Texas Instruments Stock Holdings Decrease for Capital Research Global Investors

Institutional investor reduces stake in semiconductor company by 8.8% in Q3

Published on Mar. 10, 2026

Capital Research Global Investors, a major institutional investor, decreased its position in Texas Instruments Incorporated (NASDAQ:TXN) by 8.8% in the third quarter of 2026, according to a recent SEC filing. The firm now owns approximately 14.4 million shares of the semiconductor company's stock, worth around $2.65 billion.

Why it matters

Texas Instruments is a leading global semiconductor company, so changes in major institutional holdings can signal shifts in investor sentiment and market expectations for the stock. This decrease by Capital Research Global Investors, one of the company's largest shareholders, is notable and could foreshadow broader trends in the stock's performance.

The details

According to the 13F filing, Capital Research Global Investors sold 1,386,338 shares of Texas Instruments stock during the third quarter. The firm now owns about 1.59% of the company's outstanding shares. Other major institutional investors, including Vanguard Group and Invesco, have also adjusted their Texas Instruments holdings in recent quarters.

  • Capital Research Global Investors filed the 13F report disclosing the stake decrease on March 10, 2026.
  • The reduction in shares occurred during the third quarter of 2026.

The players

Capital Research Global Investors

A major institutional investment firm that manages over $2 trillion in assets globally.

Texas Instruments Incorporated

A global semiconductor company headquartered in Dallas, Texas that designs and manufactures analog and embedded processing chips for a wide range of end markets.

Got photos? Submit your photos here. ›

What they’re saying

“We must not let individuals continue to damage private property in San Francisco.”

— Robert Jenkins, San Francisco resident (San Francisco Chronicle)

The takeaway

This decrease in Texas Instruments' institutional ownership by a major investor like Capital Research Global Investors could signal broader market uncertainty or concerns about the company's outlook, though the reasons behind the reduction are not fully clear. Investors will likely watch for any further changes in major shareholder positions as an indicator of the stock's future performance.