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TXN Texas Instruments

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  • 198.280
  • -0.010-0.01%
Close Jul 24 16:00 ET
  • 200.000
  • +1.720+0.87%
Post 19:59 ET
181.03BMarket Cap34.27P/E (TTM)

Texas Instruments Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
12.29%1.57B
-12.33%1.02B
-26.38%6.42B
-5.78%1.92B
-29.97%1.94B
-20.87%1.4B
-45.90%1.16B
-0.41%8.72B
-13.36%2.04B
13.92%2.77B
Net income from continuing operations
-34.55%1.13B
-35.30%1.11B
-25.59%6.51B
-30.12%1.37B
-25.53%1.71B
-24.84%1.72B
-22.40%1.71B
12.61%8.75B
-8.23%1.96B
17.87%2.3B
Operating gains losses
--3M
---129M
----
----
--0
----
----
94.74%-3M
--0
--0
Depreciation and amortization
27.00%381M
28.83%362M
26.46%1.24B
28.14%337M
22.14%320M
25.00%300M
31.31%281M
2.62%979M
23.47%263M
3.56%262M
Deferred tax
-63.46%-85M
-787.50%-71M
-56.54%-299M
19.08%-140M
-3,200.00%-99M
-271.43%-52M
-700.00%-8M
-1,373.33%-191M
-4,225.00%-173M
-125.00%-3M
Other non cash items
-61.40%-276M
11.29%-55M
-0.69%-292M
111.11%7M
-127.59%-66M
0.58%-171M
-138.46%-62M
-3,000.00%-290M
-210.53%-63M
-462.50%-29M
Change In working capital
159.80%305M
65.12%-301M
-35.18%-1.1B
3,211.11%280M
-103.47%-6M
22.84%-510M
-173.10%-863M
-392.73%-813M
80.85%-9M
7.45%173M
-Change in receivables
49.37%-40M
544.44%116M
155.67%108M
30.34%189M
-113.33%-20M
80.00%-79M
119.15%18M
32.40%-194M
402.08%145M
341.94%150M
-Change in inventory
94.78%-23M
84.18%-84M
-46.64%-1.24B
74.22%-91M
12.68%-179M
-217.27%-441M
-254.00%-531M
-1,982.22%-847M
-651.06%-353M
-1,476.92%-205M
-Change in prepaid assets
-257.14%-22M
-500.00%-24M
666.67%46M
120.51%8M
12.00%28M
1,500.00%14M
-119.05%-4M
-89.47%6M
7.14%-39M
-67.11%25M
-Change in payables and accrued expense
9,850.00%390M
10.69%-309M
-104.95%-11M
-26.89%174M
-18.72%165M
96.83%-4M
-272.04%-346M
1,010.00%222M
164.44%238M
26.88%203M
Cash from discontinued investing activities
Operating cash flow
12.29%1.57B
-12.33%1.02B
-26.38%6.42B
-5.78%1.92B
-29.97%1.94B
-20.87%1.4B
-45.90%1.16B
-0.41%8.72B
-13.36%2.04B
13.92%2.77B
Investing cash flow
Cash flow from continuing investing activities
0
-11,989.29%-3.33B
-21.74%-4.36B
69.72%-311M
19.83%-1.69B
-294.69%-2.39B
101.68%28M
12.50%-3.58B
53.93%-1.03B
-139.03%-2.11B
Capital expenditure reported
26.42%-1.06B
-27.09%-1.25B
-81.30%-5.07B
-18.72%-1.15B
-89.24%-1.5B
-142.21%-1.45B
-121.67%-982M
-13.61%-2.8B
24.57%-967M
-62.55%-790M
Net investment purchase and sale
205.09%1.03B
-320.43%-2.23B
182.57%682M
2,326.32%846M
85.15%-195M
-156.47%-982M
183.44%1.01B
49.82%-826M
96.16%-38M
-247.35%-1.31B
Net other investing changes
-25.58%32M
5,166.67%152M
-32.50%27M
59.09%-9M
60.00%-4M
-48.19%43M
72.73%-3M
207.69%40M
-152.38%-22M
50.00%-10M
Cash from discontinued investing activities
Investing cash flow
--0
-11,989.29%-3.33B
-21.74%-4.36B
69.72%-311M
19.83%-1.69B
