Bill NygrenTXN history

Issuer:
TEXAS INSTRS INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
47,510
Current value:
$9.22M
Peak shares:
8,218,950 (Q3 2015)
Overall change:
-99%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 202647,510$9.22M$194.15-755-2%
Q4 202548,265$8.37M$173.48-250%
Q3 202548,290$8.87M$183.72-450-1%
Q2 202548,740$10.12M$207.61+798+2%
Q1 202547,942$8.62M$179.70-1,346-3%
Q4 202449,288$9.24M$187.5100%
Q3 202449,288$10.18M$206.56-262-1%
Q2 202449,550$9.64M$194.53-3,036-6%
Q1 202452,586$9.16M$174.21-15,147-22%
Q4 202367,733$11.55M$170.46-2360%
Q3 202367,969$10.81M$159.01-11,353-14%
Q2 202379,322$14.28M$180.03-3,524-4%
Q1 202382,846$15.41M$186.01-5,355-6%
Q4 202288,201$14.57M$165.22-9,471-10%
Q3 202297,672$15.12M$154.78-5,109-5%
Q2 2022102,781$15.79M$153.65-4,633-4%
Q1 2022107,414$19.71M$183.48-24,908-19%
Q4 2021132,322$24.94M$188.47-11,110-8%
Q3 2021143,432$27.57M$192.21-44,820-24%
Q2 2021188,252$36.20M$192.30-115,052-38%
Q1 2021303,304$57.32M$188.99-242,389-44%
Q4 2020545,693$89.56M$164.13-181,417-25%
Q3 2020727,110$103.82M$142.79-43,188-6%
Q2 2020770,298$97.81M$126.97-1,332,393-63%
Q1 20202,102,691$210.12M$99.93-250,308-11%
Q4 20192,352,999$301.87M$128.29-117,865-5%
Q3 20192,470,864$319.33M$129.24-1,220,278-33%
Q2 20193,691,142$423.60M$114.76-126,580-3%
Q1 20193,817,722$404.94M$106.07-23,009-1%
Q4 20183,840,731$362.95M$94.50-17,1790%
Q3 20183,857,910$413.92M$107.29-27,748-1%
Q2 20183,885,658$428.39M$110.25-21,372-1%
Q1 20183,907,030$405.90M$103.89-1,613,462-29%
Q4 20175,520,492$576.56M$104.44-1,090,183-16%
Q3 20176,610,675$592.58M$89.64-26,9470%
Q2 20176,637,622$510.63M$76.93-83,240-1%
Q1 20176,720,862$541.43M$80.56-198,985-3%
Q4 20166,919,847$504.94M$72.97-134,106-2%
Q3 20167,053,953$495.05M$70.18-1,056,742-13%
Q2 20168,110,695$508.13M$62.65-87,095-1%
Q1 20168,197,790$470.72M$57.42-11,9850%
Q4 20158,209,775$449.98M$54.81-9,1750%
Q3 20158,218,950$407.00M$49.52+822,120+11%
Q2 20157,396,830$381.01M$51.51-24,4000%
Q1 20157,421,230$424.38M$57.18-155,686-2%
Q4 20147,576,916$405.10M$53.46-10,7050%
Q3 20147,587,621$361.85M$47.69+20,6160%
Q2 20147,567,005$361.63M$47.79NEW