PWMAG
CMCSA icon

Pinnacle Wealth Management Advisory Group’s Comcast CMCSA Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$1.16M Buy
32,485
+7,251
+29% +$259K 0.1% 138
2025
Q1
$931K Sell
25,234
-281
-1% -$10.4K 0.09% 142
2024
Q4
$958K Buy
25,515
+6,223
+32% +$234K 0.09% 142
2024
Q3
$806K Sell
19,292
-1,278
-6% -$53.4K 0.08% 148
2024
Q2
$806K Sell
20,570
-2,345
-10% -$91.8K 0.08% 141
2024
Q1
$993K Buy
22,915
+1,777
+8% +$77K 0.11% 130
2023
Q4
$927K Sell
21,138
-896
-4% -$39.3K 0.11% 126
2023
Q3
$977K Sell
22,034
-250
-1% -$11.1K 0.13% 115
2023
Q2
$926K Sell
22,284
-718
-3% -$29.8K 0.12% 121
2023
Q1
$872K Sell
23,002
-351
-2% -$13.3K 0.12% 127
2022
Q4
$817K Buy
23,353
+6,398
+38% +$224K 0.12% 124
2022
Q3
$497K Sell
16,955
-2,565
-13% -$75.2K 0.08% 161
2022
Q2
$766K Buy
19,520
+2,315
+13% +$90.8K 0.12% 128
2022
Q1
$806K Buy
17,205
+5,133
+43% +$240K 0.12% 142
2021
Q4
$608K Buy
12,072
+2,760
+30% +$139K 0.1% 158
2021
Q3
$521K Sell
9,312
-65
-0.7% -$3.64K 0.12% 141
2021
Q2
$535K Sell
9,377
-98
-1% -$5.59K 0.13% 140
2021
Q1
$513K Buy
9,475
+106
+1% +$5.74K 0.14% 122
2020
Q4
$491K Sell
9,369
-1,030
-10% -$54K 0.15% 119
2020
Q3
$481K Buy
10,399
+1,390
+15% +$64.3K 0.17% 112
2020
Q2
$351K Buy
9,009
+140
+2% +$5.46K 0.13% 128
2020
Q1
$305K Buy
8,869
+280
+3% +$9.63K 0.15% 115
2019
Q4
$386K Buy
8,589
+632
+8% +$28.4K 0.14% 130
2019
Q3
$359K Buy
7,957
+665
+9% +$30K 0.15% 125
2019
Q2
$308K Hold
7,292
0.13% 142
2019
Q1
$292K Buy
7,292
+750
+11% +$30K 0.13% 141
2018
Q4
$223K Buy
6,542
+300
+5% +$10.2K 0.12% 149
2018
Q3
$221K Buy
+6,242
New +$221K 0.11% 141
2018
Q2
Sell
-7,142
Closed -$244K 145
2018
Q1
$244K Sell
7,142
-750
-10% -$25.6K 0.14% 123
2017
Q4
$316K Buy
7,892
+108
+1% +$4.32K 0.17% 110
2017
Q3
$300K Sell
7,784
-48
-0.6% -$1.85K 0.17% 116
2017
Q2
$305K Buy
7,832
+862
+12% +$33.6K 0.19% 113
2017
Q1
$262K Buy
6,970
+3,368
+94% +$127K 0.18% 111
2016
Q4
$249K Hold
3,602
0.18% 110
2016
Q3
$239K Hold
3,602
0.18% 111
2016
Q2
$235K Sell
3,602
-57
-2% -$3.72K 0.19% 105
2016
Q1
$223K Buy
+3,659
New +$223K 0.2% 101