Micron Technology Financial Ratios for Analysis 2011-2026 | MU

Fifteen years of historical annual and quarterly financial ratios and margins for Micron Technology (MU).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202520242023202220212020201920182017201620152014201320122011
2.522.644.462.893.102.712.582.792.341.962.202.142.162.572.35
0.210.220.230.120.130.140.110.100.340.410.320.300.310.270.16
0.270.300.300.140.150.170.160.140.570.770.560.570.600.390.20
39.7922.35-9.1145.1937.6230.5745.7258.8741.5120.2032.2133.2420.3611.7620.00
26.145.19-36.9731.5422.6814.0131.5149.3428.881.3518.5218.872.60-7.438.66
26.145.19-36.9731.5422.6814.0131.5149.3428.881.3518.5218.872.60-7.438.66
48.4836.1813.5954.6845.1140.3754.9065.3348.4926.4135.8432.7523.8319.5533.26
25.834.94-36.4131.1222.4413.9230.1147.0825.57-2.2716.1116.7114.16-9.166.27
22.853.10-37.5428.2421.1612.5426.9746.5125.04-2.2317.9018.6113.12-12.531.90
0.450.360.240.460.470.400.480.700.580.450.670.730.470.570.60
2.692.202.022.533.852.772.483.483.813.424.694.452.734.013.38
4.033.806.366.005.225.487.335.555.416.006.465.633.906.395.87
90.4796.1557.3860.8869.9766.6149.8265.7967.5160.8856.5164.8493.6957.1462.18
15.761.72-13.2217.4113.346.9517.2942.6326.14-2.1321.9026.6311.93-12.251.93
16.251.79-13.7018.0013.847.2418.0644.7328.51-2.2222.6727.7512.41-12.812.01
10.311.12-9.0813.119.965.0513.0132.5914.40-1.0012.0113.746.25-7.201.29
12.521.34-10.2015.3211.595.9715.3938.2717.33-1.2514.8418.638.26-9.001.62
48.2840.7040.1845.6239.2635.0433.2528.5717.5112.4312.7410.789.588.2710.01
15.587.611.4313.5310.937.3411.5414.167.073.064.454.761.712.132.47
1.480.11-5.603.572.140.072.986.932.96-2.561.012.160.350.420.06

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2025-11-302025-08-312025-05-312025-02-282024-11-302024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-31
2.462.522.753.132.722.643.413.743.534.464.264.173.512.893.243.113.103.103.403.182.912.712.892.742.562.582.792.252.902.792.632.582.392.342.141.911.711.962.252.002.112.202.192.412.192.142.041.882.082.162.512.532.492.572.592.692.722.35
0.160.210.230.220.220.220.230.230.230.230.220.200.170.120.120.130.130.130.130.130.140.140.140.120.120.110.090.090.100.100.170.230.250.340.380.430.390.410.410.330.320.320.330.300.270.300.280.310.300.310.290.290.280.270.260.190.170.16
0.200.270.310.300.290.300.300.310.310.300.290.260.210.140.140.150.150.150.160.160.170.170.180.150.150.160.140.180.120.140.250.350.390.570.690.820.730.770.740.580.560.560.570.510.470.570.540.660.570.600.450.460.420.390.380.250.220.20
56.0444.6737.7236.7938.4435.3226.9018.53-0.74-10.85-17.80-32.6621.8639.4746.6947.2146.3847.2842.1226.4430.0734.1532.4228.2526.5628.6438.1849.0858.3261.0360.5758.0955.0850.7046.8736.6625.4718.0017.1819.7325.3426.9431.2033.7335.8232.7734.3534.1631.6924.9023.9917.6111.8311.1610.7710.4514.5915.00
44.9832.2923.3222.0224.9619.6410.563.28-23.87-36.71-46.94-62.36-5.1222.9034.7632.7034.2335.7124.2410.6315.0019.1116.339.1710.0713.3521.0933.5447.5051.8650.7048.5245.5240.7635.2722.469.04-0.99-0.93-0.176.9311.8616.3820.5223.7319.5921.0721.1613.637.286.43-1.11-5.29-7.03-8.66-10.15-3.92-2.10
44.9832.2923.3222.0224.9619.6410.563.28-23.87-36.71-46.94-62.36-5.1222.9034.7632.7034.2335.7124.2410.6315.0019.1116.339.1710.0713.3521.0933.5447.5051.8650.7048.5245.5240.7635.2722.469.04-0.99-0.93-0.176.9311.8616.3820.5223.7319.5921.0721.1613.637.286.43-1.11-5.29-7.03-8.66-10.15-3.92-2.10
