SEC 13F Intelligence

Pggm Investments / CMCSA

Pggm Investments’s Comcast Corp New Position

Does Pggm Investments own Comcast Corp New (CMCSA)? Not currently — the last reported position was 612.8K shares worth $23M in Q1 2025; the fund’s latest 13F (Q1 2026) no longer reports it.

Position Value
$23M
Q1 2025
Shares
612.8K
% of Portfolio
+0.30%
Quarters Held
25
position exited

Position History CMCSA

Reported value by quarter
Q4 ’18: $162MQ4 ’18Q1 ’19: $196MQ2 ’19: $207MQ3 ’19: $221MQ4 ’19: $148MQ4 ’19Q1 ’20: $89MQ2 ’20: $108MQ3 ’20: $134MQ4 ’20: $48MQ4 ’20Q1 ’21: $37MQ2 ’21: $30MQ3 ’21: $4MQ4 ’21: $3MQ4 ’21Q1 ’22: $3MQ3 ’22: $3MQ4 ’22: $4MQ1 ’23: $5MQ1 ’23Q2 ’23: $5MQ3 ’23: $16MQ4 ’23: $22MQ1 ’24: $22MQ1 ’24Q2 ’24: $22MQ3 ’24: $23MQ4 ’24: $19MQ1 ’25: $23MQ1 ’25filingsflow.com
QuarterSharesValue% of Portfolio
Q1 2025612.8K$23M+0.30%
Q4 2024499.6K$19M+0.25%
Q3 2024553.1K$23M+0.30%
Q2 2024553.1K$22M+0.31%
Q1 2024507.1K$22M+0.32%
Q4 2023503.3K$22M+0.34%
Q3 2023356.1K$16M+0.27%
Q2 2023118.8K$5M+0.08%
Q1 2023135.7K$5M+0.09%
Q4 2022104.1K$4M+0.06%
Q3 202296.7K$3M+0.05%
Q1 202249.9K$3M+0.01%
Q4 202149.9K$3M+0.01%
Q3 202175.3K$4M+0.02%
Q2 2021522.0K$30M+0.13%
Q1 2021687.4K$37M+0.16%
Q4 2020906.8K$48M+0.22%
Q3 20202.90M$134M+0.70%
Q2 20202.77M$108M+0.62%
Q1 20202.60M$89M+0.64%
Q4 20193.29M$148M+0.83%
Q3 20194.90M$221M+1.05%
Q2 20194.90M$207M+1.04%
Q1 20194.90M$196M+1.00%
Q4 20184.76M$162M+0.94%

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