-week average, which is in the normal range. The balance between buying and selling volume (0.84 ratio) is neutral — neither side is clearly dominating.

Over the past 2141 weeks of data, MU has crossed below its 200-week moving average 35 times. On average, these episodes lasted 25 weeks. Historically, investors who bought MU at the start of these episodes saw an average one-year return of +40.3%.

With a market cap of $817.2 billion, MU is a large-cap stock. The company generates a free cash flow yield of 0.3%. Return on equity stands at 39.8%, indicating strong profitability. The stock trades at 11.3x book value.

Share count has increased 2.6% over three years, indicating dilution. MU passes our Buffett quality screen: high return on equity, low debt, and positive free cash flow.

Over the past 33.4 years, a hypothetical investment of $100 in MU would have grown to $34018, compared to $3058 for the S&P 500. That represents an annualized return of 19.1% vs 10.8% for the index — confirming MU as a market-beating investment and the kind of quality company where buying during 200-week moving average touches has historically been rewarded.

In the past 12 months, corporate insiders have made 1 open-market purchase totaling $7,821,723.

Free cash flow has been volatile over the past several years, making the quality of earnings harder to assess.

Business Health

Annual financials — how the underlying business has performed over the past several years.

Cash Flow Free cash flow & net income ($M)

Revenue Annual revenue ($M) — business growth proxy

Total Debt Balance sheet debt ($M)

ROIC Return on invested capital (%)

FCF Yield Free cash flow / market cap (%) — Yartseva signal

Gross Margin Pricing power & competitive moat (%)

Shares Outstanding Buybacks vs dilution (millions)

Growth of $100: MU vs S&P 500

Monthly data normalized to $100 at start. Vertical dashed lines mark 200-week MA touches.

What Happens After MU Crosses Below the Line?

Across 30 historical episodes, buying MU when it crossed below its 200-week moving average produced an average return of +59.5% after 12 months (median +26.0%), compared to +15.8% for the S&P 500 over the same periods. 70% of those episodes were profitable after one year. After 24 months, the average return was +62.3% vs +31.5% for the index.

Each line shows $100 invested at the moment MU crossed below its 200-week MA. Bold blue = stock average. Gray dashed = S&P 500 average over same periods.

Bean Score Experimental

The Bean Score measures how far a stock's free cash flow yield has deviated from its own quarterly baseline, normalized by the stock's historical behavior. Between earnings dates, FCF is constant — so the score is purely a function of stock price. The levels below show at what prices MU would reach each dislocation threshold.

Current Bean Score -1.51σ
Current FCF Yield 1.26%
Baseline Yield 2.21%
Historical σ 0.39pp

Dislocation Price Levels

Prices where MU's Bean Score would hit each σ threshold. Valid until next earnings report (last report: 2026-02-28).

LevelσPriceSignal
Deep Value+2σ$348.86Unusually cheap — potential buy zone
Value+1σ$409.40Cheap vs. own history
Fair Value+0σ$495.35Historical mean behavior
Expensive-1σ$627.00Expensive vs. own history
Deep Expensive-2σ$853.93Unusually expensive — potential trim zone
Data depth: 2 quarterly baselines, 24 price observations — Limited history (4+ quarters preferred for reliability)

Signal Accuracy Collecting Data

The Bean Score system is accumulating weekly data to validate signal accuracy. After 13+ weeks of history, this section will display win rates and average returns for each σ threshold crossing — answering the question: "When this score says cheap or expensive, does the price subsequently move in the expected direction?"

0 / 13 weeks minimum

Theoretical framework — not backtested or forward-tested. The Bean Score uses trailing twelve-month free cash flow yield as a dislocation identifier. It measures whether the market has pushed a stock's yield unusually far from its own baseline behavior. These levels are reference points for identifying potential swing trade opportunities, not buy/sell signals. FCF values update quarterly with earnings; between reports, all movement is price-driven.

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Insider Buying Activity

1 conviction buy in the past 12 months (purchases over $500K with meaningful position increases).

DateInsiderTitleValueSharesPosition +%
2026-01-14LIU TEYIN MARKDirector$7,821,72323,200N/A

Historical Touches

MU has crossed below its 200-week MA 35 times with an average 1-year return of +40.3% after recovery.

