FolioFact
Sign in

Stock ownership

COMCAST CORP NEW

Ticker
CMCSA
CUSIP
20030N101
Held by
4 funds
Combined value
$60,345,282

+% bought more, −% sold down — each fund's last-quarter move (change in share count).

Fund Last quarter Value % of fund
Tudor Investment Corp position history NEW $27,625,307 0.15%
Markel Group position history $27,615,574 0.23%
Thrive Capital position history −5% $4,211,692 0.53%
Brave Warrior Advisors position history $892,709 0.02%