For Micron Technology, the PE, PB, and PS ratios are all low compared to industry peers, indicating potential undervaluation. On the other hand, the high ROE, EBITDA, gross profit, and revenue growth ...
Micron's debt-to-equity ratio is 0.2, a conservative, low-risk capital structure that relies more on equity than debt to fund operations. The company's net debt-to-EBITDA ratio is 0.02, indicating ...
Micron stock has gained 327% over the last 12 months thanks to soaring demand for memory from data center operators.
Falls despite $500 price target from Phillip Securities. Analyst sees HBM4 gains vs SK Hynix. Down 5% Friday, 1% Monday.
Ashva Capital Management, an investment management company, released its Q4 2025 investor letter. A copy of the letter can be ...
Micron's Compute and Networking Business Unit, which includes memory products and storage solutions, is the largest contributor to revenue.
Demand for the memory maker's products is likely to remain strong for the foreseeable future.
The Price to Earnings ratio of 27.13 is 0.28x lower than the industry average, indicating potential undervaluation for the stock. The current Price to Book ratio of 5.46, which is 0.59x the industry ...
Memory chips will power the AI revolution, writes VP of global operations. Micron's fabs will be built on a foundation of ...
U.S. memory chip maker Micron Technology is preparing to announce a major new manufacturing capacity investment in Singapore, ...
BOISE, Idaho, Oct. 22, 2025 (GLOBE NEWSWIRE) -- In an era of unprecedented AI innovation and growth, the entire data center ecosystem is transforming toward more energy-efficient infrastructure to ...
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