First Eagle Investment Management LLCTXN history

Issuer:
TEXAS INSTRS INC
Quarters tracked:
43 (Q4 2015Q2 2026)
Current shares:
52,464
Current value:
$15.64M
Peak shares:
5,251,581 (Q4 2016)
Overall change:
-98%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202652,464$15.64M$298.07-3,621,789-99%
Q1 20263,674,253$713.32M$194.14+24,943+1%
Q4 20253,649,310$633.12M$173.49+18,589+1%
Q3 20253,630,721$667.07M$183.73-240,796-6%
Q2 20253,871,517$803.80M$207.62+241,182+7%
Q1 20253,630,335$652.37M$179.70+2820%
Q4 20243,630,053$680.67M$187.51-571,364-14%
Q3 20244,201,417$867.89M$206.57-44,840-1%
Q2 20244,246,257$826.02M$194.53-31,520-1%
Q1 20244,277,777$745.23M$174.21+4,4580%
Q4 20234,273,319$728.43M$170.46+663,456+18%
Q3 20233,609,863$574.00M$159.01-37,856-1%
Q2 20233,647,719$656.66M$180.02-9,8420%
Q1 20233,657,561$680.34M$186.01-2,0420%
Q4 20223,659,603$604.64M$165.22+67,148+2%
Q3 20223,592,455$556.04M$154.78+63,814+2%
Q2 20223,528,641$542.18M$153.65+138,769+4%
Q1 20223,389,872$621.97M$183.48+72,429+2%
Q4 20213,317,443$625.24M$188.47-23,389-1%
Q3 20213,340,832$642.14M$192.21-62,433-2%
Q2 20213,403,265$654.45M$192.30-233,271-6%
Q1 20213,636,536$687.27M$188.99-364,351-9%
Q4 20204,000,887$656.67M$164.13-69,710-2%
Q3 20204,070,597$581.24M$142.79+93,211+2%
Q2 20203,977,386$505.01M$126.97-155,100-4%
Q1 20204,132,486$412.96M$99.93+326,560+9%
Q4 20193,805,926$488.26M$128.29-18,7280%
Q3 20193,824,654$494.30M$129.24-66,551-2%
Q2 20193,891,205$446.56M$114.76-16,9910%
Q1 20193,908,196$414.54M$106.07-12,1360%
Q4 20183,920,332$370.47M$94.50+574,115+17%
Q3 20183,346,217$359.02M$107.29+1,4740%
Q2 20183,344,743$368.76M$110.25-5,0520%
Q1 20183,349,795$348.01M$103.89-585,743-15%
Q4 20173,935,538$411.03M$104.44-388,937-9%
Q3 20174,324,475$387.65M$89.64+496,956+13%
Q2 20173,827,519$294.45M$76.93-909,068-19%
Q1 20174,736,587$381.58M$80.56-514,994-10%
Q4 20165,251,581$383.21M$72.97+601,381+13%
Q3 20164,650,200$326.35M$70.18+1,038,588+29%
Q2 20163,611,612$226.27M$62.65+10,7040%
Q1 20163,600,908$206.76M$57.42+116,436+3%
Q4 20153,484,472$190.98M$54.81NEW