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MU Micron Technology Inc

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  • 23.580
  • +0.950+4.20%
15min DelayMarket Closed Dec 13 15:59 ET
154.58BMarket Cap147.38P/E (TTM)

Micron Technology Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Aug 29, 2024
(Q4)Aug 29, 2024
(Q3)May 30, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)Jun 1, 2023
(Q2)Mar 2, 2023
(Q1)Dec 1, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-15.51%8.11B
-15.51%8.11B
-19.06%8.38B
-16.75%9.01B
-14.49%9.05B
2.82%9.59B
2.82%9.59B
1.22%10.35B
6.88%10.82B
--10.58B
-Cash and cash equivalents
-17.91%7.04B
-17.91%7.04B
-18.33%7.59B
-18.19%8.02B
-15.66%8.08B
3.81%8.58B
3.81%8.58B
1.54%9.3B
7.48%9.8B
--9.57B
-Short term investments
4.72%1.07B
4.72%1.07B
-25.52%785M
-2.94%990M
-3.38%973M
-4.86%1.02B
-4.86%1.02B
-1.50%1.05B
1.39%1.02B
--1.01B
Receivables
170.77%6.62B
170.77%6.62B
111.24%5.13B
88.59%4.3B
-11.30%2.94B
-52.38%2.44B
-52.38%2.44B
-61.00%2.43B
-57.69%2.28B
--3.32B
-Accounts receivable
164.60%5.42B
164.60%5.42B
116.26%4.42B
92.91%3.65B
-13.81%2.48B
-57.02%2.05B
-57.02%2.05B
-65.37%2.04B
-62.64%1.89B
--2.88B
-Taxes receivable
38.14%268M
38.14%268M
-14.75%208M
-12.56%188M
-22.22%217M
-22.71%194M
-22.71%194M
11.93%244M
13.76%215M
--279M
-Other receivables
361.69%928M
361.69%928M
254.55%507M
167.44%460M
51.22%248M
76.32%201M
76.32%201M
24.35%143M
28.36%172M
--164M
Inventory
5.82%8.88B
5.82%8.88B
3.33%8.51B
3.86%8.44B
-0.99%8.28B
25.87%8.39B
25.87%8.39B
46.35%8.24B
51.01%8.13B
--8.36B
Other current assets
-5.37%776M
-5.37%776M
81.40%1.3B
151.11%1.69B
19.31%791M
24.81%820M
24.81%820M
17.60%715M
12.17%673M
--663M
Total current assets
14.72%24.37B
14.72%24.37B
7.29%23.32B
7.02%23.44B
-8.13%21.06B
-2.47%21.24B
-2.47%21.24B
-4.29%21.73B
1.84%21.9B
--22.92B
Non current assets
Net PPE
4.66%40.39B
4.66%40.39B
-2.02%38.59B
-3.85%38.23B
-4.25%38.33B
-1.61%38.59B
-1.61%38.59B
5.43%39.38B
8.16%39.76B
--40.03B
-Gross PPE
9.56%96.69B
9.56%96.69B
6.66%93.2B
6.07%91.19B
5.93%89.57B
7.61%88.25B
7.61%88.25B
11.63%87.38B
13.12%85.97B
--84.55B
-Accumulated depreciation
-13.37%-56.3B
-13.37%-56.3B
-13.79%-54.62B
-14.60%-52.96B
-15.08%-51.24B
-16.07%-49.66B
-16.07%-49.66B
-17.29%-48B
-17.76%-46.21B
---44.53B
Investments and advances
23.93%1.05B
23.93%1.05B
-20.35%775M
-48.27%627M
-49.51%720M
-48.76%844M
-48.76%844M
-40.89%973M
-29.41%1.21B
--1.43B
-Financial asset investment
23.93%1.05B
23.93%1.05B
-20.35%775M
-48.27%627M
-49.51%720M
-48.76%844M
-48.76%844M
-40.89%973M
-29.41%1.21B
--1.43B
-Including:Available-for-sale securities
23.93%1.05B
23.93%1.05B
-20.35%775M
-48.27%627M
-49.51%720M
-48.76%844M
-48.76%844M
-40.89%973M
-29.41%1.21B
--1.43B
Goodwill and other intangible assets
0.77%1.57B
0.77%1.57B
