TEXAS INSTRUMENTS INCTXN

Market cap
$157.6B
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Stock-based compensation190269263287277286252242232217224230289362387
Cash from operations 3,8203,2563,4143,3843,8924,2684,6145,3637,1896,6496,1398,7568,7206,4206,318
Capital expenditures-1,199-816-495-412-385-551-531-695-1,131-847-649-2,462-2,797-5,071-4,820
Cash from investing -1,057-6,172-1,039-3-377-302-650-1,127-78-1,920-922-4,095-3,583-4,362-3,202
Payments for dividends 5926448191,1751,3231,4441,6462,1042,5553,0083,4263,8864,2974,5574,795
Repurchases of common stock--1,8002,8682,8312,7412,1322,5565,1002,9602,5535273,615293929
Proceeds from issuance of term debt, net----4984984991,0991,5001,4911,4981,4951,4943,0002,980
Cash from financing -2,6262,589-1,951-3,170-3,943-4,165-3,810-3,734-6,329-4,730-4,547-3,137-6,718-2,144-2,880
Free cash flow
FCF margin (%)