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