Dated end-of-day edition
JW Intelligence Report

Micron Technology Inc / MU

StockTechnologySemiconductors
JW Rank69.3/ 100
Official close$969.91-57.86 (-5.63%)
Bid$969.20
Ask$969.99
Previous close$1,027.77
ATR (14)5.50%
RSI (14)53.3
Volume15.81M
Model reference$975.00
Upside scenario$1,080.00
Risk reference$930.00
Decision summary

MU Option Market Implies Continued Bullishness Despite Recent Dip

ConstructiveHigh confidence

The MU option market remains bullish despite a recent pullback. While near-term volatility is elevated, implied volatility (IV) suggests continued optimism about the company's long-term prospects driven by strong AI demand and pricing power. The term structure of IV shows a backwardation pattern, indicating that shorter-dated options are more expensive than longer-dated ones, which can be interpreted as traders expecting near-term upside potential.

Wheel contextThe recent dip in MU's stock price has created opportunities for investors to buy call options at potentially attractive prices. However, the elevated volatility and uncertainty surrounding macroeconomic factors warrant caution.
Dated supporting context

JW AI outlook

Bullish

Short-term scenario

Cautious dip-buy for 1-3 week bounce if $950-970 support holds ahead of Sep 30 earnings, but high uncertainty from macro (rates/oil) and company risks (patents/labor); wait for confirmation of reversal or reduce size.

Three-month outlook

Constructive-to-bullish if Q4 earnings (late Sep) confirm continued AI-driven pricing/margins and shortages; potential retest of $1,200-$1,500 zone on momentum. Structural tailwinds from HBM demand, SCAs, and capacity constraints into 2027-28 support multi-quarter strength. However, significant uncertainty remains: memory cycle could peak, increased competition/supply (e.g., SK Hynix expansion, new entrants), Taiwan operational risks, patent issues, and broader market volatility from inflation/rates could drive 20-30%+ drawdowns. Valuation attractive on forward earnings only if growth persists; high beta amplifies moves. Monitor earnings and macro closely.


Market sentiment context

Predominantly bullish among retail/investors citing AI memory supercycle, HBM shortages persisting beyond 2027, locked-in contracts, and cheap 2027 forward multiples (~6x). Traders highlighting repeating bull-flag patterns, constructive consolidation above $950, and potential retest of $1,250. Mixed short-term views on today's drop with calls to watch $950 support vs $1,050 resistance; some noting overbought stochastics earlier and macro headwinds. Overall constructive with institutional interest in AI infrastructure.

Observed market data

Price and technical structure

Dated end-of-day indicator set
Trend reference levels11 observations
20D SMA$961.54
50D SMA$929.75
200D SMA$618.23
9D EMA$979.48
21D EMA$957.86
20D MVWAP$961.05
YTD VWAP$690.84
Daily reference VWAP$983.40
Price vs 20D SMA1.68%
Price vs 50D SMA5.16%
Price vs 200D SMA58.15%
Momentum kinematics10 observations
RSI (7)52.07
RSI (14)53.29
RSI (21)52.85
Stochastic K73.99
Stochastic D78.34
MACD line19.67
MACD histogram13.58
ADX (14)10.35
MACD acceleration1.87
RSI velocity-2.29
Volatility and price boundaries11 observations
ATR (14)-0.35
ATR (14) %5.50%
Bollinger upper$1,025.54
Bollinger middle$961.54
Bollinger lower$897.53
Bollinger position0.62%
Volatility environmentHigh
20D realized volatility56.18%
Observed range position50.30%
5D true high$1,042.40
5D true low$918.88
Participation and institutional flow7 observations
Volume15.81M
20D average volume17.74M
Volume vs 20D average0.89x
20D SMA velocity6.08
50D SMA velocity-2.84
Institutional flow6.29
ATR velocity-0.35
Available cached indicators

Detailed decision indicators

Dated authorized values
Market overview7 observations
Price$969.91
DateSep 10, 2026
Volume16.13M
Vwap D$983.30
Mvwap 20$961.06
Change-57.86
Change Percentage 5.63%
Trend structure6 observations
Trend SignalStrong Bull
Sma 20$961.54
Sma 50$929.75
Sma 200$618.23
Ema 9$979.48
Ema 21$957.86
Momentum structure9 observations
Rsi 752.07
Rsi 1453.29
Rsi 2152.85
Rsi SignalNeutral
Stoch K73.99
Stoch D78.34
Macd Line19.67
Macd SignalBullish
Macd Hist13.58
Volatility structure3 observations
Atr53.78
Atr Pct5.50%
EnvironmentHigh
Option market context3 observations
Current Iv61.02
Iv Rank26.50
Iv Percentile17.93%
Price boundaries8 observations
Bb Upper1,025.5
Bb Middle961.5
Bb Lower897.5
Bb Pctb0.62
True High$1,027.77
True Low$973.50
True High 5d$1,042.40
True Low 5d$918.88
Three-day velocities7 observations
Sma20$6.08
Sma50$-2.84
Mvwap20$6.29
Macd1.87
Rsi-2.29
Volume-2.59M
Atr-0.35
Risk radar5 observations
Earnings RiskMedium
Earnings DateSep 30, 2026
Macro RiskUnknown
Vol RiskHigh
Structure RiskLow
Deterministic scoring

JW Rank factors

Higher scores indicate stronger observed structure
LiquidityTrading capacity and quote quality proxyCoverage 100%
99
Strategy FitGeneric Wheel premium-selling environment fitCoverage 100%
60
Technical TrendPrice trend, momentum and long-term structureCoverage 100%
85
Market Tail RiskMarket-wide volatility and tail-risk regimeCoverage 100%
56
Fundamental QualityBusiness quality and balance-sheet durabilityCoverage 100%
82
Volatility PressureOption premium pressure relative to realized movementCoverage 100%
31

JW Rank is not a buy/sell rating, and coverage measures field availability—not accuracy or certainty.

