Hudson Valley Investment Advisors’s Comcast CMCSA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
Sell
-8,490
Closed -$313K 177
2025
Q1
$313K Sell
8,490
-2,979
-26% -$110K 0.04% 134
2024
Q4
$430K Sell
11,469
-3,546
-24% -$133K 0.05% 126
2024
Q3
$627K Sell
15,015
-4,693
-24% -$196K 0.07% 114
2024
Q2
$862K Buy
19,708
+2,129
+12% +$93.1K 0.11% 105
2024
Q1
$762K Sell
17,579
-2,129
-11% -$92.3K 0.09% 108
2023
Q4
$862K Sell
19,708
-3,267
-14% -$143K 0.12% 105
2023
Q3
$1.02M Sell
22,975
-5,874
-20% -$260K 0.14% 99
2023
Q2
$1.2M Sell
28,849
-3,553
-11% -$148K 0.16% 102
2023
Q1
$1.23M Sell
32,402
-4,479
-12% -$170K 0.17% 108
2022
Q4
$1.29M Sell
36,881
-7,888
-18% -$276K 0.2% 103
2022
Q3
$1.31M Sell
44,769
-12,246
-21% -$359K 0.21% 96
2022
Q2
$2.24M Sell
57,015
-23,589
-29% -$926K 0.35% 78
2022
Q1
$3.77M Sell
80,604
-23,826
-23% -$1.12M 0.51% 61
2021
Q4
$5.26M Sell
104,430
-8,211
-7% -$413K 0.82% 37
2021
Q3
$6.3M Sell
112,641
-1,816
-2% -$102K 1.08% 27
2021
Q2
$6.53M Sell
114,457
-2,283
-2% -$130K 1.13% 27
2021
Q1
$6.32M Sell
116,740
-1,670
-1% -$90.4K 1.13% 28
2020
Q4
$6.21M Buy
118,410
+802
+0.7% +$42K 1.18% 27
2020
Q3
$5.44M Sell
117,608
-1,269
-1% -$58.7K 1.17% 27
2020
Q2
$4.63M Sell
118,877
-1,092
-0.9% -$42.6K 1.08% 34
2020
Q1
$4.13M Sell
119,969
-4,450
-4% -$153K 1.14% 29
2019
Q4
$5.6M Buy
124,419
+5,049
+4% +$227K 1.19% 24
2019
Q3
$5.38M Buy
119,370
+2,430
+2% +$110K 1.25% 23
2019
Q2
$4.94M Sell
116,940
-867
-0.7% -$36.7K 1.15% 29
2019
Q1
$4.71M Buy
117,807
+1,365
+1% +$54.6K 1.14% 28
2018
Q4
$3.97M Buy
116,442
+107,775
+1,244% +$3.67M 0.91% 36
2018
Q3
$307K Sell
8,667
-375
-4% -$13.3K 0.07% 125
2018
Q2
$297K Hold
9,042
0.07% 124
2018
Q1
$309K Sell
9,042
-211
-2% -$7.21K 0.08% 123
2017
Q4
$371K Sell
9,253
-689
-7% -$27.6K 0.09% 119
2017
Q3
$383K Sell
9,942
-170
-2% -$6.55K 0.1% 121
2017
Q2
$394K Buy
10,112
+726
+8% +$28.3K 0.11% 118
2017
Q1
$353K Sell
9,386
-1,034
-10% -$38.9K 0.1% 122
2016
Q4
$360K Buy
10,420
+308
+3% +$10.6K 0.11% 121
2016
Q3
$335K Buy
10,112
+400
+4% +$13.3K 0.1% 122
2016
Q2
$317K Sell
9,712
-400
-4% -$13.1K 0.1% 121
2016
Q1
$309K Sell
10,112
-4,400
-30% -$134K 0.1% 120
2015
Q4
$409K Sell
14,512
-266
-2% -$7.5K 0.13% 116
2015
Q3
$420K Sell
14,778
-2,800
-16% -$79.6K 0.14% 113
2015
Q2
$529K Hold
17,578
0.17% 96
2015
Q1
$496K Sell
17,578
-1,000
-5% -$28.2K 0.17% 94
2014
Q4
$539K Sell
18,578
-712
-4% -$20.7K 0.22% 82
2014
Q3
$519K Buy
19,290
+772
+4% +$20.8K 0.22% 80
2014
Q2
$497K Sell
18,518
-3,974
-18% -$107K 0.22% 78
2014
Q1
$563K Buy
22,492
+450
+2% +$11.3K 0.24% 74
2013
Q4
$573K Buy
22,042
+354
+2% +$9.2K 0.25% 71
2013
Q3
$489K Buy
+21,688
New +$489K 0.24% 75