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 | – | Sell |
-171,200
| Closed | -$5.12M | – | 1334 |
|
|
2025
Q4 | $5.12M | Buy |
+171,200
| New | +$4.88M | 0.04% | 502 |
|
|
2023
Q2 | – | Sell |
-212,100
| Closed | -$8.04M | – | 1276 |
|
|
2023
Q1 | $8.04M | Sell |
212,100
-1,049,900
| -83% | -$39.7M | 0.01% | 625 |
|
|
2022
Q4 | $44.1M | Sell |
1,262,000
-1,149,600
| -48% | -$38M | 0.1% | 195 |
|
|
2022
Q3 | $70.7M | Buy |
2,411,600
+1,611,200
| +201% | +$60.2M | 0.14% | 116 |
|
|
2022
Q2 | $31.4M | Buy |
800,400
+500
| +0.1% | +$21.4K | 0.05% | 286 |
|
|
2022
Q1 | $37.5M | Buy |
799,900
+541,000
| +209% | +$26.1M | 0.06% | 276 |
|
|
2021
Q4 | $13M | Buy |
+258,900
| New | +$13.5M | 0.03% | 546 |
|
|
2020
Q3 | – | Sell |
-500
| Closed | -$19K | – | 1263 |
|
|
2020
Q2 | $19K | Buy |
+500
| New | +$19K | ﹤0.01% | 1381 |
|
|
2019
Q2 | – | Sell |
-127,200
| Closed | -$5.08M | – | 1272 |
|
|
2019
Q1 | $5.08M | Sell |
127,200
-692,100
| -84% | -$26M | 0.03% | 439 |
|
|
2018
Q4 | $27.9M | Buy |
819,300
+8,800
| +1% | +$321K | 0.17% | 101 |
|
|
2018
Q3 | $28.7M | Buy |
810,500
+810,300
| +405,150% | +$28.7M | 0.2% | 92 |
|
|
2018
Q2 | $7K | Sell |
200
-129,500
| -100% | -$4.22M | ﹤0.01% | 1092 |
|
|
2018
Q1 | $4.43M | Sell |
129,700
-233,100
| -64% | -$9.04M | 0.04% | 362 |
|
|
2017
Q4 | $14.5M | Buy |
362,800
+260,900
| +256% | +$9.81M | 0.11% | 156 |
|
|
2017
Q3 | $3.92M | Buy |
101,900
+3,800
| +4% | +$150K | 0.03% | 430 |
|
|
2017
Q2 | $3.82M | Sell |
98,100
-256,200
| -72% | -$10.1M | 0.03% | 428 |
|
|
2017
Q1 | $13.3M | Sell |
354,300
-100
| -0% | -$3.71K | 0.12% | 170 |
|
|
2016
Q4 | $12.2M | Sell |
354,400
-99,200
| -22% | -$3.31M | 0.12% | 204 |
|
|
2016
Q3 | $15M | Buy |
453,600
+29,400
| +7% | +$979K | 0.19% | 110 |
|
|
2016
Q2 | $13.8M | Buy |
424,200
+387,400
| +1,053% | +$12M | 0.22% | 95 |
|
|
2016
Q1 | $1.12M | Buy |
+36,800
| New | +$1.06M | 0.02% | 573 |
|
|
2015
Q4 | – | Sell |
-55,600
| Closed | -$1.58M | – | 1405 |
|
|
2015
Q3 | $1.58M | Sell |
55,600
-71,200
| -56% | -$2.12M | 0.04% | 405 |
|
|
2015
Q2 | $3.81M | Buy |
126,800
+23,400
| +23% | +$687K | 0.09% | 214 |
|
|
2015
Q1 | $2.92M | Sell |
103,400
-411,600
| -80% | -$11.8M | 0.07% | 284 |
|
|
2014
Q4 | $14.9M | Buy |
515,000
+485,000
| +1,617% | +$13.3M | 0.42% | 31 |
|
|
2014
Q3 | $807K | Buy |
+30,000
| New | +$822K | 0.02% | 608 |
|
|
2014
Q2 | – | Sell |
-144,000
| Closed | -$3.6M | – | 915 |
|
|
2014
Q1 | $3.6M | Sell |
144,000
-89,800
| -38% | -$2.34M | 0.07% | 312 |
|
|
2013
Q4 | $6.08M | Buy |
+233,800
| New | +$5.63M | 0.14% | 129 |
|
Other funds holding CMCSA
VCM
VPM
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.