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TEXAS INSTRUMENTS INC Director's Dealing 2021

Feb 5, 2021

29799_dirs_2021-02-04_dff75623-c271-4d8a-8c32-db921a99628c.zip

Director's Dealing

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SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: TEXAS INSTRUMENTS INC (TXN)
CIK: 0000097476
Period of Report: 2021-02-02

Reporting Person: TEMPLETON RICHARD K (Director, Chairman, President & CEO)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2021-02-02 Common Stock M 112500 $44.09 Acquired 622167 Direct
2021-02-02 Common Stock S 38543 $172.6586 Disposed 583624 Direct
2021-02-02 Common Stock S 30162 $173.5142 Disposed 553462 Direct
2021-02-02 Common Stock S 40352 $174.7008 Disposed 513110 Direct
2021-02-02 Common Stock S 3443 $175.26 Disposed 509667 Direct
2021-02-03 Common Stock M 112500 $44.09 Acquired 622167 Direct
2021-02-03 Common Stock S 34551 $168.9663 Disposed 587616 Direct
2021-02-03 Common Stock S 39643 $170.0463 Disposed 547973 Direct
2021-02-03 Common Stock S 15468 $170.8979 Disposed 532505 Direct
2021-02-03 Common Stock S 6851 $172.0305 Disposed 525654 Direct
2021-02-03 Common Stock S 5412 $173.1924 Disposed 520242 Direct
2021-02-03 Common Stock S 8875 $174.1614 Disposed 511367 Direct
2021-02-03 Common Stock S 1700 $174.78 Disposed 509667 Direct
2021-02-04 Common Stock M 112500 $44.09 Acquired 622167 Direct
2021-02-04 Common Stock S 6205 $168.5666 Disposed 615962 Direct
2021-02-04 Common Stock S 11402 $169.5099 Disposed 604560 Direct
2021-02-04 Common Stock S 57502 $170.7869 Disposed 547058 Direct
2021-02-04 Common Stock S 37391 $171.3921 Disposed 509667 Direct

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2021-02-02 NQ Stock Option (Right to Buy) $44.09 M 112500 Disposed 2024-01-23 Common Stock (112500) Direct
2021-02-03 NQ Stock Option (Right to Buy) $44.09 M 112500 Disposed 2024-01-23 Common Stock (112500) Direct
2021-02-04 NQ Stock Option (Right to Buy) $44.09 M 112500 Disposed 2024-01-23 Common Stock (112500) Direct

Holdings (Non-Derivative)

Security Shares Ownership
Common Stock 308.5012 Indirect
Common Stock 47826 Indirect
Common Stock 12704.84 Indirect

Footnotes

F1: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $172.04 to $173.04. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F2: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $173.045 to $174.04. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F3: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $174.05 to $175.05. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F4: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $175.055 to $175.64. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F5: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $168.52 to $169.52. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F6: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $169.53 to $170.53. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F7: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $170.54 to $171.52. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F8: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $171.55 to $172.54. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F9: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $172.60 to $173.51. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F10: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $173.61 to $174.61. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F11: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $174.62 to $175.115. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F12: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $168.05 to $169.05. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.
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F13: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $169.07 to $170.065. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F14: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $170.12 to $171.12. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F15: The price in Table 1 is a weighted average sale price. The sales were at prices ranging from $171.13 to $171.96. The Issuer undertakes to provide upon request a detailed breakout of the sale prices and the number of shares sold at each price.

F16: Estimated shares attributable to TI 401(k) Account as of 12-31-2020. (Interests in this account are denominated in units. Consequently, share amount shown is an estimate.) This statement does not include changes in beneficial ownership of shares held in this account occurring after 12-31-2020 that are eligible for deferred reporting on Form 5.

F17: Shares held in trusts for benefit of children; beneficial ownership by reporting person disclaimed.

F18: Estimated shares attributable to TI Universal Profit Sharing Account as of 12-31-2020. (Interests in this account are denominated in units. Consequently, share amount shown is an estimate.) This statement does not include changes in beneficial ownership of shares held in such account occurring after 12-31-2020 that are eligible for deferred reporting on Form 5.

F19: The option became exercisable in four equal annual installments beginning on January 23, 2015.