GM Advisory Group’s Comcast CMCSA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$518K Buy
14,525
+4,984
+52% +$178K 0.03% 191
2025
Q1
$352K Sell
9,541
-7
-0.1% -$258 0.02% 203
2024
Q4
$358K Sell
9,548
-1,394
-13% -$52.3K 0.02% 191
2024
Q3
$457K Buy
10,942
+547
+5% +$22.8K 0.03% 169
2024
Q2
$407K Sell
10,395
-1,256
-11% -$49.2K 0.03% 168
2024
Q1
$505K Sell
11,651
-1,255
-10% -$54.4K 0.04% 149
2023
Q4
$566K Buy
12,906
+5,863
+83% +$257K 0.04% 136
2023
Q3
$312K Hold
7,043
0.03% 157
2023
Q2
$293K Hold
7,043
0.02% 158
2023
Q1
$267K Sell
7,043
-147
-2% -$5.57K 0.02% 159
2022
Q4
$251K Buy
7,190
+2
+0% +$70 0.03% 154
2022
Q3
$211K Hold
7,188
0.03% 169
2022
Q2
$282K Hold
7,188
0.04% 147
2022
Q1
$337K Hold
7,188
0.04% 152
2021
Q4
$362K Buy
7,188
+500
+7% +$25.2K 0.03% 147
2021
Q3
$374K Buy
6,688
+142
+2% +$7.94K 0.04% 146
2021
Q2
$373K Buy
6,546
+154
+2% +$8.78K 0.04% 146
2021
Q1
$346K Hold
6,392
0.04% 147
2020
Q4
$335K Hold
6,392
0.04% 132
2020
Q3
$296K Sell
6,392
-934
-13% -$43.3K 0.05% 132
2020
Q2
$286K Buy
7,326
+720
+11% +$28.1K 0.05% 147
2020
Q1
$227K Buy
6,606
+376
+6% +$12.9K 0.06% 109
2019
Q4
$280K Sell
6,230
-2,040
-25% -$91.7K 0.09% 74
2019
Q3
$373K Buy
+8,270
New +$373K 0.12% 68
2018
Q1
Sell
-6,778
Closed -$271K 127
2017
Q4
$271K Buy
6,778
+1,324
+24% +$52.9K 0.07% 103
2017
Q3
$210K Sell
5,454
-100
-2% -$3.85K 0.06% 109
2017
Q2
$217K Buy
5,554
+48
+0.9% +$1.88K 0.07% 105
2017
Q1
$207K Buy
+5,506
New +$207K 0.07% 98