Mirador Capital Partners’s Comcast CMCSA Stock Holding History
Bought
Maintained
Sold
Quarter | Market Value | Status | Shares |
Shares Change % | Capital Flow | Portfolio Weight | Portfolio Position | |
---|---|---|---|---|---|---|---|---|
2023
Q1 | – | Sell |
-14,963
| Closed | -$523K | – | 191 |
|
2022
Q4 | $523K | Buy |
14,963
+254
| +2% | +$8.88K | 0.12% | 113 |
|
2022
Q3 | $431K | Buy |
14,709
+163
| +1% | +$4.78K | 0.1% | 127 |
|
2022
Q2 | $571K | Buy |
14,546
+263
| +2% | +$10.3K | 0.13% | 111 |
|
2022
Q1 | $669K | Buy |
14,283
+674
| +5% | +$31.6K | 0.14% | 111 |
|
2021
Q4 | $685K | Buy |
13,609
+3,847
| +39% | +$194K | 0.14% | 116 |
|
2021
Q3 | $546K | Buy |
9,762
+254
| +3% | +$14.2K | 0.12% | 127 |
|
2021
Q2 | $542K | Buy |
9,508
+1,853
| +24% | +$106K | 0.12% | 129 |
|
2021
Q1 | $414K | Buy |
7,655
+332
| +5% | +$18K | 0.11% | 128 |
|
2020
Q4 | $384K | Buy |
7,323
+467
| +7% | +$24.5K | 0.11% | 131 |
|
2020
Q3 | $317K | Sell |
6,856
-199
| -3% | -$9.2K | 0.1% | 132 |
|
2020
Q2 | $275K | Hold |
7,055
| – | – | 0.1% | 127 |
|
2020
Q1 | $248K | Buy |
7,055
+52
| +0.7% | +$1.83K | 0.1% | 120 |
|
2019
Q4 | $315K | Sell |
7,003
-426
| -6% | -$19.2K | 0.13% | 136 |
|
2019
Q3 | $335K | Buy |
7,429
+215
| +3% | +$9.7K | 0.15% | 130 |
|
2019
Q2 | $305K | Sell |
7,214
-478
| -6% | -$20.2K | 0.15% | 113 |
|
2019
Q1 | $308K | Buy |
7,692
+19
| +0.2% | +$761 | 0.17% | 109 |
|
2018
Q4 | $261K | Sell |
7,673
-109
| -1% | -$3.71K | 0.16% | 110 |
|
2018
Q3 | $276K | Buy |
+7,782
| New | +$276K | 0.14% | 123 |
|