Twin Tree Management’s Comcast CMCSA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$4.34M Buy
151,000
+34,300
+29% +$1.03M 0.09% 248
2025
Q4
$3.49M Sell
116,700
-2,128,400
-95% -$60.7M 0.03% 643
2025
Q3
$70.5M Buy
2,245,100
+18,100
+0.8% +$607K 0.29% 55
2025
Q2
$79.5M Buy
2,227,000
+1,185,200
+114% +$41M 0.15% 138
2025
Q1
$38.4M Buy
+1,041,800
New +$37.6M 0.07% 239
2024
Q2
Sell
-413,800
Closed -$17.9M 1386
2024
Q1
$17.9M Hold
413,800
0.04% 438
2023
Q4
$18.1M Hold
413,800
0.03% 502
2023
Q3
$18.3M Sell
413,800
-348,000
-46% -$15.5M 0.04% 380
2023
Q2
$31.7M Sell
761,800
-1,744,100
-70% -$69.3M 0.05% 297
2023
Q1
$95M Buy
2,505,900
+1,136,700
+83% +$43M 0.18% 84
2022
Q4
$47.9M Buy
1,369,200
+1,177,800
+615% +$39M 0.1% 177
2022
Q3
$5.61M Buy
+191,400
New +$7.16M 0.01% 736
2022
Q2
Sell
-942,700
Closed -$44.1M 1534
2022
Q1
$44.1M Buy
942,700
+164,100
+21% +$7.9M 0.07% 222
2021
Q4
$39.2M Buy
+778,600
New +$40.6M 0.08% 218
2020
Q3
Sell
-12,900
Closed -$503K 1262
2020
Q2
$503K Buy
+12,900
New +$491K ﹤0.01% 1160
2019
Q4
Sell
-248,600
Closed -$11.2M 1254
2019
Q3
$11.2M Sell
248,600
-768,200
-76% -$34M 0.04% 299
2019
Q2
$43M Sell
1,016,800
-833,700
-45% -$35.2M 0.21% 87
2019
Q1
$74M Buy
1,850,500
+896,000
+94% +$33.7M 0.38% 51
2018
Q4
$32.5M Sell
954,500
-398,500
-29% -$14.5M 0.2% 81
2018
Q3
$47.9M Buy
1,353,000
+1,137,100
+527% +$40.2M 0.33% 45
2018
Q2
$7.08M Sell
215,900
-394,900
-65% -$12.9M 0.04% 339
2018
Q1
$20.9M Buy
610,800
+210,800
+53% +$8.18M 0.17% 101
2017
Q4
$16M Sell
400,000
-95,000
-19% -$3.57M 0.12% 145
2017
Q3
$19M Sell
495,000
-164,800
-25% -$6.49M 0.15% 135
2017
Q2
$25.7M Buy
659,800
+354,600
+116% +$14M 0.2% 105
2017
Q1
$11.5M Sell
305,200
-18,200
-6% -$675K 0.1% 201
2016
Q4
$11.2M Buy
323,400
+251,400
+349% +$8.4M 0.11% 219
2016
Q3
$2.39M Buy
72,000
+10,800
+18% +$359K 0.03% 462
2016
Q2
$2M Buy
61,200
+13,600
+29% +$422K 0.03% 482
2016
Q1
$1.45M Buy
47,600
+1,000
+2% +$28.7K 0.03% 495
2015
Q4
$1.31M Sell
46,600
-65,400
-58% -$1.97M 0.03% 557
2015
Q3
$3.19M Buy
112,000
+94,400
+536% +$2.8M 0.08% 227
2015
Q2
$529K Sell
17,600
-79,600
-82% -$2.34M 0.01% 853
2015
Q1
$2.74M Buy
97,200
+19,600
+25% +$563K 0.07% 300
2014
Q4
$2.25M Sell
77,600
-15,800
-17% -$433K 0.06% 349
2014
Q3
$2.51M Sell
93,400
-93,000
-50% -$2.55M 0.07% 311
2014
Q2
$5M Sell
186,400
-256,600
-58% -$6.59M 0.11% 187
2014
Q1
$11.1M Buy
443,000
+356,000
+409% +$9.27M 0.22% 67
2013
Q4
$2.26M Buy
+87,000
New +$2.1M 0.05% 369

Other funds holding CMCSA

Twin Tree Management's CMCSA Position: Q1 2026 in Review

Twin Tree Management opened a new position in Comcast (CMCSA) in Q1 2026: 47,062 shares worth $1.35M. The stake represents 0.03% of the portfolio and ranks #609 among its holdings. This is a return to the name: Twin Tree Management previously reported a position in CMCSA as recently as Q1 2025.

Twin Tree Management first reported a position in CMCSA in Q1 2014 and has held it in 16 quarters since. The position peaked at $8.41M in Q2 2018. 2,042 funds tracked by Wall St. Rank hold CMCSA as of Q1 2026.

  • Twin Tree Management held 47,062 shares of Comcast worth $1.35M as of Q1 2026.
  • Comcast was a new Twin Tree Management position in Q1 2026.
  • Comcast made up 0.03% of Twin Tree Management's portfolio in Q1 2026, its #609 holding.
  • Twin Tree Management first reported a position in Comcast in Q1 2014 and has held it in 16 quarters since.
  • Twin Tree Management's Comcast position peaked at $8.41M in Q2 2018.
  • 2,042 funds tracked by Wall St. Rank held Comcast as of Q1 2026.

Based on Twin Tree Management's 13F filing for Q1 2026, filed 14 May 2026.