MICRON TECHNOLOGY INC - Common Stock (MU)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MU on Nasdaq
Type / Class
Equity / Common Stock
Shares outstanding
1.13B
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
867M
Holdings value
$145B
% of all portfolios
0.089%
Grand Portfolio weight change
-0.005%
Number of holders
2058
Number of buys
1132
Number of sells
-785
Average Value change %
-0.01%
Average buys %
+0.021%
Average sells %
-0.029%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of MICRON TECHNOLOGY INC - Common Stock (MU)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Capital World Investors 6.3% $8.84B 71M Capital World Investors 30 Jun 2025

Institutional Holders of MICRON TECHNOLOGY INC - Common Stock (MU)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 867M $145B -$2.88B $167.32 2,058
2025 Q2 889M $110B +$4.16B $123.25 1,842
2025 Q1 861M $74.7B -$1.08B $86.89 1,706
2024 Q4 873M $73.5B +$1.15B $84.16 1,683
2024 Q3 853M $88.5B -$2.73B $103.71 1,703
2024 Q2 871M $115B -$2.69B $131.53 1,765
2024 Q1 892M $105B +$1.22B $117.89 1,642
2023 Q4 889M $75.9B +$298M $85.34 1,470
2023 Q3 885M $60.2B +$104M $68.03 1,305
2023 Q2 879M $55.5B -$743M $63.11 1,275
2023 Q1 893M $53.9B +$723M $60.34 1,252
2022 Q4 886M $44.3B +$1.09B $49.98 1,201
2022 Q3 870M $43.6B -$829M $50.10 1,221
2022 Q2 883M $48.8B -$518M $55.28 1,271
2022 Q1 895M $69.7B -$599M $77.89 1,384
2021 Q4 898M $83.7B +$1.92B $93.15 1,401
2021 Q3 880M $62.5B -$1.25B $70.98 1,213
2021 Q2 895M $76B -$1.33B $84.98 1,257
2021 Q1 915M $80.7B -$1.37B $88.21 1,285
2020 Q4 932M $70.1B +$1.81B $75.18 1,165
2020 Q3 911M $42.8B +$706M $46.96 965
2020 Q2 894M $46B -$438M $51.52 1,005
2020 Q1 906M $38.1B +$1.02B $42.06 979
2019 Q4 874M $47B -$284M $53.78 1,016
2019 Q3 869M $37.2B +$535M $42.85 901
2019 Q2 859M $33.2B +$13M $38.59 868
2019 Q1 864M $35.7B +$504M $41.33 900
2018 Q4 855M $27.1B -$123M $31.73 880
2018 Q3 854M $38.6B -$831M $45.23 941
2018 Q2 872M $45.7B -$2.83B $52.44 997
2018 Q1 925M $48.2B -$1.23B $52.14 963
2017 Q4 955M $39.2B +$229M $41.12 869
2017 Q3 946M $37.2B +$2.43B $39.33 743
2017 Q2 887M $26.5B +$22.8M $29.86 690
2017 Q1 890M $25.7B +$1.92B $28.90 681
2016 Q4 890M $19.5B -$133M $21.92 654
2016 Q3 895M $15.9B +$931M $17.78 618
2016 Q2 848M $11.7B +$28.8M $13.76 597
2016 Q1 849M $8.89B -$125M $10.47 558
2015 Q4 855M $12.1B -$547M $14.16 604
2015 Q3 889M $13.3B -$1.13B $14.98 604
2015 Q2 956M $18B -$1.55B $18.84 634
2015 Q1 1B $27.2B -$679M $27.13 700
2014 Q4 1.01B $35.2B -$268M $35.01 737
2014 Q3 1.01B $34.7B +$44.8M $34.26 646
2014 Q2 1.01B $33.3B -$45.3M $32.95 646
2014 Q1 1.01B $23.9B +$468M $23.66 559