Options Intelligence

What the closing chain was pricing

MU Option Market Implies Continued Bullishness Despite Recent Dip

The MU option market remains bullish despite a recent pullback. While near-term volatility is elevated, implied volatility (IV) suggests continued optimism about the company's long-term prospects driven by strong AI demand and pricing power. The term structure of IV shows a backwardation pattern, indicating that shorter-dated options are more expensive than longer-dated ones, which can be interpreted as traders expecting near-term upside potential.

Front ATM IV61.49%
Current IV62.98%
IV Rank29.66
IV Percentile25.50%
25Δ skew-1.32
Term slope-6.99
Term structureBackwardation
Quote coverage100%
Median option spread1.37%
Term structure

Implied volatility by expiration

3 observed expirations
61.5%52.6%
ExpirationDTEATM IVState
2026-09-111.0061.49%
2026-09-166.0052.60%
2026-09-2515.0054.50%
Reference structures

Defined-risk observations

Bull Put Spread Reference

Expiration
Short strike$960.00
Long strike$957.50
Net credit / share$0.55
Credit / width22.00%
$55$-195$956.13$961.38Expiration payoff per standard 100-share contract

Bear Call Spread Reference

Expiration
Short strike$1,005.00
Long strike$1,010.00
Net credit / share$1.03
Credit / width20.50%
$103$-397$1,002.25$1,012.75Expiration payoff per standard 100-share contract
Evidence used
  • Implied volatility (IV) for MU is elevated at 62.98%, suggesting expectations of significant price movement in the coming months.
  • The term structure of IV is backwardated, with shorter-dated options more expensive than longer-dated ones, implying a bullish outlook and potential for near-term upside.
  • Bull Put Spread and Bear Call Spread reference spreads indicate traders are positioned for continued upward price movement.
Risk context
  • Macroeconomic headwinds such as rising interest rates, inflation, and geopolitical tensions could negatively impact MU's stock price.
Strategy intelligence

Structural fit, not a trade instruction

Wheel fit score62.70

The recent dip in MU's stock price has created opportunities for investors to buy call options at potentially attractive prices. However, the elevated volatility and uncertainty surrounding macroeconomic factors warrant caution.

Execution intelligence

Liquidity and quote conditions

Dollar volume$15.45B
Underlying bid/ask spread0.27%
Option quote coverage100%
Median option spread1.37%
Fundamental intelligence

Business quality context

Factor score81.50
Coverage100%

Business quality and balance-sheet durability

Latest strategy observation

MU Covered Call signal

Sep 10, 2026 9:30 AM EDT

Covered Call | 2026-09-11 | short $995.00 | $17.98 credit | High turnover

Generalized structural observation only; no quantity, order instruction or personalized recommendation is provided.

Company and fundamental profile

Micron Technology Inc at a glance

Dated valuation, quality, growth and shareholder context

Market position and valuation

Market capitalization$1.16T
P/E (TTM)22.9×
Beta2.37
52-week range$128.40 – $1,255.00
52-week return660.89%
Shares outstanding1.13B

Profitability and financial quality

Return on equity70.55%
Operating margin65.63%
Net margin55.91%
Debt / equity0.27×

Growth and cash generation

Revenue growth (3Y)6.71%
EPS growth (3Y)-0.66%
Free cash flow CAGR (5Y)82.23%
Revenue / share (TTM)78.84
Book value / share89.22

Shareholder return and calendar

Dividend yield0.60%

Trading and reference facts

MarketNasdaq Nms Global Market
CountryUs
CurrencyUsd
IPO date1984-06-01
Company website
Methodology, edition and field coverage
EditionOfficial Close
Ready sections3 / 3
Report identityc509ed70c5910123f8eb43f5

JW Rank is deterministic and is not a buy/sell rating. Narrative sections explain dated evidence and do not change the score or observed facts. Coverage measures field availability, not accuracy or certainty. This public edition remains fixed.

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Important disclosures. Generalized market-structure research only. This report does not consider holdings, objectives, risk tolerance or financial circumstances and is not an investment recommendation, transaction instruction, offer, solicitation or return forecast. Market data, model scores and AI explanations may be delayed, incomplete or incorrect. Past, hypothetical, model and settled-signal results do not predict future results. Options are complex and may involve loss of the entire premium, substantial or theoretically unlimited loss, assignment, early exercise, margin, liquidity and execution risk. Before trading standardized options, read the OCC’s Characteristics and Risks of Standardized Options. Terms of Use · Privacy Policy