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      Current Value of Holding

      $23.9M

      Shares

      204k

      % of Portfolio

      0.02%

      Average Buy Price

      $85.7

      Avg closing price
      Price range

      48 Ken Griffin Choice Hotels International Trades

      Ken Griffin acquired 204k Choice Hotels International shares worth $23.9M. That's 0.02% of their equity portfolio (835th largest holding). The first Choice Hotels International trade was made in Q2 2013. Since then Ken Griffin bought shares 50 more times and sold shares on 49 occasions. The stake costed the investor $17.5M, netting the investor a gain of 36% so far.

      Avg closing price
      Price range
      Sold 51.9% shares (-221k shares) Q2 2025
      Avg closing price $126.30
      Price range $117.49 - $134.00
      Increased shares by 117.9% (+230k shares) Q1 2025
      Avg closing price $142.56
      Price range $127.89 - $155.81
      Increased shares by 185.3% (+127k shares) Q4 2024
      Avg closing price $141.65
      Price range $128.70 - $152.73
      Sold 63.8% shares (-120k shares) Q3 2024
      Avg closing price $125.23
      Price range $117.06 - $133.72
      Sold 46.3% shares (-163k shares) Q2 2024
      Avg closing price $117.91
      Price range $109.76 - $126.22
      Sold 13.5% shares (-55k shares) Q1 2024
      Avg closing price $119.55
      Price range $109.60 - $130.05
      Increased shares by 121.7% (+223k shares) Q4 2023
      Avg closing price $114.31
      Price range $110.16 - $124.90
      Sold 33.5% shares (-92.4k shares) Q3 2023
      Avg closing price $125.80
      Price range $117.20 - $134.30
      Increased shares by 171.7% (+174k shares) Q2 2023
      Avg closing price $120.11
      Price range $111.69 - $129.79
      Increased shares by 541.9% (+85.7k shares) Q1 2023
      Avg closing price $119.81
      Price range $110.13 - $130.01
      Sold 84.3% shares (-85.1k shares) Q4 2022
      Avg closing price $119.50
      Price range $109.52 - $130.38
      Increased shares by 17.9% (+15.3k shares) Q3 2022
      Avg closing price $114.67
      Price range $104.22 - $122.93
      Increased shares by 870.3% (+76.8k shares) Q2 2022
      Avg closing price $129.85
      Price range $110.77 - $147.58
      Sold 54.7% shares (-10.6k shares) Q1 2022
      Avg closing price $143.90
      Price range $128.51 - $154.62
      Sold 59.3% shares (-28.3k shares) Q4 2021
      Avg closing price $143.57
      Price range $132.08 - $155.99
      Increased shares by 31.7% (+11.5k shares) Q3 2021
      Avg closing price $119.57
      Price range $112.61 - $130.46
      Sold 38.3% shares (-22.5k shares) Q2 2021
      Avg closing price $116.30
      Price range $108.74 - $123.08
      Sold 66.8% shares (-118k shares) Q1 2021
      Avg closing price $106.53
      Price range $100.64 - $114.68
      Increased shares by 16.2% (+24.7k shares) Q3 2020
      Avg closing price $90.11
      Price range $79.72 - $101.19
      Sold 23.4% shares (-46.6k shares) Q2 2020
      Avg closing price $76.21
      Price range $54.15 - $92.09

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