SEC 13F Intelligence

Brandes Investment Partners, LP / CMCSA

Brandes Investment Partners, LP’s Comcast Corp New Position

Does Brandes Investment Partners, LP own Comcast Corp New (CMCSA)? Yes6.43M shares worth $185M (+1.31% of its 13F portfolio) as of Q1 2026, up from 5.99M shares the prior filed quarter.

Position Value
$185M
Q1 2026
Shares
6.43M
% of Portfolio
+1.31%
Quarters Held
30
currently held

Position History CMCSA

Reported value by quarter
Q4 ’18: $24MQ4 ’18Q1 ’19: $29MQ2 ’19: $31MQ3 ’19: $32MQ4 ’19: $33MQ4 ’19Q1 ’20: $38MQ2 ’20: $49MQ3 ’20: $52MQ4 ’20: $59MQ4 ’20Q1 ’21: $65MQ2 ’21: $79MQ3 ’21: $80MQ4 ’21: $73MQ4 ’21Q1 ’22: $96MQ2 ’22: $101MQ3 ’22: $81MQ4 ’22: $86MQ4 ’22Q1 ’23: $110MQ2 ’23: $117MQ3 ’23: $136MQ4 ’23: $152MQ4 ’23Q1 ’24: $183MQ2 ’24: $193MQ3 ’24: $217MQ4 ’24: $189MQ4 ’24Q1 ’25: $204MQ2 ’25: $199MQ3 ’25: $182MQ4 ’25: $179MQ4 ’25Q1 ’26: $185Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q1 20266.43M$185M+1.31%
Q4 20255.99M$179M+1.36%
Q3 20255.79M$182M+1.46%
Q2 20255.57M$199M+1.80%
Q1 20255.52M$204M+2.07%
Q4 20245.03M$189M+2.11%
Q3 20245.19M$217M+2.44%
Q2 20244.93M$193M+2.37%
Q1 20244.23M$183M+2.36%
Q4 20233.46M$152M+2.30%
Q3 20233.07M$136M+2.66%
Q2 20232.81M$117M+2.35%
Q1 20232.90M$110M+2.33%
Q4 20222.45M$86M+2.40%
Q3 20222.75M$81M+2.11%
Q2 20222.58M$101M+2.47%
Q1 20222.04M$96M+2.05%
Q4 20211.45M$73M+1.59%
Q3 20211.44M$80M+1.74%
Q2 20211.38M$79M+1.75%
Q1 20211.18M$65M+1.54%
Q4 20201.14M$59M+1.51%
Q3 20201.12M$52M+1.78%
Q2 20201.27M$49M+1.51%
Q1 20201.10M$38M+1.33%
Q4 2019733.6K$33M+0.78%
Q3 2019716.7K$32M+0.84%
Q2 2019728.8K$31M+0.69%
Q1 2019726.9K$29M+0.68%
Q4 2018712.4K$24M+0.62%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Brandes Investment Partners, LP’s full portfolio or all institutional holders of CMCSA.