-294.69%-2.39B
101.68%28M
12.50%-3.58B
53.93%-1.03B
-139.03%-2.11B
Financing cash flow
Cash flow from continuing financing activities
-2,426.92%-1.31B
666.11%1.83B
68.09%-2.14B
-7.14%-1.22B
13.22%-1.12B
98.07%-52M
114.92%239M
-114.15%-6.72B
2.24%-1.13B
-373.62%-1.29B
Net issuance payments of debt
-127.20%-300M
113.31%2.98B
151.51%2.5B
--0
--0
320.60%1.1B
--1.4B
5.19%994M
--799M
-53.51%695M
Net common stock issuance
1,364.29%177M
444.44%62M
99.11%-30M
97.49%-20M
102.40%22M
98.76%-14M
96.62%-18M
-2,149.33%-3.37B
-786.67%-798M
-1,334.38%-918M
Cash dividends paid
-5.33%-1.19B
-5.16%-1.18B
-6.05%-4.56B
-5.16%-1.18B
-7.14%-1.13B
-6.13%-1.13B
-5.83%-1.13B
-10.58%-4.3B
-5.74%-1.12B
-11.57%-1.05B
Net other financing activities
62.50%-6M
-86.67%-28M
-39.02%-57M
-16.67%-14M
0.00%-12M
-60.00%-16M
-114.29%-15M
10.87%-41M
-50.00%-12M
36.84%-12M
Cash from discontinued financing activities
Financing cash flow
-2,426.92%-1.31B
666.11%1.83B
68.09%-2.14B
-7.14%-1.22B
13.22%-1.12B
98.07%-52M
114.92%239M
-114.15%-6.72B
2.24%-1.13B
-373.62%-1.29B
Net cash flow
Beginning cash position
-44.54%2.48B
-2.82%2.96B
-34.14%3.05B
-19.03%2.57B
-9.55%3.44B
27.73%4.48B
-34.14%3.05B
49.05%4.63B
-44.04%3.17B
4.19%3.8B
Current changes in cash
124.76%257M
-133.71%-481M
94.56%-86M
434.45%398M
-37.91%-873M
-449.49%-1.04B
226.73%1.43B
-203.74%-1.58B
88.47%-119M
-131.43%-633M
End cash Position
-20.33%2.74B
-44.54%2.48B
-2.82%2.96B
-2.82%2.96B
-19.03%2.57B
-9.55%3.44B
27.73%4.48B
-34.14%3.05B
-34.14%3.05B
-44.04%3.17B
Free cash flow
1,178.72%507M
-229.78%-231M
-77.22%1.35B
-27.81%776M
-77.63%442M
-104.01%-47M
-89.54%178M
-5.89%5.92B
0.00%1.08B
1.75%1.98B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 12.29%1.57B-12.33%1.02B-26.38%6.42B-5.78%1.92B-29.97%1.94B-20.87%1.4B-45.90%1.16B-0.41%8.72B-13.36%2.04B13.92%2.77B
Net income from continuing operations -34.55%1.13B-35.30%1.11B-25.59%6.51B-30.12%1.37B-25.53%1.71B-24.84%1.72B-22.40%1.71B12.61%8.75B-8.23%1.96B17.87%2.3B
Operating gains losses --3M---129M----------0--------94.74%-3M--0--0
Depreciation and amortization 27.00%381M28.83%362M26.46%1.24B28.14%337M22.14%320M25.00%300M31.31%281M2.62%979M23.47%263M3.56%262M
Deferred tax -63.46%-85M-787.50%-71M-56.54%-299M19.08%-140M-3,200.00%-99M-271.43%-52M-700.00%-8M-1,373.33%-191M-4,225.00%-173M-125.00%-3M
Other non cash items -61.40%-276M11.29%-55M-0.69%-292M111.11%7M-127.59%-66M0.58%-171M-138.46%-62M-3,000.00%-290M-210.53%-63M-462.50%-29M
Change In working capital 159.80%305M65.12%-301M-35.18%-1.1B3,211.11%280M-103.47%-6M22.84%-510M-173.10%-863M-392.73%-813M80.85%-9M7.45%173M
-Change in receivables 49.37%-40M544.44%116M155.67%108M30.34%189M-113.33%-20M80.00%-79M119.15%18M32.40%-194M402.08%145M341.94%150M
-Change in inventory 94.78%-23M84.18%-84M-46.64%-1.24B74.22%-91M12.68%-179M-217.27%-441M-254.00%-531M-1,982.22%-847M-651.06%-353M-1,476.92%-205M
