Micron (MU) shares closed near $975 on September 11 amid profit-taking in AI-related semiconductors, with the stock off roughly 5% from recent session highs and well below its 52-week peak near $1,255. Traders are focused on sustained AI-driven demand for high-bandwidth memory and DRAM, which fueled Micron’s fiscal Q3 results of $41.46 billion in revenue and $25.11 non-GAAP EPS—both well above consensus—along with guidance for roughly $50 billion in Q4 revenue at an 86% gross margin. Institutional positioning remains constructive, reflected in a consensus “Strong Buy” rating and average 12-month price targets near $1,300–$1,500, though near-term volatility could stem from broader tech rotation, Treasury yield moves, or any pre-earnings positioning ahead of the September 30 report. The company’s long-term supply agreements and elevated free cash flow provide structural support, yet short-term price action will hinge on sector sentiment and macroeconomic data releases during the week of September 14.
Експериментальне резюме, згенероване ШІ з посиланням на дані Polymarket. Це не торгова порада і не впливає на вирішення цього ринку. · Оновлено$910
82%
$920
77%
$930
73%
$940
68%
$950
62%
$960
56%
$970
51%
$980
45%
$990
39%
$1,000
34%
$1,010
29%
$1,020
25%
$1,030
100%
$0.00 Обс.
$910
82%
$920
77%
$930
73%
$940
68%
$950
62%
$960
56%
$970
51%
$980
45%
$990
39%
$1,000
34%
$1,010
29%
$1,020
25%
$1,030
100%
If the two specified prices are exactly equal, this market will resolve to "No".
Closing prices will be used exactly as published by Pyth, without rounding.
If Micron Technology, Inc. (MU) does not trade at all during the regular session of the final trading day of the week, the market will resolve 50-50.
For a standard full trading session, the closing price refers to the Pyth "Close" value of the 1-minute candle corresponding to the final minute of regular trading hours on the primary exchange. If the relevant session is shortened (for example, due to a market-holiday schedule), the Pyth "Close" value of the 1-minute candle corresponding to the final minute of that shortened session will be used.
If the relevant day has no valid Pyth Close value for the 1-minute candle corresponding to the end of regular trading hours on the primary exchange, the market will use the last valid Pyth price achieved during the regular trading hours of the primary exchange as the effective closing price. If no valid Pyth price exists for that trading day due to a system outage, data failure, or other technical disruption, the official closing price published by the primary exchange on which the listed security trades will be used to determine the closing price for that day.
In the event of a stock split, reverse stock split, or similar corporate action affecting the listed security during the listed time frame, this market will resolve based on split-adjusted prices as displayed on Pyth. The target price will be adjusted proportionally to reflect any stock splits. Resolution will be based on the historical price data as shown on Pyth after any adjustments have been applied.
The resolution source for this market will be Pyth, specifically the "Close" values for the relevant 1-minute candle for Micron Technology, Inc. (MU) available at https://pythdata.app/explore/Equity.US.MU%2FUSD.
Ринок відкрито: Sep 11, 2026, 6:00 PM ET
Джерело вирішення
https://pythdata.app/explore/Equity.US.MU%2FUSDВирішувач
0x65070BE91...If the two specified prices are exactly equal, this market will resolve to "No".
Closing prices will be used exactly as published by Pyth, without rounding.
If Micron Technology, Inc. (MU) does not trade at all during the regular session of the final trading day of the week, the market will resolve 50-50.
For a standard full trading session, the closing price refers to the Pyth "Close" value of the 1-minute candle corresponding to the final minute of regular trading hours on the primary exchange. If the relevant session is shortened (for example, due to a market-holiday schedule), the Pyth "Close" value of the 1-minute candle corresponding to the final minute of that shortened session will be used.
If the relevant day has no valid Pyth Close value for the 1-minute candle corresponding to the end of regular trading hours on the primary exchange, the market will use the last valid Pyth price achieved during the regular trading hours of the primary exchange as the effective closing price. If no valid Pyth price exists for that trading day due to a system outage, data failure, or other technical disruption, the official closing price published by the primary exchange on which the listed security trades will be used to determine the closing price for that day.
In the event of a stock split, reverse stock split, or similar corporate action affecting the listed security during the listed time frame, this market will resolve based on split-adjusted prices as displayed on Pyth. The target price will be adjusted proportionally to reflect any stock splits. Resolution will be based on the historical price data as shown on Pyth after any adjustments have been applied.
The resolution source for this market will be Pyth, specifically the "Close" values for the relevant 1-minute candle for Micron Technology, Inc. (MU) available at https://pythdata.app/explore/Equity.US.MU%2FUSD.
Джерело вирішення
https://pythdata.app/explore/Equity.US.MU%2FUSDВирішувач
0x65070BE91...Micron (MU) shares closed near $975 on September 11 amid profit-taking in AI-related semiconductors, with the stock off roughly 5% from recent session highs and well below its 52-week peak near $1,255. Traders are focused on sustained AI-driven demand for high-bandwidth memory and DRAM, which fueled Micron’s fiscal Q3 results of $41.46 billion in revenue and $25.11 non-GAAP EPS—both well above consensus—along with guidance for roughly $50 billion in Q4 revenue at an 86% gross margin. Institutional positioning remains constructive, reflected in a consensus “Strong Buy” rating and average 12-month price targets near $1,300–$1,500, though near-term volatility could stem from broader tech rotation, Treasury yield moves, or any pre-earnings positioning ahead of the September 30 report. The company’s long-term supply agreements and elevated free cash flow provide structural support, yet short-term price action will hinge on sector sentiment and macroeconomic data releases during the week of September 14.
Експериментальне резюме, згенероване ШІ з посиланням на дані Polymarket. Це не торгова порада і не впливає на вирішення цього ринку. · Оновлено
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