Crossed BelowRecoveredWeeksMax Depth1-Year ReturnReturn Since Touch
May 1985Sep 198712374.4%+51.3%+77610.1%
Oct 1987Dec 1987943.9%+62.1%+58748.4%
Sep 1989May 19903341.8%-39.8%+58748.4%
May 1990May 199011.3%+9.2%+55509.1%
Jun 1990Feb 19913748.0%+0.9%+54507.1%
May 1991May 199115.0%+0.4%+54019.5%
Jun 1991Oct 19911721.5%+8.5%+54019.5%
Nov 1991Dec 1991716.8%+63.4%+59325.4%
Mar 1992Apr 199210.6%+36.3%+51501.6%
Apr 1992May 199256.5%+65.6%+55288.8%
Jun 1992Jul 199256.9%+154.0%+56324.1%
Jul 1996Sep 19961023.2%+111.1%+6852.3%
Oct 1996Nov 199613.7%+7.0%+5814.6%
Oct 1997Oct 19985441.3%-4.5%+4336.0%
Apr 1999Jun 199975.3%+230.7%+3823.5%
Sep 2001Feb 20022545.5%-45.8%+2168.8%
Mar 2002Jan 200619979.8%-76.5%+2125.3%
Jan 2007Jul 20072416.9%-51.5%+5499.3%
Jul 2007Dec 200912683.4%-58.1%+6159.7%
Jan 2010Mar 201067.7%+7.8%+8038.2%
May 2010May 201012.3%+26.8%+8570.0%
Jun 2010Oct 20101719.6%-4.7%+8939.2%
Nov 2010Nov 201034.9%-29.7%+9524.6%
Jun 2011Jun 201112.8%-20.4%+10205.4%
Aug 2011Jan 20122230.7%+0.3%+11675.3%
Apr 2012Jan 20133926.1%+43.8%+10575.6%
Aug 2015Oct 2015816.9%-11.9%+4283.6%
Oct 2015Dec 20165949.0%-1.7%+4209.9%
Mar 2020Mar 202013.8%+150.7%+1957.7%
Jun 2022Jul 202238.9%+22.4%+1227.7%
Aug 2022Jan 20232218.0%+11.5%+1181.9%
Feb 2023May 20231411.0%+44.0%+1129.5%
Jun 2023Jul 202324.6%+109.6%+1063.1%
Aug 2023Aug 202320.8%+70.6%+1052.1%
Mar 2025Apr 2025318.4%+467.7%+1023.8%
Average25+40.3%

Frequently Asked Questions

Is MU below its 200-week moving average?

No. Micron Technology, Inc. (MU) is currently 455.5% above its 200-week moving average of $130.46. It would need to fall to $130.46 to cross below the line.

What is MU's 200-week moving average price?

Micron Technology, Inc.'s 200-week moving average is $130.46 as of 2026-05-15. This is the average weekly closing price over roughly the last 4 years, and it acts as a long-term trend line. When a stock drops below this level, it can signal that the price has fallen far enough from the long-term trend to attract value-oriented investors.

What happens when MU drops below its 200-week moving average?

MU has crossed below its 200-week moving average 35 times in our data. On average, buying at that moment produced a one-year return of +40.3%. These dips have historically been decent entry points. These episodes lasted 25 weeks on average.

Is MU a good value right now?

Here's what our data says about MU as of 2026-05-15: The stock is above its 200-week moving average, so it doesn't currently meet our primary signal. The 14-week RSI is 76 (overbought). Free cash flow yield is 0.3%. Return on equity is 39.8%. Price-to-book is 11.3x. This is not a buy or sell recommendation — always do your own research.

How does MU compare to the S&P 500?

Over the past 33.4 years, $100 invested in MU would have grown to $34018, compared to $3058 for the S&P 500. That's 19.1% annualized vs 10.8% for the index. MU has outperformed the broader market over this period.

Does MU pay a dividend?

Yes. Micron Technology, Inc. currently pays a dividend yield of 8.00%.

Not financial advice. This is an educational tool. Past performance does not guarantee future results. Do your own research before making investment decisions.

Data as of week of 2026-05-15