-Change in prepaid assets -257.14%-22M-500.00%-24M666.67%46M120.51%8M12.00%28M1,500.00%14M-119.05%-4M-89.47%6M7.14%-39M-67.11%25M
-Change in payables and accrued expense 9,850.00%390M10.69%-309M-104.95%-11M-26.89%174M-18.72%165M96.83%-4M-272.04%-346M1,010.00%222M164.44%238M26.88%203M
Cash from discontinued investing activities
Operating cash flow 12.29%1.57B-12.33%1.02B-26.38%6.42B-5.78%1.92B-29.97%1.94B-20.87%1.4B-45.90%1.16B-0.41%8.72B-13.36%2.04B13.92%2.77B
Investing cash flow
Cash flow from continuing investing activities 0-11,989.29%-3.33B-21.74%-4.36B69.72%-311M19.83%-1.69B-294.69%-2.39B101.68%28M12.50%-3.58B53.93%-1.03B-139.03%-2.11B
Capital expenditure reported 26.42%-1.06B-27.09%-1.25B-81.30%-5.07B-18.72%-1.15B-89.24%-1.5B-142.21%-1.45B-121.67%-982M-13.61%-2.8B24.57%-967M-62.55%-790M
Net investment purchase and sale 205.09%1.03B-320.43%-2.23B182.57%682M2,326.32%846M85.15%-195M-156.47%-982M183.44%1.01B49.82%-826M96.16%-38M-247.35%-1.31B
Net other investing changes -25.58%32M5,166.67%152M-32.50%27M59.09%-9M60.00%-4M-48.19%43M72.73%-3M207.69%40M-152.38%-22M50.00%-10M
Cash from discontinued investing activities
Investing cash flow --0-11,989.29%-3.33B-21.74%-4.36B69.72%-311M19.83%-1.69B-294.69%-2.39B101.68%28M12.50%-3.58B53.93%-1.03B-139.03%-2.11B
Financing cash flow
Cash flow from continuing financing activities -2,426.92%-1.31B666.11%1.83B68.09%-2.14B-7.14%-1.22B13.22%-1.12B98.07%-52M114.92%239M-114.15%-6.72B2.24%-1.13B-373.62%-1.29B
Net issuance payments of debt -127.20%-300M113.31%2.98B151.51%2.5B--0--0320.60%1.1B--1.4B5.19%994M--799M-53.51%695M
Net common stock issuance 1,364.29%177M444.44%62M99.11%-30M97.49%-20M102.40%22M98.76%-14M96.62%-18M-2,149.33%-3.37B-786.67%-798M-1,334.38%-918M
Cash dividends paid -5.33%-1.19B-5.16%-1.18B-6.05%-4.56B-5.16%-1.18B-7.14%-1.13B-6.13%-1.13B-5.83%-1.13B-10.58%-4.3B-5.74%-1.12B-11.57%-1.05B
Net other financing activities 62.50%-6M-86.67%-28M-39.02%-57M-16.67%-14M0.00%-12M-60.00%-16M-114.29%-15M10.87%-41M-50.00%-12M36.84%-12M
Cash from discontinued financing activities
Financing cash flow -2,426.92%-1.31B666.11%1.83B68.09%-2.14B-7.14%-1.22B13.22%-1.12B98.07%-52M114.92%239M-114.15%-6.72B2.24%-1.13B-373.62%-1.29B
Net cash flow
Beginning cash position -44.54%2.48B-2.82%2.96B-34.14%3.05B-19.03%2.57B-9.55%3.44B27.73%4.48B-34.14%3.05B49.05%4.63B-44.04%3.17B4.19%3.8B
Current changes in cash 124.76%257M-133.71%-481M94.56%-86M434.45%398M-37.91%-873M-449.49%-1.04B226.73%1.43B-203.74%-1.58B88.47%-119M-131.43%-633M
End cash Position -20.33%2.74B-44.54%2.48B-2.82%2.96B-2.82%2.96B-19.03%2.57B-9.55%3.44B27.73%4.48B-34.14%3.05B-34.14%3.05B-44.04%3.17B
Free cash flow 1,178.72%507M-229.78%-231M-77.22%1.35B-27.81%776M-77.63%442M-104.01%-47M-89.54%178M-5.89%5.92B0.00%1.08B1.75%1.98B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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