SEC 13F Intelligence

Apg Asset Management N.V. / CMCSA

Apg Asset Management N.V.’s Comcast Corp New Position

Does Apg Asset Management N.V. own Comcast Corp New (CMCSA)? Yes1.91M shares worth $48M (+0.15% of its 13F portfolio) as of Q1 2026, down from 1.91M shares the prior filed quarter.

Position Value
$48M
Q1 2026
Shares
1.91M
% of Portfolio
+0.15%
Quarters Held
30
currently held

Position History CMCSA

Reported value by quarter
Q4 ’18: $644MQ4 ’18Q1 ’19: $358MQ2 ’19: $708MQ3 ’19: $824MQ4 ’19: $708MQ4 ’19Q1 ’20: $958MQ2 ’20: $400MQ3 ’20: $452MQ4 ’20: $475MQ4 ’20Q1 ’21: $423MQ2 ’21: $416MQ3 ’21: $371MQ4 ’21: $308MQ4 ’21Q1 ’22: $250MQ2 ’22: $163MQ3 ’22: $139MQ4 ’22: $198,110Q4 ’22Q1 ’23: $199MQ2 ’23: $205MQ3 ’23: $197MQ4 ’23: $165MQ4 ’23Q1 ’24: $186MQ2 ’24: $145MQ3 ’24: $19MQ4 ’24: $137MQ4 ’24Q1 ’25: $135MQ2 ’25: $69MQ3 ’25: $60MQ4 ’25: $49MQ4 ’25Q1 ’26: $48Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q1 20261.91M$48M+0.15%
Q4 20251.91M$49M+0.14%
Q3 20252.24M$60M+0.17%
Q2 20252.26M$69M+0.20%
Q1 20253.94M$135M+0.42%
Q4 20243.79M$137M+0.38%
Q3 2024519.4K$19M+0.13%
Q2 20243.96M$145M+0.26%
Q1 20244.63M$186M+0.33%
Q4 20234.15M$165M+0.32%
Q3 20234.44M$197M+0.40%
Q2 20235.39M$205M+0.41%
Q1 20235.71M$199M+0.42%
Q4 20225.67M$198,110+0.38%
Q3 20224.65M$139M+0.36%
Q2 20224.34M$163M+0.38%
Q1 20225.94M$250M+0.47%
Q4 20216.95M$308M+0.52%
Q3 20217.68M$371M+0.66%
Q2 20218.66M$416M+0.71%
Q1 20219.19M$423M+0.72%
Q4 202011.10M$475M+0.78%
Q3 202011.47M$452M+0.78%
Q2 202011.52M$400M+0.73%
Q1 202027.86M$958M+0.94%
Q4 201917.68M$708M+1.15%
Q3 201919.92M$824M+1.36%
Q2 201919.07M$708M+1.21%
Q1 201910.05M$358M+0.66%
Q4 201821.61M$644M+0.65%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Apg Asset Management N.V.’s full portfolio or all institutional holders of CMCSA.