MU Stock Options Analysis

Dive deep into implied volatility, put/call ratios, and unusual activity.

$1051.77
-159.61 (-13.18%)
Stock Price as of: Jun 23, 2026 00:00 ET
Options Data as of: Jun 23, 2026 04:00 ET
92%
IV Percentile (30D)
High (elevated premiums)
Current IV: 89.4%
0.94
Put/Call Ratio (Volume)
Bullish sentiment (more calls traded)
0.87
Put/Call Ratio (Open Interest)
Bullish sentiment (more calls open)
Options Activity Overview

517,029

Total Volume (Today)

Below average (-52% vs avg)

1,081,125

Avg Daily Volume (5d)

1,517,266

Total Open Interest

0.34

Volume/OI Ratio

Normal

Average Implied Volatility: 109.3%

Unusual Options Activity
Type Strike Exp. Date Volume Open Int. IV Score Mid Price
Put $1065 2026-06-26 1,258 130 197.5% 96.9 $74.00
Put $1070 2026-06-26 3,052 367 197.1% 91.0 $77.63
Call $1055 2026-06-26 1,805 202 160.3% 90.8 $66.62
Call $1045 2026-06-26 1,342 154 158.9% 88.0 $71.31
Put $1300 2026-07-10 1,227 61 129.2% 81.6 $272.66
Recommended MU Option Strategies

Select a strategy below to see a live setup for MU, including P&L charts and institutional gamma levels.

Frequently Asked Questions

The current average implied volatility for MU near-ATM options is 109.3%. Our IV Percentile is 92%, which indicates that options premiums are currently high (elevated premiums) relative to its recent 30-day historical range.

IV Percentile Guide:
80%+: High - consider selling premium (covered calls, credit spreads)
60-80%: Above average - selling strategies may be advantageous
40-60%: Average - balanced approach works
20-40%: Below average - buying options becomes more attractive
Below 20%: Unusually low - favorable for buying calls or puts

The Put/Call Ratio by volume for MU is 0.94 and by open interest is 0.87.

A ratio above 1 indicates a prevalence of put options, often signaling more bearish sentiment or demand for downside protection. A ratio below 1 indicates more call options, suggesting bullish sentiment or demand for upside exposure.

This options data provides valuable insights into market sentiment and options pricing. High IV suggests selling premium, while low IV suggests buying premium. The Put/Call ratio can confirm overall market direction bias. Unusual activity might highlight institutional positioning. Always combine this with your own technical and fundamental analysis.

For specific options strategies tailored to current market conditions for MU, explore our advanced options advisor tools and strategy builder. This data can inform strategies like covered calls, cash-secured puts, iron condors, and more.

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