METROPOLITAN LIFE INSURANCE CO/NY – Texas Instruments Incorporated Transaction History
METROPOLITAN LIFE INSURANCE CO/NY portfolio value:
$8.27M
portfolio value
METROPOLITAN LIFE INSURANCE CO/NY quarter portfolio value change:
+0.74%
quarter
Texas Instruments Incorporated 13F transactions
Quarter | Transaction type | Change | Relative change | Absolute change | Change value | Avg. price | Shares |
---|---|---|---|---|---|---|---|
Q3 2022 | share | Decrease | -2.09% | -1.14K shares | -115K | $154.78 | 53.45K |
Q2 2022 | share | Decrease | -2.59% | -1.45K shares | -1.89M | $153.65 | 54.59K |
Q1 2022 | share | Decrease | -57.33% | -75.30K shares | -14.47M | $183.48 | 56.04K |
Q4 2021 | share | Increase | +2.94% | 3.75K shares | 231K | $189.41 | 131.35K |
Q3 2021 | share | Decrease | -8.48% | -11.82K shares | -2.28M | $191.04 | 127.59K |
Q2 2021 | share | Increase | +109680.31% | 139.29K shares | 26.78M | $190.09 | 139.42K |
Q1 2021 | share | Decrease | -99.91% | -143.51K shares | -23.55M | $185.77 | 127 |
Q4 2020 | share | Decrease | -4.01% | -5.99K shares | 2.20M | $160.34 | 143.63K |
Q3 2020 | share | Decrease | -4.18% | -6.53K shares | 1.53M | $138.53 | 149.63K |
Q2 2020 | share | Decrease | -14.64% | -26.77K shares | 1.54M | $122.33 | 156.16K |
Q1 2020 | share | Decrease | -1.41% | -2.61K shares | -5.52M | $95.49 | 182.94K |
Q4 2019 | share | Decrease | -0.41% | -758 shares | -274K | $121.71 | 185.55K |
Q3 2019 | share | Decrease | -0.98% | -1.85K shares | 2.48M | $121.69 | 186.31K |
Q2 2019 | share | Increase | +4.82% | 8.65K shares | 2.55M | $107.41 | 188.16K |
Q1 2019 | share | Decrease | -4.65% | -8.76K shares | 1.24M | $98.63 | 179.51K |
Q4 2018 | share | Decrease | -1.44% | -2.75K shares | -2.70M | $87.21 | 188.27K |
Q3 2018 | share | Decrease | -2.67% | -5.23K shares | -1.14M | $98.2 | 191.03K |
Q2 2018 | share | Increase | +0.15% | 303 shares | 1.27M | $100.35 | 196.27K |
Q1 2018 | share | Decrease | -0.07% | -143 shares | -122.78K | $94.01 | 195.96K |
Q4 2017 | share | Decrease | -61.75% | -316.63K shares | -25.48M | $93.97 | 196.11K |
Q3 2017 | share | Decrease | -1.78% | -9.31K shares | 5.8M | $80.14 | 512.75K |
Q2 2017 | share | Decrease | -2.03% | -10.80K shares | -2.76M | $68.35 | 522.06K |
Q1 2017 | share | Decrease | -1.34% | -7.24K shares | 3.51M | $71.14 | 532.87K |
Q4 2016 | share | Decrease | -3.38% | -18.88K shares | 182K | $64.03 | 540.12K |
Q3 2016 | share | Decrease | -1.31% | -7.40K shares | 3.74M | $61.13 | 559.00K |
Q2 2016 | share | Decrease | -1.45% | -8.36K shares | 2.48M | $54.28 | 566.40K |
Q1 2016 | share | Decrease | -2.31% | -13.58K shares | 756K | $49.43 | 574.76K |