BCIM
TXN icon

British Columbia Investment Management’s Texas Instruments TXN Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$29.8M Sell
143,352
-31,103
-18% -$6.46M 0.17% 115
2025
Q1
$31.3M Sell
174,455
-387
-0.2% -$69.5K 0.19% 114
2024
Q4
$32.8M Buy
174,842
+22,925
+15% +$4.3M 0.2% 108
2024
Q3
$31.4M Sell
151,917
-22,393
-13% -$4.63M 0.19% 105
2024
Q2
$33.9M Buy
174,310
+65,512
+60% +$12.7M 0.2% 96
2024
Q1
$19M Buy
108,798
+4,274
+4% +$745K 0.13% 123
2023
Q4
$17.8M Buy
104,524
+21,998
+27% +$3.75M 0.15% 123
2023
Q3
$13.1M Buy
82,526
+543
+0.7% +$86.3K 0.12% 122
2023
Q2
$14.8M Buy
81,983
+840
+1% +$151K 0.14% 119
2023
Q1
$15.1M Buy
81,143
+117
+0.1% +$21.8K 0.16% 104
2022
Q4
$13.4M Sell
81,026
-10,354
-11% -$1.71M 0.15% 125
2022
Q3
$14.1M Sell
91,380
-15,915
-15% -$2.46M 0.16% 113
2022
Q2
$16.5M Sell
107,295
-35,449
-25% -$5.45M 0.16% 113
2022
Q1
$26.2M Sell
142,744
-19,587
-12% -$3.59M 0.17% 103
2021
Q4
$30.6M Sell
162,331
-8,450
-5% -$1.59M 0.17% 106
2021
Q3
$32.8M Buy
170,781
+527
+0.3% +$101K 0.19% 96
2021
Q2
$32.7M Buy
170,254
+19,527
+13% +$3.76M 0.2% 92
2021
Q1
$28.5M Sell
150,727
-218,035
-59% -$41.2M 0.21% 89
2020
Q4
$60.5M Buy
368,762
+7,133
+2% +$1.17M 0.42% 60
2020
Q3
$51.6M Buy
361,629
+25,327
+8% +$3.62M 0.42% 56
2020
Q2
$42.7M Buy
336,302
+13,523
+4% +$1.72M 0.42% 55
2020
Q1
$32.3M Sell
322,779
-112,427
-26% -$11.2M 0.55% 44
2019
Q4
$55.8M Buy
435,206
+22,205
+5% +$2.85M 0.42% 59
2019
Q3
$53.4M Sell
413,001
-52,555
-11% -$6.79M 0.52% 44
2019
Q2
$53.4M Buy
465,556
+2,809
+0.6% +$322K 0.47% 48
2019
Q1
$49.1M Sell
462,747
-33,471
-7% -$3.55M 0.44% 55
2018
Q4
$46.9M Buy
496,218
+26,560
+6% +$2.51M 0.42% 55
2018
Q3
$50.4M Sell
469,658
-103,457
-18% -$11.1M 0.53% 38
2018
Q2
$63.2M Sell
573,115
-55,759
-9% -$6.15M 0.56% 36
2018
Q1
$65.3M Buy
628,874
+38,430
+7% +$3.99M 0.5% 42
2017
Q4
$61.7M Buy
590,444
+41,950
+8% +$4.38M 0.43% 49
2017
Q3
$49.2M Sell
548,494
-15,461
-3% -$1.39M 0.38% 56
2017
Q2
$43.4M Sell
563,955
-13,030
-2% -$1M 0.35% 62
2017
Q1
$46.5M Sell
576,985
-31,485
-5% -$2.54M 0.37% 56
2016
Q4
$44.4M Buy
608,470
+64,520
+12% +$4.71M 0.39% 54
2016
Q3
$38.2M Sell
543,950
-80,397
-13% -$5.64M 0.38% 55
2016
Q2
$39.1M Buy
624,347
+26,026
+4% +$1.63M 0.34% 63
2016
Q1
$34.4M Sell
598,321
-25,166
-4% -$1.45M 0.32% 71
2015
Q4
$34.2M Buy
623,487
+57,503
+10% +$3.15M 0.33% 70
2015
Q3
$28M Buy
565,984
+26,111
+5% +$1.29M 0.29% 85
2015
Q2
$27.8M Sell
539,873
-177,040
-25% -$9.12M 0.26% 92
2015
Q1
$41M Sell
716,913
-131,762
-16% -$7.53M 0.37% 57
2014
Q4
$45.4M Buy
848,675
+53,035
+7% +$2.84M 0.37% 60
2014
Q3
$37.9M Sell
795,640
-48,530
-6% -$2.31M 0.32% 76
2014
Q2
$40.3M Sell
844,170
-45,025
-5% -$2.15M 0.33% 76
2014
Q1
$41.9M Sell
889,195
-54,945
-6% -$2.59M 0.35% 70
2013
Q4
$41.5M Sell
944,140
-7,673
-0.8% -$337K 0.33% 78
2013
Q3
$38.3M Sell
951,813
-67,476
-7% -$2.72M 0.32% 80
2013
Q2
$35.5M Buy
+1,019,289
New +$35.5M 0.29% 83