-5.96%1.56B
-4.52%1.56B
-5.43%1.57B
-5.76%1.55B
-5.76%1.55B
1.16%1.66B
-0.24%1.64B
--1.66B
-Goodwill
0.00%1.15B
0.00%1.15B
-8.15%1.15B
-6.35%1.15B
-6.35%1.15B
-6.35%1.15B
-6.35%1.15B
1.95%1.25B
0.00%1.23B
--1.23B
-Other intangible assets
2.97%416M
2.97%416M
0.73%413M
0.98%414M
-2.80%416M
-4.04%404M
-4.04%404M
-1.20%410M
-0.97%410M
--428M
Non current deferred assets
-31.22%520M
-31.22%520M
-15.68%597M
-4.73%664M
16.22%781M
7.69%756M
7.69%756M
3.81%708M
-8.53%697M
--672M
Other non current assets
20.29%1.52B
20.29%1.52B
15.89%1.42B
-8.96%1.2B
13.24%1.33B
-1.17%1.26B
-1.17%1.26B
-3.25%1.22B
0.15%1.32B
--1.17B
Total non current assets
4.73%45.04B
4.73%45.04B
-2.30%42.94B
-5.24%42.28B
-4.97%42.72B
-3.35%43.01B
-3.35%43.01B
3.19%43.95B
5.75%44.62B
--44.95B
Total assets
8.03%69.42B
8.03%69.42B
0.88%66.26B
-1.21%65.72B
-6.04%63.78B
-3.06%64.25B
-3.06%64.25B
0.59%65.68B
4.43%66.52B
--67.87B
Liabilities
Current liabilities
Current debt and capital lease obligation
55.04%431M
55.04%431M
53.67%398M
45.15%344M
430.99%908M
169.90%278M
169.90%278M
142.06%259M
92.68%237M
--171M
-Current debt
0.00%106M
0.00%106M
0.00%106M
0.00%106M
1,017.74%693M
--106M
--106M
--106M
--106M
--62M
-Current capital lease obligation
88.95%325M
88.95%325M
90.85%292M
81.68%238M
97.25%215M
66.99%172M
66.99%172M
42.99%153M
6.50%131M
--109M
Payables
82.78%5.87B
82.78%5.87B
12.81%3.74B
-0.36%3.63B
-33.03%3.02B
-32.14%3.21B
-32.14%3.21B
-25.11%3.31B
-20.67%3.64B
--4.5B
-accounts payable
58.03%2.73B
58.03%2.73B
18.96%1.95B
13.26%1.91B
-3.80%1.72B
-19.47%1.73B
-19.47%1.73B
-18.77%1.64B
-12.21%1.69B
--1.79B
-Total tax payable
225.37%218M
225.37%218M
-18.24%121M
-21.99%188M
-76.85%97M
-84.05%67M
-84.05%67M
-61.26%148M
-34.33%241M
--419M
-Other payable
106.13%2.93B
106.13%2.93B
9.19%1.66B
-10.75%1.53B
-47.82%1.2B
-34.61%1.42B
-34.61%1.42B
-24.60%1.52B
-25.57%1.71B
--2.29B
Current accrued expenses
91.43%1.43B
91.43%1.43B
62.82%1.41B
57.34%1.05B
-0.53%931M
-44.99%747M
-44.99%747M
-36.65%866M
-36.92%668M
--936M
Other current liabilities
186.96%1.52B
186.96%1.52B
94.16%1.3B
74.44%1.24B
20.96%1.11B
-60.70%529M
-60.70%529M
-40.04%668M
-38.17%708M
--916M
Current liabilities
94.08%9.25B
94.08%9.25B
34.01%6.84B
19.11%6.26B
-8.63%5.96B
-36.80%4.77B
-36.80%4.77B
-27.18%5.1B
-24.04%5.26B
--6.53B
Non current liabilities
Long term debt and capital lease obligation
-0.58%13.58B
-0.58%13.58B
-0.88%13.47B
10.47%13.97B
23.13%13.2B
84.20%13.66B
84.20%13.66B
81.55%13.59B
68.90%12.65B
--10.72B
-Long term debt
-5.91%11.24B
-5.91%11.24B
-6.20%11.23B
7.34%11.91B
21.98%11.33B
98.39%11.94B
98.39%11.94B
98.34%11.97B
82.49%11.1B
--9.29B
-Long term capital lease obligation
36.62%2.34B
36.62%2.34B
38.37%2.24B
32.84%2.06B
30.56%1.87B
22.90%1.71B
22.90%1.71B
11.72%1.62B
10.16%1.55B
--1.43B
