Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2025
Q2
Sell
-128,600
Closed -$4.75M 5297
2025
Q1
$4.75M Buy
128,600
+63,200
+97% +$2.28M ﹤0.01% 1958
2024
Q4
$2.45M Hold
65,400
﹤0.01% 2730
2024
Q3
$2.73M Sell
65,400
-17,300
-21% -$683K ﹤0.01% 2597
2024
Q2
$3.24M Sell
82,700
-129,600
-61% -$5.07M ﹤0.01% 1809
2024
Q1
$9.2M Buy
212,300
+48,800
+30% +$2.11M ﹤0.01% 1455
2023
Q4
$7.17M Sell
163,500
-91,300
-36% -$3.91M ﹤0.01% 1796
2023
Q3
$11.3M Sell
254,800
-98,200
-28% -$4.38M 0.01% 953
2023
Q2
$14.7M Sell
353,000
-54,400
-13% -$2.16M 0.01% 834
2023
Q1
$15.4M Sell
407,400
-639,600
-61% -$24.2M 0.01% 965
2022
Q4
$36.6M Hold
1,047,000
0.02% 623
2022
Q3
$30.7M Buy
1,047,000
+247,000
+31% +$9.24M 0.03% 461
2022
Q2
$31.4M Buy
+800,000
New +$34.3M 0.02% 536
2022
Q1
Sell
-9,740,000
Closed -$490M 5024
2021
Q4
$490M Sell
9,740,000
-7,400,000
-43% -$386M 0.18% 100
2021
Q3
$959M Buy
17,140,000
+542,100
+3% +$31.6M 0.43% 34
2021
Q2
$946M Buy
16,597,900
+2,547,900
+18% +$142M 0.45% 28
2021
Q1
$760M Buy
14,050,000
+13,546,600
+2,691% +$716M 0.41% 31
2020
Q4
$26.4M Buy
503,400
+352,900
+234% +$16.9M 0.01% 712
2020
Q3
$6.96M Hold
150,500
﹤0.01% 1207
2020
Q2
$5.87M Sell
150,500
-331,800
-69% -$12.6M ﹤0.01% 1261
2020
Q1
$16.6M Sell
482,300
-444,500
-48% -$18.8M 0.01% 720
2019
Q4
$41.7M Buy
926,800
+77,100
+9% +$3.43M 0.02% 582
2019
Q3
$38.3M Sell
849,700
-24,700
-3% -$1.09M 0.02% 560
2019
Q2
$37M Sell
874,400
-136,100
-13% -$5.74M 0.02% 609
2019
Q1
$40.4M Buy
1,010,500
+98,100
+11% +$3.69M 0.03% 516
2018
Q4
$31.1M Sell
912,400
-70,400
-7% -$2.57M 0.02% 552
2018
Q3
$34.8M Buy
982,800
+464,100
+89% +$16.4M 0.02% 581
2018
Q2
$17M Sell
518,700
-1,358,100
-72% -$44.3M 0.01% 871
2018
Q1
$64.1M Buy
1,876,800
+962,600
+105% +$37.3M 0.05% 335
2017
Q4
$36.6M Buy
914,200
+85,800
+10% +$3.23M 0.03% 526
2017
Q3
$31.9M Buy
828,400
+182,500
+28% +$7.19M 0.03% 479
2017
Q2
$25.1M Sell
645,900
-552,900
-46% -$21.8M 0.03% 498
2017
Q1
$45.1M Sell
1,198,800
-1,034,200
-46% -$38.4M 0.05% 283
2016
Q4
$77.1M Sell
2,233,000
-1,538,000
-41% -$51.4M 0.08% 184
2016
Q3
$125M Sell
3,771,000
-33,000
-0.9% -$1.1M 0.14% 107
2016
Q2
$124M Buy
3,804,000
+2,561,800
+206% +$79.5M 0.16% 97
2016
Q1
$37.9M Sell
1,242,200
-436,800
-26% -$12.5M 0.06% 287
2015
Q4
$47M Sell
1,679,000
-985,000
-37% -$29.7M 0.06% 301
2015
Q3
$74.6M Buy
2,664,000
+1,310,800
+97% +$38.9M 0.09% 190
2015
Q2
$40.6M Buy
1,353,200
+217,800
+19% +$6.39M 0.05% 364
2015
Q1
$31.8M Sell
1,135,400
-10,683,600
-90% -$307M 0.04% 476
2014
Q4
$343M Buy
11,819,000
+1,711,400
+17% +$46.9M 0.33% 37
2014
Q3
$268M Buy
10,107,600
+1,347,000
+15% +$36.9M 0.26% 47
2014
Q2
$232M Buy
8,760,600
+3,269,200
+60% +$84M 0.25% 51
2014
Q1
$137M Buy
5,491,400
+4,199,000
+325% +$109M 0.16% 103
2013
Q4
$33M Sell
1,292,400
-711,000
-35% -$17.1M 0.03% 510
2013
Q3
$45.1M Sell
2,003,400
-622,800
-24% -$13.6M 0.05% 327
2013
Q2
$54.8M Buy
+2,626,200
New +$54.2M 0.07% 244

Other funds holding CMCSA

Barclays's CMCSA Position: Q1 2026 in Review

Barclays reduced its Comcast (CMCSA) stake by 6.3% in Q1 2026, selling an estimated $25.2M and leaving 12,533,543 shares worth $360M. The position accounts for 0.09% of the portfolio, ranked #168.

Barclays first reported a position in CMCSA in Q2 2013 and has held it in 52 quarters since. The position peaked at $1.14B in Q3 2021. 2,043 funds tracked by Wall St. Rank hold CMCSA as of Q1 2026.

  • Barclays held 12,533,543 shares of Comcast worth $360M as of Q1 2026.
  • Barclays sold 842,345 Comcast shares in Q1 2026, an estimated $25.2M.
  • Comcast made up 0.09% of Barclays's portfolio in Q1 2026, its #168 holding.
  • Barclays first reported a position in Comcast in Q2 2013 and has held it in 52 quarters since.
  • Barclays's Comcast position peaked at $1.14B in Q3 2021.
  • 2,043 funds tracked by Wall St. Rank held Comcast as of Q1 2026.

Based on Barclays's 13F filing for Q1 2026, filed 15 May 2026.