Crucial 2011 Annual Report Download - page 27

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Performance Graph
The following graph illustrates a five-year comparison of cumulative total returns for our common stock, the S&P 500 Composite Index and
the Philadelphia Semiconductor Index (SOX) from August 31, 2006, through August 31, 2011.
Note: Management cautions that the stock price performance information shown in the graph below is provided as of fiscal year
-
end and may not
be indicative of current stock price levels or future stock price performance.
We operate on a 52 or 53 week fiscal year which ends on the Thursday closest to August 31. Accordingly, the last day of our fiscal year
varies. For consistent presentation and comparison to the industry indices shown herein, we have calculated our stock performance graph
assuming an August 31 year end. The performance graph assumes $100 was invested on August 31, 2006 in common stock of Micron
Technology, Inc., the S&P 500 Composite Index and the Philadelphia Semiconductor Index (SOX). Any dividends paid during the period
presented were assumed to be reinvested. The performance was plotted using the following data:
26
Period
(a) Total
Number of
Shares
Purchased
(b) Average
Price Paid Per
Share
(c) Total Number of Shares
(or Units) Purchased As
Part of Publicly Announced
Plans or Programs
(d) Maximum Number (or
Approximate Dollar Value)
of Shares (or Units) That
May Yet Be Purchased
Under the Plans or
Programs
June 3, 2011
- July 7, 2011
1,008
$
7.92
N/A
N/A
July 8, 2011
- August 4, 2011
19,739,445
7.60
N/A
N/A
August 5, 2011
- September 1, 2011
6,081
5.66
N/A
N/A
19,746,534
7.60
2006
2007
2008
2009
2010
2011
Micron Technology, Inc.
$
100
$
66
$
25
$
43
$
37
$
34
S&P 500 Composite Index
100
115
102
84
88
104
Philadelphia Semiconductor Index (SOX)
100
112
80
71
72
85