British Columbia Investment Management’s Comcast CMCSA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$21.2M Sell
593,430
-136,578
-19% -$4.87M 0.12% 154
2025
Q1
$26.9M Sell
730,008
-9,722
-1% -$359K 0.17% 128
2024
Q4
$27.8M Buy
739,730
+86,603
+13% +$3.25M 0.17% 126
2024
Q3
$27.3M Sell
653,127
-106,022
-14% -$4.43M 0.16% 116
2024
Q2
$29.7M Buy
759,149
+278,096
+58% +$10.9M 0.18% 114
2024
Q1
$20.9M Buy
481,053
+7,255
+2% +$315K 0.14% 121
2023
Q4
$20.8M Buy
473,798
+95,575
+25% +$4.19M 0.17% 113
2023
Q3
$16.8M Sell
378,223
-1,871
-0.5% -$83K 0.16% 109
2023
Q2
$15.8M Sell
380,094
-5,588
-1% -$232K 0.15% 114
2023
Q1
$14.6M Sell
385,682
-4,826
-1% -$183K 0.15% 106
2022
Q4
$13.7M Sell
390,508
-52,501
-12% -$1.84M 0.15% 122
2022
Q3
$13M Sell
443,009
-82,556
-16% -$2.42M 0.15% 123
2022
Q2
$20.6M Sell
525,565
-179,454
-25% -$7.04M 0.2% 96
2022
Q1
$33M Sell
705,019
-100,458
-12% -$4.7M 0.21% 84
2021
Q4
$40.5M Sell
805,477
-42,539
-5% -$2.14M 0.23% 82
2021
Q3
$47.4M Buy
848,016
+1,725
+0.2% +$96.5K 0.28% 67
2021
Q2
$48.3M Sell
846,291
-138,141
-14% -$7.88M 0.3% 68
2021
Q1
$53.3M Sell
984,432
-22,261
-2% -$1.2M 0.38% 57
2020
Q4
$52.8M Sell
1,006,693
-19,633
-2% -$1.03M 0.37% 67
2020
Q3
$47.5M Buy
1,026,326
+62,561
+6% +$2.89M 0.39% 61
2020
Q2
$37.6M Buy
963,765
+380,264
+65% +$14.8M 0.37% 61
2020
Q1
$20.1M Sell
583,501
-573,687
-50% -$19.7M 0.34% 65
2019
Q4
$52M Buy
1,157,188
+322,723
+39% +$14.5M 0.39% 68
2019
Q3
$37.6M Sell
834,465
-259,884
-24% -$11.7M 0.36% 68
2019
Q2
$46.3M Buy
1,094,349
+22,271
+2% +$942K 0.4% 60
2019
Q1
$42.9M Sell
1,072,078
-391,231
-27% -$15.6M 0.38% 68
2018
Q4
$49.8M Buy
1,463,309
+84,540
+6% +$2.88M 0.44% 49
2018
Q3
$48.8M Sell
1,378,769
-360,428
-21% -$12.8M 0.52% 43
2018
Q2
$57.1M Sell
1,739,197
-318,644
-15% -$10.5M 0.5% 43
2018
Q1
$70.3M Sell
2,057,841
-252,268
-11% -$8.62M 0.54% 37
2017
Q4
$92.5M Buy
2,310,109
+129,070
+6% +$5.17M 0.65% 29
2017
Q3
$83.9M Buy
2,181,039
+57,882
+3% +$2.23M 0.65% 32
2017
Q2
$82.6M Sell
2,123,157
-98,842
-4% -$3.85M 0.66% 32
2017
Q1
$83.5M Sell
2,221,999
-55,979
-2% -$2.1M 0.66% 33
2016
Q4
$78.6M Buy
2,277,978
+310,306
+16% +$10.7M 0.69% 31
2016
Q3
$65.3M Sell
1,967,672
-376,452
-16% -$12.5M 0.66% 35
2016
Q2
$76.4M Sell
2,344,124
-21,950
-0.9% -$715K 0.67% 32
2016
Q1
$72.3M Buy
2,366,074
+113,200
+5% +$3.46M 0.68% 33
2015
Q4
$63.6M Sell
2,252,874
-151,446
-6% -$4.27M 0.61% 39
2015
Q3
$68.4M Sell
2,404,320
-550
-0% -$15.6K 0.7% 32
2015
Q2
$72.3M Sell
2,404,870
-74,208
-3% -$2.23M 0.69% 27
2015
Q1
$70M Sell
2,479,078
-162,530
-6% -$4.59M 0.63% 32
2014
Q4
$76.6M Sell
2,641,608
-26,580
-1% -$771K 0.63% 30
2014
Q3
$71.7M Sell
2,668,188
-126,280
-5% -$3.4M 0.6% 35
2014
Q2
$75M Sell
2,794,468
-9,364
-0.3% -$251K 0.61% 33
2014
Q1
$70.2M Sell
2,803,832
-110,774
-4% -$2.77M 0.59% 39
2013
Q4
$75.7M Sell
2,914,606
-320,142
-10% -$8.32M 0.6% 37
2013
Q3
$73M Sell
3,234,748
-269,276
-8% -$6.07M 0.61% 37
2013
Q2
$73.1M Buy
+3,504,024
New +$73.1M 0.6% 36