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Texas Instruments Incorporated (TXN) Stock Fundamentals, Analysis & Risk Signals

Health score, competitive moat, risk signals, and key metrics at a glance.

NasdaqGS•Technology•Semiconductors
A
ExcellentMetricSide Score: 81/100
ProfitabilityProfit30/30
GrowthGrowth25/25
Balance SheetBalance15/25
Cash QualityCash11/20
Price & Volume
Market Cap $266.41B

Texas Instruments Incorporated designs, manufactures, and sells semiconductors to electronics designers and manufacturers in the United States, China, the rest of Asia, Europe, the Middle East, Africa, Japan, and internationally. It operates through Analog and Embedded Processing segments. The Analog segment offers power products to manage power requirements across various voltage levels, including battery-management solutions, DC/DC switching regulators, AC/DC and isolated controllers and converters, power switches, linear regulators, voltage references, multiphase controllers and power stages, and lighting products. This segment also provides signal chain products that sense, condition, and measure real-world signals and convert them into data to be transferred or converted for further processing and control, such as amplifiers, data converters, interface products, motor drives, clocks, and logic and sensing products. The Embedded Processing segment offers microcontrollers, processors, wireless connectivity, and radar products; and applications processors for specific computing activity. It also provides DLP products primarily for use in projecting high-definition images; calculators; and application-specific integrated circuits. Its products are used in various markets, such as industrial, automotive, personal electronics, communications equipment, enterprise systems, calculators, and others. The company markets and sells its semiconductor products through direct sales and distributors, as well as through its website. Texas Instruments Incorporated was founded in 1930 and is headquartered in Dallas, Texas.

Moat Signals

Competitive analysis based on 67 quarters of fundamental data

Pricing Power

Strong Moat

Operating margins are expanding at ~34.7%, suggesting durable pricing power and cost discipline.

Competitive Advantage

Strong Moat

Consistently high ROE averaging 30.2% suggests a durable competitive advantage and efficient capital allocation.

Cash Generation

Strong Moat

Free cash flow is consistently positive and growing — a hallmark of a capital-light business that can self-fund growth.

Demand Durability

Moderate Moat

Revenue shows resilience with 5 of 7 quarters posting growth — demand is generally stable but has seen some soft patches.

Risk Signals

Data-driven red flags and warnings across 67 quarters

Some Concerns

Margin Pressure

Healthy

Margins are stable or improving at ~35.2% — no sign of cost or pricing stress.

Earnings Quality

Red Flag

FCF consistently trails net income (avg 0.5x) — earnings may be inflated by non-cash items or aggressive accounting.

Leverage Risk

Healthy

D/E ratio is 0.8 — conservative capital structure with low financial risk.

Revenue Decline

Healthy

Revenue is stable or growing over recent quarters — demand appears durable.

Cash Burn

Healthy

Free cash flow is consistently positive — the business self-funds without external capital reliance.

Share Dilution

Healthy

Share count is stable — no significant dilution or buyback activity.

Metrics at a Glance

as of March 2026

Revenue & Profit

Revenue, EBITDA, operating income, net income, EPS, and shares

TTM Revenue
$18.44B
14.9%
Q. Revenue
$4.83B
TTM EBITDA
$8.54B
20.5%
TTM Op. Income
$6.51B
18.2%
Q. Op. Income
$1.81B
TTM Net Income
$5.37B
10.1%
Q. Net Income
$1.54B
EPS
$1.69
Shares Out.
$909.00M
0.1%
$18.44B in TTM revenue grew 14.9% YoY, reaching $4.83B last quarter. TTM EBITDA of $8.54B and TTM operating income of $6.51B shows growth is flowing through. Net income of $5.37B TTM confirms the company is converting revenue into profit. Revenue is growing at a healthy pace — a signal to hold.

Margins

Gross, EBITDA, operating, and net margin trends

Gross Margin
58.0%
2.1%
EBITDA Margin
48.7%
Op. Margin
37.5%
15.2%
Net Margin
32.0%
10.5%
Op. margin of 37.5% is up 4.9% YoY — cost efficiency is improving. Net margin at 32.0% and gross margin of 58.0% — earnings take a bigger bite when COGS stays lean..

Price Ratios

P/E, P/S, P/B, EV/EBITDA, FCF yield, and earnings yield

P/E Ratio
49.6x
P/S Ratio
14.4x
P/B Ratio
15.9x
At 49.6x P/E, the stock trades at a premium — the market expects above-average growth. P/S of 14.4x and P/B of 15.9x provide additional context. Assess whether the current multiple is justified by the company's growth and profitability trajectory.

Assets & Liabilities

Total assets, cash, debt, book value, and leverage

Total Assets
$34.39B
Cash
$3.55B
Long-Term Debt
$12.90B
Book Value
$16.78B
D/E Ratio
0.8
Debt/EBITDA
5.5
With $34.39B in assets and $12.90B in long-term debt, the D/E of 0.8and book value of $16.78B — shows a conservative capital structure — the company has a strong financial cushion to weather downturns.

Cash Flow

Operating cash flow, free cash flow, FCF margin, and earnings quality

Op. Cash Flow
$1.52B
Free Cash Flow
$844.00M
408.0%
FCF Margin
4.6%
FCF / Net Income
0.5
FCF of $844.00M on $1.52B in operating cash flow. The FCF / Net Income ratio of 0.2x indicates partial cash conversion — earnings quality needs attention.

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