Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
Sell
-2,686,000
Closed -$80.3M 5101
2025
Q4
$80.3M Buy
+2,686,000
New +$76.6M 0.02% 584
2025
Q2
Sell
-40,400
Closed -$1.49M 5298
2025
Q1
$1.49M Buy
40,400
+23,100
+134% +$833K ﹤0.01% 2861
2024
Q4
$649K Hold
17,300
﹤0.01% 3662
2024
Q3
$723K Buy
+17,300
New +$683K ﹤0.01% 3560
2024
Q2
Sell
-412,100
Closed -$17.9M 4930
2024
Q1
$17.9M Sell
412,100
-300,400
-42% -$13M 0.01% 1044
2023
Q4
$31.2M Buy
712,500
+172,100
+32% +$7.38M 0.01% 874
2023
Q3
$24M Sell
540,400
-60,800
-10% -$2.71M 0.01% 707
2023
Q2
$25M Sell
601,200
-106,400
-15% -$4.23M 0.02% 644
2023
Q1
$26.8M Buy
707,600
+393,800
+125% +$14.9M 0.01% 735
2022
Q4
$11M Sell
313,800
-100,000
-24% -$3.31M ﹤0.01% 1159
2022
Q3
$12.1M Buy
413,800
+210,200
+103% +$7.86M 0.01% 797
2022
Q2
$7.99M Sell
203,600
-2,426,400
-92% -$104M ﹤0.01% 1106
2022
Q1
$123M Sell
2,630,000
-767,100
-23% -$36.9M 0.1% 203
2021
Q4
$171M Sell
3,397,100
-6,357,200
-65% -$331M 0.06% 240
2021
Q3
$546M Buy
9,754,300
+4,251,400
+77% +$248M 0.25% 66
2021
Q2
$314M Buy
5,502,900
+3,267,200
+146% +$183M 0.15% 107
2021
Q1
$121M Buy
2,235,700
+1,546,400
+224% +$81.7M 0.07% 227
2020
Q4
$36.1M Buy
689,300
+290,900
+73% +$13.9M 0.02% 558
2020
Q3
$18.4M Sell
398,400
-45,800
-10% -$1.99M 0.01% 773
2020
Q2
$17.3M Buy
444,200
+4,900
+1% +$187K 0.01% 703
2020
Q1
$15.1M Sell
439,300
-443,500
-50% -$18.7M 0.01% 769
2019
Q4
$39.7M Buy
882,800
+110,200
+14% +$4.91M 0.02% 600
2019
Q3
$34.8M Buy
772,600
+50,900
+7% +$2.26M 0.02% 600
2019
Q2
$30.5M Sell
721,700
-770,000
-52% -$32.5M 0.02% 704
2019
Q1
$59.6M Buy
1,491,700
+123,400
+9% +$4.64M 0.04% 392
2018
Q4
$46.6M Sell
1,368,300
-585,800
-30% -$21.4M 0.04% 403
2018
Q3
$69.2M Buy
1,954,100
+510,800
+35% +$18.1M 0.05% 301
2018
Q2
$47.4M Sell
1,443,300
-334,800
-19% -$10.9M 0.04% 377
2018
Q1
$60.8M Buy
1,778,100
+205,300
+13% +$7.96M 0.05% 349
2017
Q4
$63M Buy
1,572,800
+956,900
+155% +$36M 0.05% 314
2017
Q3
$23.7M Sell
615,900
-343,100
-36% -$13.5M 0.02% 593
2017
Q2
$37.3M Buy
959,000
+454,000
+90% +$17.9M 0.04% 372
2017
Q1
$19M Sell
505,000
-1,842,600
-78% -$68.4M 0.02% 574
2016
Q4
$81.1M Buy
2,347,600
+68,600
+3% +$2.29M 0.09% 177
2016
Q3
$75.6M Buy
2,279,000
+1,265,400
+125% +$42.1M 0.08% 174
2016
Q2
$33M Buy
1,013,600
+715,800
+240% +$22.2M 0.04% 347
2016
Q1
$9.08M Sell
297,800
-1,171,400
-80% -$33.6M 0.01% 812
2015
Q4
$41.1M Sell
1,469,200
-865,400
-37% -$26.1M 0.05% 338
2015
Q3
$65.4M Buy
2,334,600
+1,137,000
+95% +$33.8M 0.08% 213
2015
Q2
$35.9M Buy
1,197,600
+505,800
+73% +$14.8M 0.04% 406
2015
Q1
$19.4M Sell
691,800
-1,233,600
-64% -$35.5M 0.02% 693
2014
Q4
$55.8M Buy
1,925,400
+1,058,000
+122% +$29M 0.05% 312
2014
Q3
$23M Sell
867,400
-249,800
-22% -$6.84M 0.02% 659
2014
Q2
$29.6M Buy
1,117,200
+56,400
+5% +$1.45M 0.03% 509
2014
Q1
$26.5M Buy
1,060,800
+408,200
+63% +$10.6M 0.03% 554
2013
Q4
$16.6M Sell
652,600
-835,600
-56% -$20.1M 0.02% 877
2013
Q3
$33.5M Sell
1,488,200
-178,200
-11% -$3.88M 0.04% 429
2013
Q2
$34.8M Buy
+1,666,400
New +$34.4M 0.04% 377

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.