Dodge & Cox
Comcast Corp New · NASDAQ
115,903,125 sh · $2.85B
BlackRock
13F filer
$7.69B
313,212,228 sh
Dodge & Cox
13F filer
$2.85B
115,903,125 sh
First Eagle Investment Management
13F filer
$937.1M
38,172,985 sh
Gardner Russo & Quinn
13F filer
$53.9M
2,193,660 sh
Renaissance Technologies
13F filer
$22.6M
788,376 sh
Bridgewater Associates
13F filer
$22.6M
920,357 sh
Markel Group
13F filer
$19.7M
802,074 sh
Soros Fund Management
13F filer
$2.2M
73,440 sh
Two Sigma Investments
13F filer
$1.5M
52,700 sh
Dodge & Cox
Comcast Corp New · NASDAQ
115,903,125 sh · $2.85B
First Eagle Investment Management
Comcast Corp New · NASDAQ
38,172,985 sh · $937.1M
BlackRock
Comcast Corp New · NASDAQ
313,212,228 sh · $7.69B
Gardner Russo & Quinn
Comcast Corp New · NASDAQ
2,193,660 sh · $53.9M
Markel Group
Comcast Corp New · NASDAQ
802,074 sh · $19.7M
Bridgewater Associates
Comcast Corp New · NASDAQ
920,357 sh · $22.6M
Two Sigma Investments
Comcast Corp New · NASDAQ
52,700 sh · $1.5M
First Eagle Investment Management
Comcast Corp New · NASDAQ
37,780,637 sh · $1.08B
Dodge & Cox
Comcast Corp New · NASDAQ
113,108,244 sh · $3.25B
Bridgewater Associates
Comcast Corp New · NASDAQ
1,192,620 sh · $34.2M