The Bid & Ask

Quotations, Dispatches, and the Daily Tape

Thursday, August 13, 2026

Subject of the day

MLKN

Concerning the House

MillerKnoll, Inc. researches, designs, manufactures, sells, and distributes interior furnishings worldwide. It operates through North America Contract, International Contract, and Global Retail segments. The company also provides seating products, furniture systems, other freestanding furniture elements, textiles, leather, felt, home furnishings and related services; and casegoods, storage products, and acoustic products and related services, as well as residential, education, and healthcare furniture solutions. It offers its products under the MillerKnoll, Herman Miller, Knoll, Maharam, Geiger, Design Within Reach, HAY, NaughtOne, Colebrook Bosson Saunders, Holly Hunt, Muuto, FilzFelt, Edelman, Spinneybeck, and KnollTextiles brand names. The company offers its products through independent contract furniture dealers, direct contract sales, owned and independent retailers, direct-mail catalogs, and e-commerce platforms. Its products are used in institutional, health/science, industrial and educational settings, and residential and other environments. The company was formerly known as Herman Miller, Inc. and changed its name to MillerKnoll, Inc. in November 2021. MillerKnoll, Inc. was incorporated in 1905 and is headquartered in Zeeland, Michigan.

United States · www.millerknoll.com

The Long Run

FY 2011–2025 · 15 years

LineLatestCAGRTrend
Revenue$3.67B+6.3%
Gross profit$1.43B+7.2%
Operating income$167.20M+2.6%
Net income$82.30M+10.2%
Cash from ops$209.30M+6.6%
Quotation

$23.73

-0.30 (-1.2%)

52w hi$24.49
52w lo$13.44
Vol336.06K
As ofAug 13
The Verdict

Hold

Our score +0.14

Short+0.39
Medium+0.05
Long-0.18

computed 2026-08-12

By the Numbers

MillerKnoll, Inc.

Consumer Cyclical · Furnishings, Fixtures & Appliances

Market cap$1.62B
Enterprise value$3.33B
Trailing P/E17.98x
Forward P/E9.98x
EV / EBITDA9.38x
P / S (ttm)0.42x
Profit margin2.4%
Return on equity7.0%
Revenue growth+4.4%
Earnings growth
Debt / equity128.17
Risk Metrics
Beta vs SPX1.19
Corr SPX0.42
Annual vol45.7%
Annual ret+2.1%
Sharpe0.04
Max DD-53.7%

Window: 504 trading days (504 obs)

Layer Breakdown
LayerRawContribution
Fundamental+0.16
Sector+0.01
Technical+0.26
Earnings+0.00
Sentiment+0.00

macro × 1.00 · 2026-08-12

Recent Sessions
DateOpenHighLowCloseVol
Aug 13$24.27$24.32$23.67$23.73336.06K
Aug 12$23.80$24.19$23.17$24.03434.00K
Aug 11$24.08$24.42$23.77$23.80432.30K
Aug 10$24.15$24.48$23.66$24.08454.70K
Aug 7$23.68$24.53$23.68$24.49497.70K