MU stock fundamentals - balance sheet
Balance Sheet
- accounts Payable 1,689,000,000
- common Stock 1,091,000,000
- currency USD
- current Assets 21,898,000,000
- current Cash 10,818,000,000
- current Long Term Debt 237,000,000
- filing Type 10-Q
- fiscal Date 2023-03-02
- fiscal Quarter 2
- fiscal Year 2023
- goodwill 1,228,000,000
- intangible Assets 410,000,000
- inventory 8,129,000,000
- long Term Debt 12,037,000,000
- long Term Investments 44,622,000,000
- minority Interest 0
- net Tangible Assets 45,619,000,000
- other Assets 1,317,000,000
- other Current Assets 673,000,000
- other Current Liabilities 3,329,000,000
- other Liabilities 1,361,000,000
- property Plant Equipment 39,085,000,000
- receivables 2,278,000,000
- report Date 2023-03-29
- retained Earnings 44,426,000,000
- shareholder Equity 47,257,000,000
- short Term Investments 673,000,000
- symbol MU
- total Assets 66,520,000,000
- total Current Liabilities 5,255,000,000
- total Liabilities 19,263,000,000
- treasury Stock --7,552,000,000
- id BALANCE_SHEET
- key MU
- subkey quarterly
- date 2023-03-02
- updated 2023-04-07
Related News
 
    
    Amazon Stock Price Forecast: AMZN Rockets 10.4% to $246.09 on $180.17B Revenue Beat
                    
                        TradingNEWS Archive
                    
                31.10.25
            
        
         
    
    Intel Stock Price Forecast: INTC Eyes $47 on SambaNova AI Deal Talks and $13.65B Revenue Beat
                    
                        TradingNEWS Archive
                    
                31.10.25
            
        
         
    
    Eli Lilly Stock Price Forecast - LLY Rises to $843.30 as $17.6B Revenue Beat and GLP-1 Boom Power Strong Buy Signal
                    
                        TradingNEWS Archive
                    
                30.10.25
            
        
         
                                                 
                                                 
                                                 
                                                 
                                                 
     
    