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Comcast (CMCSA) Financials and Smart Investor 13F Alerts

See how revenue, income, cash flow, and balance sheet financials have changed over 45 quarters since 2010. Compare with CMCSA stock chart to see long term trends.

CMCSA stock compared to

CMCSA Income Statement

Revenue, Net:27205000000
Revenue Per Share:5.93
Total Operating Expenses:22166000000
Operating Income:5039000000
Income Taxes:1119000000
Net Income:3329000000
Earnings Per Share, Basic:0.73
Shares Outstanding, Basic Avg:4591000000

CMCSA Cash Flow

Operating Activities Net Income:
Depreciation, Depletion & Amortization:3362000000
Net Cash from Operations:7751000000
Repurchases/Buybacks Common Stock:309000000
Issuance of Long-term Debt:192000000
Cash Dividends Paid:1080000000
Net Cash from Financing Activities:-1898000000
Property, Plant & Equipment Purchases:1859000000
Purchases of Businesses, Net of Cash:147000000
Net Cash from Investing Activities:-2612000000
Net Change in Cash & Equivalents:3208000000

CMCSA Balance Sheet

Cash and Cash Equivalents:14976000000
Short-Term Investments:83000000
Accounts Receivable, Net:10986000000
Total Current Assets:29438000000
Property, Plant & Equipment, Net:52317000000
Total Assets:278511000000
Accounts Payable:11148000000
Total Short-Term Liabilities:30811000000

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
Vanguard Group Inc
390,444,013 sh
-8,259,937 sh
-2%
$18,061,940
$2,520,461
Blackrock Inc.
315,259,401 sh
314,259,401 sh
31426%
$14,583,900
$14,544,920
Wellington Management Group Llp
122,539,833 sh
1,668,977 sh
1%
$5,668,693
$957,146
Dodge & Cox
83,543,744 sh
-116,944 sh
0%
$3,864,734
$603,640
FMR LLC
83,270,699 sh
-5,869,490 sh
-7%
$3,852,102
$377,417
Bank Of America Corp /De/
60,234,496 sh
59,397,296 sh
7095%
$2,786,449
$2,753,815
Northern Trust Corp
54,015,581 sh
82,994 sh
0%
$2,498,761
$396,470
Ameriprise Financial Inc
50,471,862 sh
764,476 sh
2%
$2,335,240
$395,699
Price T Rowe Associates Inc /Md/
47,565,215 sh
-302,410 sh
-1%
$2,200,367
$334,487
Eagle Capital Management LLC /NY/
44,079,427 sh
-2,984,509 sh
-6%
$2,039,114
$204,562
Morgan Stanley
35,445,826 sh
3,343,311 sh
10%
$1,639,724
$388,367
Legal & General Group Plc
28,063,237 sh
-422,622 sh
-1%
$1,298,201
$187,912
Charles Schwab Investment Management Inc
26,982,309 sh
-894,351 sh
-3%
$1,248,203
$161,569
UBS Asset Management Americas Inc
22,157,293 sh
860,278 sh
4%
$1,024,996,364
$194,838,721
Parnassus Investments /Ca
21,435,869 sh
264,363 sh
1%
$991,623
$166,358
Invesco Ltd.
20,202,552 sh
-503,414 sh
-2%
$934,569
$127,449
Harris Associates L P
17,698,579 sh
-2,352,710 sh
-12%
$818,736
$37,136
Goldman Sachs Group Inc
17,615,977 sh
17,372,077 sh
7123%
$814,915
$805,408
Royal Bank Of Canada
11,991,111 sh
11,600,711 sh
2971%
$554,709
$539,491
Viking Global Investors Lp
10,045,065 sh
-18,478,611 sh
-65%
$464,685
-$647,168

Data imported from Comcast Corp SEC filings. Check original filings before making any investment decision.