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44.4332.0922.7221.8324.7119.4810.502.92-24.44-36.36-46.72-61.49-4.3123.3834.5832.2232.8035.4824.3310.1814.5718.5816.008.9010.9113.4514.9532.6347.6851.4947.6646.9741.0437.8131.2119.905.37-5.22-5.52-3.274.279.8613.6818.5820.8422.3618.6616.319.2859.022.24-11.31-11.45-9.98-11.19-9.96-5.50-3.64
38.4128.2920.2719.6621.4711.454.8713.62-26.11-35.66-50.53-62.60-4.7722.4630.3929.0730.0032.8723.389.6713.9116.3114.778.449.5511.5217.5427.7541.6251.2449.0345.0139.3738.5829.5919.234.53-5.28-7.42-3.316.1513.0812.7422.4221.9327.2120.2417.808.8660.081.86-13.76-14.99-12.38-14.73-14.04-8.95-6.31
0.160.140.120.110.120.110.100.090.070.060.060.060.060.100.130.120.130.140.130.120.110.110.100.100.100.100.100.120.180.190.190.180.180.170.170.140.140.120.110.120.140.150.150.170.200.190.190.200.200.150.160.150.130.140.150.140.150.15
0.730.750.660.570.620.560.580.560.580.530.540.600.380.600.820.760.850.970.950.970.730.740.680.660.760.680.600.680.850.910.910.970.970.970.970.981.080.910.820.901.031.121.111.161.201.161.031.101.120.811.020.990.880.961.020.860.850.87
1.341.221.251.241.171.171.331.361.611.641.541.621.231.291.391.451.461.561.751.861.561.551.511.571.501.521.471.321.461.541.591.661.761.631.591.611.621.561.401.481.511.441.521.511.721.451.471.451.431.221.541.691.611.521.631.621.511.43
67.1873.6971.9572.6976.7176.8267.8066.3956.0554.8358.2655.5273.1069.5064.8762.2361.4757.7751.3148.3957.5458.1459.6357.2059.8259.0561.2268.1161.6258.4156.7054.3251.2855.1256.5555.9855.6157.8664.3860.8659.7262.6859.1059.6552.4161.8761.3661.9363.0873.7358.3653.1055.8959.1055.2355.5959.5662.96
8.915.913.713.264.001.970.751.81-2.88-3.24-4.18-4.89-0.402.995.334.735.026.194.111.482.012.542.131.101.391.592.354.599.4913.0412.9512.4611.4512.179.685.911.37-1.32-1.65-0.731.553.563.687.068.029.967.537.383.7617.090.54-3.57-3.36-2.88-3.77-3.01-1.93-1.36
9.166.093.833.364.132.040.781.87-2.99-3.36-4.33-5.07-0.413.095.514.905.206.424.261.542.092.642.221.151.451.662.464.809.9413.6913.6813.2512.2913.2710.706.611.41-1.38-1.71-0.751.623.683.807.308.3210.387.787.663.9017.780.56-3.73-3.51-3.01-3.95-3.15-2.01-1.42
6.103.872.402.172.621.280.501.21-1.93-2.23-2.89-3.48-0.292.254.023.553.774.623.101.111.501.841.550.821.021.201.843.427.399.979.148.027.206.704.952.760.65-0.62-0.80-0.390.841.951.953.934.455.133.933.591.928.940.31-2.04-1.95-1.69-2.24-1.99-1.32-0.91
7.494.692.872.533.111.530.581.39-2.22-2.50-3.25-3.90-0.332.634.684.134.375.383.561.281.742.181.820.961.221.422.144.168.5711.7110.809.638.628.075.983.380.83-0.77-0.98-0.491.052.412.484.975.846.975.405.132.6411.830.38-2.52-2.42-2.11-2.80-2.45-1.60-1.14
52.2348.2845.3543.5042.0140.7039.8839.6338.8540.1841.4743.2045.1945.6244.6042.8040.9939.2637.7336.2735.7335.0434.0133.2932.9433.2532.7832.0331.0228.5725.4522.9420.2017.5115.3313.6811.9912.4312.5712.7712.8312.7412.3312.2511.6210.7810.009.399.599.587.767.758.028.278.539.469.8310.01
7.3915.5810.486.402.897.614.542.351.271.431.201.180.8713.5310.176.703.4910.937.504.391.737.345.353.541.7811.549.707.234.1014.169.926.452.977.074.212.191.043.062.191.821.034.453.572.391.334.763.662.411.261.711.040.460.232.131.691.000.412.47
2.661.481.42-0.070.030.11-0.15-0.50-0.36-5.60-4.48-3.09-1.383.573.422.291.392.140.50-0.64-0.680.070.080.010.062.982.842.541.806.934.553.041.372.961.260.10-0.12-2.56-1.57-0.310.121.011.641.110.772.162.141.380.700.350.12-0.29-0.200.420.35-0.06-0.290.06