MLRMiller Industries, Inc.

$52.82+34% 1Y

What is the market doing?

Mixed

Rangebound. That is the only one of 3 checks this filer's data supports, so take it as a single data point rather than a settled answer.

1 neutral, 2 without data
TrendRangeboundderived · Oct 8, 2026

Choppy, but holding above its 200-day average. Price is +11% vs its 200-day average.

Where this answer is blind. Insider selling is often routine (taxes, diversification); only cluster buying is a strong tell.

How MLR is trading

Miller Industries, Inc. is +34% over the past year while the S&P 500 is +18%: 16 points ahead of the market.

+34%

1-year return · S&P 500 +18%

vs 200-day average
+11%

vs 200-day average · a clear uptrend

RSI (14)
41

RSI (14) · neutral

Below its 52-week high
8.9%

Below its 52-week high

Oct 4, 2024$35.25 – $74.54 · dashed line: 200-day averageOct 8, 2026
Details›
Last close2026-10-08
$52.82
1 monthS&P 500 +1.6%
−3.6%
1 yearS&P 500 +18%
+34%
5 yearsS&P 500 +86%
+70%
vs 50-day average$54.60
−3.3%
52-week high
$57.97
52-week low
$35.25
Annualised volatility
33%
Calendar-year price return
YearReturn
2026 (year to date)+43%
2025−42%
2024+57%
2023+62%
2022−18%
2021−11%
2020+4.8%
2019+41%
2018+7.5%
2017+0.32%
Average return by calendar month, 2016–2026
MonthYearsPositiveAverage
Jan107 of 10+1.9%
Feb103 of 10−1.8%
Mar106 of 10+2.8%
Apr103 of 10−1.0%
May105 of 10+1.2%
Jun104 of 10+0.35%
Jul117 of 11+2.8%
Aug117 of 11+2.5%
Sep114 of 11−1.2%
Oct116 of 11+1.7%
Nov107 of 10+6.2%
Dec105 of 10+0.28%

End-of-day closes from IEX; the S&P 500 comparison uses SPY over the same window. Prices are a reference point, not a basis for trading decisions.