Published: Thu, March 15, 2018
Business | By Tara Barton

Taylor Hoffman Wealth Management Acquires Shares of 1001 Texas Instruments Incorporated (TXN)


The company has a current ratio of 3.87, a quick ratio of 3.00 and a debt-to-equity ratio of 0.35.

The company's Average Earnings Estimate for the Current Fiscal quarter is $1.1, according to consensus of 26 analysts. Shannon River Fund Management Llc who had been investing in Infinera Corporation for a number of months, seems to be less bullish one the $1.73 billion market cap company. It closed at $5 lastly. It has underperformed by 41.12% the S&P500.

Bahl & Gaynor Inc decreased Applied Industrial Tech (NYSE:AIT) stake by 238,895 shares to 188,241 valued at $12.39M in 2017Q3. Covington Management reported 0.03% of its portfolio in Texas Instruments Incorporated (NASDAQ:TXN). The company had a trading volume of 344,047 shares, compared to its average volume of 6,533,493. The Texas-based Maverick Capital Ltd has invested 0.12% in O'Reilly Automotive, Inc. The stock decreased 0.60% or $1.52 during the last trading session, reaching $252.02. About 1.05 million shares traded. In order to determine directional movement, the 50-day and 200-day moving averages for Texas Instruments Incorporated (NASDAQ:TXN) are $107.67 and $98.99. It has outperformed by 23.61% the S&P500.

Investors sentiment decreased to 1.01 in Q3 2017. In the past 7 -year record, this ratio went down as low as 0.14 and as high as 1.85.

Several other institutional investors and hedge funds have also recently added to or reduced their stakes in TXN. State Street Corporation reported 39.31 million shares. Advisor Prns Limited Liability Com has invested 0.1% in Illumina, Inc. Trading volume for Texas Instruments Inc. was 5.85 Million in its previous trading session. White Pine Investment invested in 0.22% or 10,620 shares.

University Of Texas Investment Managment Co increased its stake in Texas Instruments Inc (TXN) by 354.38% based on its latest 2017Q3 regulatory filing with the SEC. Segall Bryant Hamill Ltd Company reported 651,340 shares or 0.13% of all its holdings. OxFORD Asset Management LLP now owns 123,207 shares of the semiconductor company's stock valued at $9,478,000 after purchasing an additional 50,244 shares during the period. Schnieders Mgmt Limited Liability has 2,292 shares. Texas Instruments Incorporated (NASDAQ:TXN) has risen 40.31% since March 13, 2017 and is uptrending. Employees Retirement Of Ohio, a Ohio-based fund reported 716,876 shares. Nordea Invest Ab has 1.86 million shares for 0.4% of their portfolio.

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Several institutional investors have recently bought and sold shares of AAPL. 25 funds opened positions while 42 raised stakes. After $3.89 actual EPS reported by Apple Inc. for the previous quarter, Wall Street now forecasts -30.33% negative EPS growth.

Since October 26, 2017, it had 0 buys, and 30 selling transactions for $208.19 million activity. The stock of Texas Instruments Incorporated (NASDAQ:TXN) has "Neutral" rating given on Wednesday, January 24 by Robert W. Baird. The insider BABB RALPH W JR sold 27,048 shares worth $2.98M. It dropped, as 63 investors sold UTX shares while 503 reduced holdings. Another trade for 19,125 shares valued at $2.02 million was made by Van Haren Julie on Tuesday, February 6. 621.08 million shares or 1.52% more from 611.76 million shares in 2017Q2 were reported. (Rating Scale: 1.0 Strong Buy, 2.0 Buy, 3.0 Hold, 4.0 Sell, 5.0 Strong Sell). Therefore 48% are positive.

Texas Instruments Inc. (NASDAQ:TXN) touched its 1-Year High price of $120.75 on 01/23/18 and its 1-Year Low price of $ 75.92 on 06/29/17. Sanford C. Bernstein set a $125.00 price target on shares of Texas Instruments and gave the stock a "buy" rating in a research report on Wednesday, January 24th. The company was maintained on Wednesday, October 25 by B. Riley & Co. BMO Capital Markets maintained Texas Instruments Incorporated (NASDAQ:TXN) rating on Thursday, August 31. Finally, Zacks Investment Research downgraded shares of Texas Instruments from a "buy" rating to a "hold" rating in a research report on Monday, January 15th. As per Wednesday, January 24, the company rating was maintained by Credit Suisse. The company operates in the Technology sector with a market capitalization of 108.93 Million. Compton Management Ri has 0.11% invested in Texas Instruments Incorporated (NASDAQ:TXN). On Friday, March 3 the stock rating was maintained by JP Morgan with "Neutral". Citigroup maintained the stock with "Buy" rating in Wednesday, January 24 report.

Mufg Americas Corp stated it has 57,220 shares. (NYSE:TJX) stake by 155,100 shares and now owns 338,251 shares.

Investors sentiment decreased to 0.91 in Q3 2017. Its up 0.60, from 1.29 in 2017Q2. It dived, as 77 investors sold AT&T Inc. shares while 609 reduced holdings. 13 funds opened positions while 23 raised stakes. 2,879 were accumulated by Commercial Bank Of America De. Emerson Electric Co (NYSE: EMR) is a stock with 638.20M shares outstanding. Exane Derivatives accumulated 3,185 shares. Leading up to this report, we have seen a 3.13% return in the stock price over the last 30 days and a 7.03% return over the past 3 months. (NYSE:CCO). Blackrock Inc invested in 0% or 2.35M shares. Schafer Cullen Cap Management reported 0% stake. (NYSE:T) or 123,823 shares. Gemmer Asset Mgmt Ltd Liability Co holds 0.05% or 686 shares. (NYSE:WPX) for 24,900 shares. Dnb Asset As holds 130,213 shares or 0.16% of its portfolio. Duff Phelps Inv Mgmt has 11,195 shares. Central Bancorp owns 5,530 shares for 0.12% of their portfolio. Goldman Sachs Group Inc has invested 0.02% in O'Reilly Automotive, Inc. Following the completion of the sale, the director now owns 10,178 shares of the company's stock, valued at approximately $1,144,719.66.

Among 17 analysts covering Travelers (NYSE:TRV), 6 have Buy rating, 2 Sell and 9 Hold. Therefore 46% are positive. Clear Channel Outdoor Holdings has $11.0 highest and $4 lowest target. WPX Energy had 117 analyst reports since July 21, 2015 according to SRatingsIntel. On Thursday, October 27 the stock rating was maintained by Mizuho with "Neutral". The firm has "Hold" rating by KeyBanc Capital Markets given on Tuesday, November 21. The firm has "Sell" rating by Evercore given on Friday, May 13. The rating was downgraded by Wells Fargo to "Market Perform" on Tuesday, August 18. As per Tuesday, January 12, the company rating was maintained by Wedbush.

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