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Gould Asset Management’s Comcast CMCSA Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q4
Sell
-9,170
Closed -$269K 160
2022
Q3
$269K Sell
9,170
-300
-3% -$8.8K 0.09% 98
2022
Q2
$372K Sell
9,470
-295
-3% -$11.6K 0.12% 92
2022
Q1
$457K Buy
9,765
+105
+1% +$4.91K 0.13% 80
2021
Q4
$486K Buy
9,660
+1,695
+21% +$85.3K 0.14% 80
2021
Q3
$445K Buy
7,965
+255
+3% +$14.2K 0.14% 74
2021
Q2
$440K Buy
7,710
+690
+10% +$39.4K 0.13% 87
2021
Q1
$380K Sell
7,020
-125
-2% -$6.77K 0.12% 92
2020
Q4
$374K Sell
7,145
-165
-2% -$8.64K 0.11% 92
2020
Q3
$338K Buy
7,310
+148
+2% +$6.84K 0.11% 88
2020
Q2
$279K Hold
7,162
0.1% 98
2020
Q1
$246K Buy
7,162
+2,500
+54% +$85.9K 0.09% 97
2019
Q4
$210K Buy
+4,662
New +$210K 0.07% 137