Capital Research Global Investors
CMCSA icon

Capital Research Global Investors’s Comcast CMCSA Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$823M Sell
23,073,124
-14,874,605
-39% -$531M 0.16% 114
2025
Q1
$1.4B Buy
37,947,729
+2,411,069
+7% +$89M 0.3% 77
2024
Q4
$1.33B Sell
35,536,660
-3,233,006
-8% -$121M 0.27% 84
2024
Q3
$1.62B Buy
38,769,666
+1,962,996
+5% +$82M 0.34% 69
2024
Q2
$1.44B Sell
36,806,670
-3,681,126
-9% -$144M 0.32% 72
2024
Q1
$1.76B Sell
40,487,796
-21,020,971
-34% -$911M 0.4% 61
2023
Q4
$2.7B Sell
61,508,767
-35,335,050
-36% -$1.55B 0.66% 38
2023
Q3
$4.29B Sell
96,843,817
-1,400,518
-1% -$62.1M 1.18% 21
2023
Q2
$4.08B Sell
98,244,335
-20,965,438
-18% -$871M 1.09% 20
2023
Q1
$4.52B Sell
119,209,773
-1,956,973
-2% -$74.2M 1.29% 16
2022
Q4
$4.24B Buy
121,166,746
+5,789,615
+5% +$202M 1.28% 14
2022
Q3
$3.38B Sell
115,377,131
-19,955,986
-15% -$585M 1.11% 18
2022
Q2
$5.31B Sell
135,333,117
-19,955,808
-13% -$783M 1.65% 12
2022
Q1
$7.27B Sell
155,288,925
-836,996
-0.5% -$39.2M 1.79% 7
2021
Q4
$7.86B Buy
156,125,921
+12,642,202
+9% +$636M 1.74% 10
2021
Q3
$8.03B Buy
143,483,719
+7,794,333
+6% +$436M 1.87% 9
2021
Q2
$7.74B Buy
135,689,386
+872,989
+0.6% +$49.8M 1.8% 10
2021
Q1
$7.29B Buy
134,816,397
+15,718,505
+13% +$851M 1.78% 10
2020
Q4
$6.24B Buy
119,097,892
+6,375,882
+6% +$334M 1.62% 12
2020
Q3
$5.21B Buy
112,722,010
+42,483,174
+60% +$1.97B 1.57% 12
2020
Q2
$2.74B Buy
70,238,836
+23,600,675
+51% +$920M 0.87% 24
2020
Q1
$1.6B Buy
46,638,161
+34,605,876
+288% +$1.19B 0.63% 36
2019
Q4
$541M Buy
12,032,285
+254,779
+2% +$11.5M 0.16% 125
2019
Q3
$531M Buy
11,777,506
+7,728,553
+191% +$348M 0.17% 124
2019
Q2
$171M Buy
4,048,953
+2,513
+0.1% +$106K 0.05% 220
2019
Q1
$162M Sell
4,046,440
-1,907
-0% -$76.2K 0.05% 225
2018
Q4
$138M Sell
4,048,347
-7,915,988
-66% -$270M 0.05% 234
2018
Q3
$424M Sell
11,964,335
-3,098,953
-21% -$110M 0.12% 153
2018
Q2
$494M Sell
15,063,288
-3,289,885
-18% -$108M 0.14% 137
2018
Q1
$627M Sell
18,353,173
-3,603,568
-16% -$123M 0.18% 121
2017
Q4
$879M Sell
21,956,741
-1,965
-0% -$78.7K 0.26% 103
2017
Q3
$845M Sell
21,958,706
-2,595
-0% -$99.9K 0.26% 102
2017
Q2
$855M Buy
21,961,301
+1,915
+0% +$74.5K 0.27% 100
2017
Q1
$825M Buy
21,959,386
+10,985,048
+100% +$413M 0.26% 104
2016
Q4
$758M Sell
10,974,338
-6,218,427
-36% -$429M 0.25% 107
2016
Q3
$1.14B Sell
17,192,765
-502
-0% -$33.3K 0.38% 69
2016
Q2
$1.12B Sell
17,193,267
-738,650
-4% -$48.2M 0.38% 70
2016
Q1
$1.1B Sell
17,931,917
-7,262,000
-29% -$444M 0.38% 73
2015
Q4
$1.42B Buy
25,193,917
+4,292,000
+21% +$242M 0.49% 51
2015
Q3
$1.19B Sell
20,901,917
-5,897,300
-22% -$335M 0.43% 62
2015
Q2
$1.61B Sell
26,799,217
-8,683,883
-24% -$522M 0.53% 49
2015
Q1
$2B Hold
35,483,100
0.69% 35
2014
Q4
$2.06B Sell
35,483,100
-11,883,500
-25% -$689M 0.7% 34
2014
Q3
$2.55B Buy
47,366,600
+5,000
+0% +$269K 0.88% 23
2014
Q2
$2.54B Buy
47,361,600
+3,773,000
+9% +$203M 0.89% 25
2014
Q1
$2.18B Sell
43,588,600
-4,124,000
-9% -$206M 0.79% 30
2013
Q4
$2.48B Sell
47,712,600
-2,475,788
-5% -$129M 0.92% 24
2013
Q3
$2.27B Sell
50,188,388
-3,257,650
-6% -$147M 0.89% 24
2013
Q2
$2.24B Buy
+53,446,038
New +$2.24B 0.95% 24