Non current deferred liabilities
-24.35%550M
-24.35%550M
6.33%672M
25.14%662M
36.63%705M
23.43%727M
23.43%727M
-4.68%632M
-24.86%529M
--516M
Other non current liabilities
-7.70%911M
-7.70%911M
10.42%1.05B
14.90%956M
26.98%1.03B
18.20%987M
18.20%987M
10.72%950M
12.28%832M
--808M
Total non current liabilities
-2.16%15.04B
-2.16%15.04B
0.13%15.19B
11.29%15.59B
23.96%14.93B
73.92%15.37B
73.92%15.37B
68.45%15.17B
56.81%14.01B
--12.04B
Total liabilities
20.62%24.29B
20.62%24.29B
8.66%22.03B
13.42%21.85B
12.51%20.89B
22.95%20.13B
22.95%20.13B
26.60%20.28B
21.53%19.26B
--18.57B
Shareholders'equity
Share capital
0.81%125M
0.81%125M
0.81%125M
1.63%125M
0.81%124M
0.81%124M
0.81%124M
1.64%124M
0.82%123M
--123M
-common stock
0.81%125M
0.81%125M
0.81%125M
1.63%125M
0.81%124M
0.81%124M
0.81%124M
1.64%124M
0.82%123M
--123M
Additional paid-in capital
9.78%12.12B
9.78%12.12B
9.39%11.79B
8.76%11.56B
8.53%11.22B
8.23%11.04B
8.23%11.04B
8.36%10.78B
8.32%10.63B
--10.34B
Retained earnings
0.13%40.88B
0.13%40.88B
-5.24%40.17B
-9.97%40B
-16.04%39.36B
-13.64%40.82B
-13.64%40.82B
-7.68%42.39B
2.35%44.43B
--46.87B
Less: Treasury stock
3.97%7.85B
3.97%7.85B
0.00%7.55B
0.00%7.55B
0.00%7.55B
5.96%7.55B
5.96%7.55B
19.06%7.55B
40.84%7.55B
--7.55B
Gains losses not affecting retained earnings
57.05%-134M
57.05%-134M
8.53%-311M
29.22%-264M
45.03%-260M
44.29%-312M
44.29%-312M
6.59%-340M
-170.29%-373M
---473M
Total stockholders'equity
2.29%45.13B
2.29%45.13B
-2.60%44.23B
-7.17%43.87B
-13.02%42.89B
-11.60%44.12B
-11.60%44.12B
-7.87%45.41B
-1.23%47.26B
--49.31B
Total equity
2.29%45.13B
2.29%45.13B
-2.60%44.23B
-7.17%43.87B
-13.02%42.89B
-11.60%44.12B
-11.60%44.12B
-7.87%45.41B
-1.23%47.26B
--49.31B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Aug 29, 2024(Q4)Aug 29, 2024(Q3)May 30, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)Jun 1, 2023(Q2)Mar 2, 2023(Q1)Dec 1, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -15.51%8.11B-15.51%8.11B-19.06%8.38B-16.75%9.01B-14.49%9.05B2.82%9.59B2.82%9.59B1.22%10.35B6.88%10.82B--10.58B
-Cash and cash equivalents -17.91%7.04B-17.91%7.04B-18.33%7.59B-18.19%8.02B-15.66%8.08B3.81%8.58B3.81%8.58B1.54%9.3B7.48%9.8B--9.57B
-Short term investments 4.72%1.07B4.72%1.07B-25.52%785M-2.94%990M-3.38%973M-4.86%1.02B-4.86%1.02B-1.50%1.05B1.39%1.02B--1.01B
Receivables 170.77%6.62B170.77%6.62B111.24%5.13B88.59%4.3B-11.30%2.94B-52.38%2.44B-52.38%2.44B-61.00%2.43B-57.69%2.28B--3.32B
-Accounts receivable 164.60%5.42B164.60%5.42B116.26%4.42B92.91%3.65B-13.81%2.48B-57.02%2.05B-57.02%2.05B-65.37%2.04B-62.64%1.89B--2.88B
-Taxes receivable 38.14%268M38.14%268M-14.75%208M-12.56%188M-22.22%217M-22.71%194M-22.71%194M11.93%244M13.76%215M--279M
-Other receivables 361.69%928M361.69%928M254.55%507M167.44%460M51.22%248M76.32%201M76.32%201M24.35%143M28.36%172M--164M
