0.000550262897600151 0.00338383049612164 0.00597376229892242 0.00356603675360509 0.0093966369930762 0.000989119683481689 0.00736633869540316 0.0115050236868135
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Stockreport

Voya Global Advantage And Premium Opportunity Fund Q4 2025 Commentary [Seeking Alpha]

Micron Technology, Inc. (MU)  More Company Research Source: Seeking Alpha
Last micron technology, inc. earnings: 3/25 04:01 pm Check Earnings Report
US:NASDAQ Investor Relations: investors.micron.com
During the quarter, the equity sleeve underperformed the reference Index primarily due to the lower beta positioning and higher dividend yield. During the quarter, the Fund's option strategy had a positive impact on returns. gopixa/iStock via Getty Images Strategy overview The Fund combines an actively-managed quantitative equity investment strategy with a call writing option strategy, seeking to create a diversified portfolio with enhanced total return potential and strong downside capture over a full market This article was written by Quick Insights IGA's equity sleeve underperformed the MSCI World Value Index, primarily due to lower beta positioning and higher dividend yield, resulting in a 1.07% NAV return versus 3.34% for the benchmark. The option portfolio had a positive impact, generating premiums and retaining upside potential by writing out-of-the-money or near-the-money calls on regional indices. Key detractors were not owning Micron Technology (MU) and ov [Read more]

IMPACT SNAPSHOT EVENT TIME: MU
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Stockreport

Voya Global Advantage And Premium Opportunity Fund Q4 2025 Commentary [Seeking Alpha]

Micron Technology, Inc.  (MU) 
Last micron technology, inc. earnings: 3/25 04:01 pm Check Earnings Report
US:NASDAQ Investor Relations: investors.micron.com
During the quarter, the equity sleeve underperformed the reference Index primarily due to the lower beta positioning and higher dividend yield. During the quarter, the Fund's option strategy had a positive impact on returns. gopixa/iStock via Getty Images Strategy overview The Fund combines an actively-managed quantitative equity investment strategy with a call writing option strategy, seeking to create a diversified portfolio with enhanced total return potential and strong downside capture over a full market This article was written by Quick Insights IGA's equity sleeve underperformed the MSCI World Value Index, primarily due to lower beta positioning and higher dividend yield, resulting in a 1.07% NAV return versus 3.34% for the benchmark. The option portfolio had a positive impact, generating premiums and retaining upside potential by writing out-of-the-money or near-the-money calls on regional indices. Key detractors were not owning Micron Technology (MU) and ov [Read more]

IMPACT SNAPSHOT
EVENT TIME:
MU
Last Price
Price Change
Price Change %
Volume Shares
Max Up
Max Down
Volume Ratio
%
Don't Miss Out On The Next BIG Stock Move
Performance comparison Updated
EVENT DAY
Stock performance from the time of news release until the following 4pm ET market close
LAST PRICE AT
NEWS EVENT
SINCE EVENT
Multi-day stock performance from the time of the news release
LAST PRICE
VWAP
High:
MAX UP
High:
Low:
MAX DOWN
Low:
%
POST NEWS RANGE
%
PRICE CHANGE

PRICE CHANGE PERCENTAGE


S&P 500 (SPX)

%

VOLUME RATIO
%

VOLUME (SHARES)
TICKS

AVG SHARES PER TRADE

EVENT DAY
Event Day Chart will not be displayed beyond 90-day period of the event
PERFORMANCE SINCE EVENT
TIME AND VELOCITY ANALYSIS