Highland Private Wealth Management now owns 3,042 shares of the semiconductor company's stock worth $234,000 after purchasing an additional 25 shares in the last quarter. Enterprise Financial Services Corp now owns 1,481 shares of the semiconductor company's stock worth $114,000 after purchasing an additional 4 shares during the last quarter. About 4.58 million shares traded or 2.42% up from the average.
Texas Instruments (NASDAQ:TXN) last posted its quarterly earnings results on Tuesday, October 24th. It has outperformed by 23.61% the S&P500.
Northside Capital Management Llc decreased its stake in Texas Instrs Inc (TXN) by 14.13% based on its latest 2017Q3 regulatory filing with the SEC. Westside Investment Management Inc. now owns 1,552 shares of the semiconductor company's stock valued at $122,000 after buying an additional 100 shares during the period. Oz Management Lp who had been investing in Chesapeake Energy Corp (Put) for a number of months, seems to be bullish on the $3.81B market cap company. The stock price is showing encouraging image with current supportive move of 0.88% at trading price of $110.67. Following the transaction, the senior vice president now owns 78,102 shares of the company's stock, valued at $7,539,186.06. American Tower Corporation (NYSE:AMT) has risen 23.66% since January 13, 2017 and is uptrending. It has outperformed by 11.98% the S&P500. Two equities research analysts have rated the stock with a sell rating, sixteen have assigned a hold rating, fifteen have assigned a buy rating and one has given a strong buy rating to the company. Johnson & Johnson had 84 analyst reports since August 7, 2015 according to SRatingsIntel. The rating was downgraded by Raymond James on Tuesday, April 19 to "Outperform". The rating was initiated by Susquehanna with "Positive" on Wednesday, December 21. As per Friday, September 11, the company rating was upgraded by JP Morgan. The stock has "Buy" rating by Jefferies on Wednesday, October 11. The stock of Experian plc (LON:EXPN) has "Buy" rating given on Thursday, December 3 by Nomura. Jefferies maintained the stock with "Buy" rating in Monday, July 3 report. Laurion Capital Management Lp sold 138,735 shares as the company's stock rose 5.05% with the market. It also increased its holding in Vanguard Index Fds (VOO) by 4,479 shares in the quarter, for a total of 45,784 shares, and has risen its stake in Raytheon Co (NYSE:RTN).
Since July 31, 2017, it had 0 buys, and 13 insider sales for $125.79 million activity. Following the completion of the transaction, the chairman now owns 993,164 shares in the company, valued at approximately $77,943,510.72.
In related news, COO Brian T. Crutcher sold 68,687 shares of the company's stock in a transaction dated Friday, October 27th. Shares for $3.21 million were sold by DAMELIO FRANK A on Thursday, August 31.
Investors sentiment increased to 1.12 in 2017 Q3. Its down 0.08, from 1.03 in 2017Q2. It improved, as 53 investors sold CHK shares while 94 reduced holdings. Following the sale, the director now owns 18,495 shares in the company, valued at $1,783,657.80. 575.42 million shares or 0.30% less from 577.13 million shares in 2017Q2 were reported. Great West Life Assurance Com Can accumulated 816,397 shares. (NYSE:JPM) on Thursday, June 1 with "Hold" rating. During the same period in the prior year, the company earned $0.94 earnings per share. Acropolis Inv Mgmt Ltd Llc holds 22,245 shares. Lloyds Banking Gru Pcl holds 2,313 shares or 2.07% of its portfolio.
Investors sentiment decreased to 0.95 in 2017 Q3. Its up 0.02, from 1.1 in 2017Q2. It is positive, as 55 investors sold TXN shares while 333 reduced holdings.
Several hedge funds have recently made changes to their positions in the company. For the next year, analysts expect that the business will report earnings of $4.52 per share, with EPS estimates ranging from $3.90 to $4.73. Fincl Bank Of Nova Scotia invested in 479,512 shares. Alexandria Cap Lc owns 529 shares for 0.01% of their portfolio. Moreover, Lombard Odier Asset Mngmt (Switzerland) Sa has 0.06% invested in Texas Instruments Incorporated (NASDAQ:TXN). Fisher Asset Lc holds 361,062 shares. Farr Miller & Washington Limited Dc holds 0.06% or 7,500 shares. Mirae Asset Glob Invs owns 133,952 shares or 0.32% of their U.S. portfolio. Td Capital Mgmt Ltd, a Tennessee-based fund reported 95 shares. Merriman Wealth Mgmt Lc, Washington-based fund reported 2,763 shares. Lpl Financial Ltd Com holds 147,146 shares. Roof Eidam And Maycock Adv holds 9,485 shares or 0.44% of its portfolio. Hl Finance Serv Limited Liability Company accumulated 0.07% or 39,907 shares. Bokf Na accumulated 143,190 shares. New York-based Catalyst Cap Llc has invested 0.19% in Texas Instruments Incorporated (NASDAQ:TXN). TXN's profit will be $1.07 billion for 25.85 P/E if the $1.09 EPS becomes a reality. The institutional investor held 2,700 shares of the semiconductors company at the end of 2017Q3, valued at $242,000, down from 10,000 at the end of the previous reported quarter. Royal Bank of Canada reissued a "buy" rating and set a $112.00 price objective on shares of Texas Instruments in a report on Thursday, January 4th. Therefore 46% are positive. Ten analysts have provided estimates for Texas Instruments' earnings. The firm has "Neutral" rating by Bank of America given on Monday, August 24. Hudock Capital Group LLC increased its position in Texas Instruments by 0.4% in the second quarter. The company was maintained on Wednesday, October 25 by BMO Capital Markets. Pax Ww Mngmt Limited Company has 0.18% invested in Texas Instruments Incorporated (NASDAQ:TXN). Ameriprise Inc stated it has 0.16% in Texas Instruments Incorporated (NASDAQ:TXN). Patriot Financial Group Insurance Agency LLC boosted its stake in shares of Texas Instruments by 18.4% during the 2nd quarter. (NYSE:PFE) rating on Thursday, July 14. On Tuesday, December 12 the stock rating was maintained by Keefe Bruyette & Woods with "Hold". FBR Capital maintained it with "Mkt Perform" rating and $58 target in Thursday, October 22 report. Benchmark Capital Advisors who had been investing in General Motors Co for a number of months, seems to be less bullish one the $62.36B market cap company.
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