Inventory 5.82%8.88B5.82%8.88B3.33%8.51B3.86%8.44B-0.99%8.28B25.87%8.39B25.87%8.39B46.35%8.24B51.01%8.13B--8.36B
Other current assets -5.37%776M-5.37%776M81.40%1.3B151.11%1.69B19.31%791M24.81%820M24.81%820M17.60%715M12.17%673M--663M
Total current assets 14.72%24.37B14.72%24.37B7.29%23.32B7.02%23.44B-8.13%21.06B-2.47%21.24B-2.47%21.24B-4.29%21.73B1.84%21.9B--22.92B
Non current assets
Net PPE 4.66%40.39B4.66%40.39B-2.02%38.59B-3.85%38.23B-4.25%38.33B-1.61%38.59B-1.61%38.59B5.43%39.38B8.16%39.76B--40.03B
-Gross PPE 9.56%96.69B9.56%96.69B6.66%93.2B6.07%91.19B5.93%89.57B7.61%88.25B7.61%88.25B11.63%87.38B13.12%85.97B--84.55B
-Accumulated depreciation -13.37%-56.3B-13.37%-56.3B-13.79%-54.62B-14.60%-52.96B-15.08%-51.24B-16.07%-49.66B-16.07%-49.66B-17.29%-48B-17.76%-46.21B---44.53B
Investments and advances 23.93%1.05B23.93%1.05B-20.35%775M-48.27%627M-49.51%720M-48.76%844M-48.76%844M-40.89%973M-29.41%1.21B--1.43B
-Financial asset investment 23.93%1.05B23.93%1.05B-20.35%775M-48.27%627M-49.51%720M-48.76%844M-48.76%844M-40.89%973M-29.41%1.21B--1.43B
-Including:Available-for-sale securities 23.93%1.05B23.93%1.05B-20.35%775M-48.27%627M-49.51%720M-48.76%844M-48.76%844M-40.89%973M-29.41%1.21B--1.43B
Goodwill and other intangible assets 0.77%1.57B0.77%1.57B-5.96%1.56B-4.52%1.56B-5.43%1.57B-5.76%1.55B-5.76%1.55B1.16%1.66B-0.24%1.64B--1.66B
-Goodwill 0.00%1.15B0.00%1.15B-8.15%1.15B-6.35%1.15B-6.35%1.15B-6.35%1.15B-6.35%1.15B1.95%1.25B0.00%1.23B--1.23B
-Other intangible assets 2.97%416M2.97%416M0.73%413M0.98%414M-2.80%416M-4.04%404M-4.04%404M-1.20%410M-0.97%410M--428M
Non current deferred assets -31.22%520M-31.22%520M-15.68%597M-4.73%664M16.22%781M7.69%756M7.69%756M3.81%708M-8.53%697M--672M
Other non current assets 20.29%1.52B20.29%1.52B15.89%1.42B-8.96%1.2B13.24%1.33B-1.17%1.26B-1.17%1.26B-3.25%1.22B0.15%1.32B--1.17B
Total non current assets 4.73%45.04B4.73%45.04B-2.30%42.94B-5.24%42.28B-4.97%42.72B-3.35%43.01B-3.35%43.01B3.19%43.95B5.75%44.62B--44.95B
Total assets 8.03%69.42B8.03%69.42B0.88%66.26B-1.21%65.72B-6.04%63.78B-3.06%64.25B-3.06%64.25B0.59%65.68B4.43%66.52B--67.87B
Liabilities
Current liabilities
Current debt and capital lease obligation 55.04%431M55.04%431M53.67%398M45.15%344M430.99%908M169.90%278M169.90%278M142.06%259M92.68%237M--171M
-Current debt 0.00%106M0.00%106M0.00%106M0.00%106M1,017.74%693M--106M--106M--106M--106M--62M
-Current capital lease obligation 88.95%325M88.95%325M90.85%292M81.68%238M97.25%215M66.99%172M66.99%172M42.99%153M6.50%131M--109M
Payables 82.78%5.87B82.78%5.87B12.81%3.74B-0.36%3.63B-33.03%3.02B-32.14%3.21B-32.14%3.21B-25.11%3.31B-20.67%3.64B--4.5B
-accounts payable 58.03%2.73B58.03%2.73B18.96%1.95B13.26%1.91B-3.80%1.72B-19.47%1.73B-19.47%1.73B-18.77%1.64B-12.21%1.69B--1.79B
