Texas Instruments Inc (TXN)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$759M
Holdings value Q1 2024
$132B
Value change Q1 2024
+$925M
Grand Portfolio weight change Q1 2024
+0.002%
Number of holders
2212
Number of Buys Q1 2024
918
Number of Sells Q1 2024
-958
Average Buys Q1 2024 %
+0.059%
Average Sells Q1 2024 %
-0.016%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 755M $131B +$711M $174.21 2,123
2023 Q4 759M $129B +$2.51B $170.46 2,246
2023 Q3 756M $120B +$323M $159.01 2,154
2023 Q2 757M $136B -$1.35B $180.02 2,186
2023 Q1 766M $141B +$526M $186.01 2,167
2022 Q4 766M $128B +$1.14B $165.22 2,139
2022 Q3 765M $119B -$1.67B $154.78 2,036
2022 Q2 768M $118B +$411M $153.65 2,002
2022 Q1 773M $142B +$84.5M $183.48 2,101
2021 Q4 775M $146B +$663M $188.47 2,116
2021 Q3 771M $148B +$720M $192.21 1,965
2021 Q2 770M $148B -$633M $192.30 1,992
2021 Q1 775M $146B +$1.19B $188.99 1,928
2020 Q4 772M $127B -$204M $164.13 1,880
2020 Q3 775M $111B +$690M $142.79 1,719
2020 Q2 772M $98B -$791M $126.97 1,686
2020 Q1 780M $77.9B -$426M $99.93 1,579
2019 Q4 793M $102B -$1.28B $128.29 1,695
2019 Q3 804M $104B +$56M $129.24 1,593
2019 Q2 807M $92.9B +$1.99B $114.76 1,554
2019 Q1 811M $86.1B +$119M $106.07 1,529
2018 Q4 814M $76.9B -$324M $94.50 1,466
2018 Q3 822M $88.1B -$428M $107.29 1,462
2018 Q2 828M $91.2B +$924M $110.25 1,440
2018 Q1 835M $86.7B -$158M $103.89 1,405
2017 Q4 841M $87.8B +$1.1B $104.44 1,375
2017 Q3 836M $74.9B -$4.94M $89.64 1,216
2017 Q2 838M $64.5B -$411M $76.93 1,185
2017 Q1 851M $68.5B +$4.64B $80.56 1,141
2016 Q4 853M $62.3B -$849M $72.97 1,094
2016 Q3 873M $61.2B -$786M $70.18 1,022
2016 Q2 882M $55.4B -$2.55B $62.65 969
2016 Q1 886M $50B -$292M $57.42 956
2015 Q4 885M $48.5B -$399M $54.81 970
2015 Q3 891M $44B +$524M $49.52 880
2015 Q2 891M $45.2B +$126M $51.51 899
2015 Q1 895M $51.2B -$342M $57.19 931
2014 Q4 904M $48.3B +$173M $53.47 933
2014 Q3 900M $42.9B -$585M $47.69 854
2014 Q2 917M $43.8B -$818M $47.79 859
2014 Q1 935M $44.1B +$85.3M $47.16 817