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Texas Instruments Incorporated shares owned by Metropolitan Life Insurance Company

Quarter-by-quarter ownership of Texas Instruments Incorporated (TXN) shares owned by Metropolitan Life Insurance Company from 13F filings

Historical chart of Metropolitan Life Insurance Company investment in Texas Instruments Incorporated

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All positions including Texas Instruments Incorporated held by Metropolitan Life Insurance Company consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Texas Instruments Incorporated by Metropolitan Life Insurance Company

Quarter filed Position value Share count Share price at filing
2023-12-31 $6.3M 37k 170.46
2023-09-30 $6.0M 38k 159.01
2023-06-30 $7.1M 40k 180.02
2023-03-31 $7.5M 41k 186.01
2022-12-31 $8.5M 51k 165.22
2022-09-30 $8.3M 54k 154.78
2022-06-30 $8.4M 55k 153.65
2022-03-31 $10M 56k 183.48
2021-12-31 $25M 131k 188.47
2021-09-30 $26M 135k 192.21
2021-06-30 $27M 139k 192.30
2021-03-31 $24k 127 189.14
2020-12-31 $24M 144k 164.13
2020-09-30 $21M 150k 142.79
2020-06-30 $20M 156k 126.97
2020-03-31 $18M 183k 99.93
2019-12-31 $24M 186k 128.29
2019-09-30 $24M 186k 129.24
2019-06-30 $22M 188k 114.76
2019-03-31 $390k 19k 20.21
2018-12-31 $18M 188k 94.50
2018-09-30 $21M 191k 107.29
2018-06-30 $22M 196k 110.25
2018-03-31 $20M 196k 103.89
2017-12-31 $21M 196k 104.44
2017-09-30 $46M 513k 89.64
2017-06-30 $40M 522k 76.93
2017-03-31 $43M 533k 80.56
2016-12-31 $39M 540k 72.97
2016-09-30 $39M 559k 70.18
2016-06-30 $36M 566k 62.65
2016-03-31 $33M 575k 57.42
2015-12-31 $32M 588k 54.81
2015-09-30 $30M 602k 49.52
2015-06-30 $32M 619k 51.51
2015-03-31 $36M 623k 57.18
2014-12-31 $34M 636k 53.47
2014-09-30 $31M 645k 47.69
2014-06-30 $32M 661k 47.79
2014-03-31 $33M 697k 47.15
2013-12-31 $31M 713k 43.91
2013-09-30 $29M 731k 40.27
2013-06-30 $26M 741k 34.87
2013-03-31 $26M 742k 35.48
2012-12-31 $24M 768k 30.94
2012-09-30 $22M 780k 27.55
2012-06-30 $23M 797k 28.69
2012-03-31 $27M 793k 33.61
2011-12-31 $23M 803k 29.11
2011-09-30 $22M 815k 26.65
2011-06-30 $27M 810k 32.83
2011-03-31 $28M 816k 34.56