-Total tax payable 225.37%218M225.37%218M-18.24%121M-21.99%188M-76.85%97M-84.05%67M-84.05%67M-61.26%148M-34.33%241M--419M
-Other payable 106.13%2.93B106.13%2.93B9.19%1.66B-10.75%1.53B-47.82%1.2B-34.61%1.42B-34.61%1.42B-24.60%1.52B-25.57%1.71B--2.29B
Current accrued expenses 91.43%1.43B91.43%1.43B62.82%1.41B57.34%1.05B-0.53%931M-44.99%747M-44.99%747M-36.65%866M-36.92%668M--936M
Other current liabilities 186.96%1.52B186.96%1.52B94.16%1.3B74.44%1.24B20.96%1.11B-60.70%529M-60.70%529M-40.04%668M-38.17%708M--916M
Current liabilities 94.08%9.25B94.08%9.25B34.01%6.84B19.11%6.26B-8.63%5.96B-36.80%4.77B-36.80%4.77B-27.18%5.1B-24.04%5.26B--6.53B
Non current liabilities
Long term debt and capital lease obligation -0.58%13.58B-0.58%13.58B-0.88%13.47B10.47%13.97B23.13%13.2B84.20%13.66B84.20%13.66B81.55%13.59B68.90%12.65B--10.72B
-Long term debt -5.91%11.24B-5.91%11.24B-6.20%11.23B7.34%11.91B21.98%11.33B98.39%11.94B98.39%11.94B98.34%11.97B82.49%11.1B--9.29B
-Long term capital lease obligation 36.62%2.34B36.62%2.34B38.37%2.24B32.84%2.06B30.56%1.87B22.90%1.71B22.90%1.71B11.72%1.62B10.16%1.55B--1.43B
Non current deferred liabilities -24.35%550M-24.35%550M6.33%672M25.14%662M36.63%705M23.43%727M23.43%727M-4.68%632M-24.86%529M--516M
Other non current liabilities -7.70%911M-7.70%911M10.42%1.05B14.90%956M26.98%1.03B18.20%987M18.20%987M10.72%950M12.28%832M--808M
Total non current liabilities -2.16%15.04B-2.16%15.04B0.13%15.19B11.29%15.59B23.96%14.93B73.92%15.37B73.92%15.37B68.45%15.17B56.81%14.01B--12.04B
Total liabilities 20.62%24.29B20.62%24.29B8.66%22.03B13.42%21.85B12.51%20.89B22.95%20.13B22.95%20.13B26.60%20.28B21.53%19.26B--18.57B
Shareholders'equity
Share capital 0.81%125M0.81%125M0.81%125M1.63%125M0.81%124M0.81%124M0.81%124M1.64%124M0.82%123M--123M
-common stock 0.81%125M0.81%125M0.81%125M1.63%125M0.81%124M0.81%124M0.81%124M1.64%124M0.82%123M--123M
Additional paid-in capital 9.78%12.12B9.78%12.12B9.39%11.79B8.76%11.56B8.53%11.22B8.23%11.04B8.23%11.04B8.36%10.78B8.32%10.63B--10.34B
Retained earnings 0.13%40.88B0.13%40.88B-5.24%40.17B-9.97%40B-16.04%39.36B-13.64%40.82B-13.64%40.82B-7.68%42.39B2.35%44.43B--46.87B
Less: Treasury stock 3.97%7.85B3.97%7.85B0.00%7.55B0.00%7.55B0.00%7.55B5.96%7.55B5.96%7.55B19.06%7.55B40.84%7.55B--7.55B
Gains losses not affecting retained earnings 57.05%-134M57.05%-134M8.53%-311M29.22%-264M45.03%-260M44.29%-312M44.29%-312M6.59%-340M-170.29%-373M---473M
Total stockholders'equity 2.29%45.13B2.29%45.13B-2.60%44.23B-7.17%43.87B-13.02%42.89B-11.60%44.12B-11.60%44.12B-7.87%45.41B-1.23%47.26B--49.31B
Total equity 2.29%45.13B2.29%45.13B-2.60%44.23B-7.17%43.87B-13.02%42.89B-11.60%44.12B-11.60%44.12B-7.87%45.41B-1.23%47.26B--49.31B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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