CHOICE HOTELS INTERNATIONAL INC /DE - Choice Hotels International Ord Shs (CHH)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CHH on NYSE
CUSIP
169905106
Type / Class
Equity / Choice Hotels International Ord Shs
Shares outstanding
46.3M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
31.1M
Holdings value
$3.33B
% of all portfolios
0.003%
Grand Portfolio weight change
0%
Number of holders
333
Number of buys
140
Number of sells
-203
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CHOICE HOTELS INTERNATIONAL INC /DE - Choice Hotels International Ord Shs (CHH)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BAMCO INC /NY/ 10.06% $593M 4.75M Ronald Baron Sep 30, 2024
KAYNE ANDERSON RUDNICK INVESTMENT MANAGEMENT LLC 8% $396M 3.7M Kayne Anderson Rudnick Investment Management, LLC Sep 30, 2025
VANGUARD GROUP INC 4.98% $246M 2.3M The Vanguard Group Sep 30, 2025

Institutional Holders of CHOICE HOTELS INTERNATIONAL INC /DE - Choice Hotels International Ord Shs (CHH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 31.1M $3.33B -$220M $106.91 333
2025 Q2 33.1M $4.19B +$110M $126.88 352
2025 Q1 32M $4.25B +$160M $132.78 375
2024 Q4 30.8M $4.37B -$192M $141.98 351
2024 Q3 32M $4.17B -$179M $130.30 324
2024 Q2 33.6M $4B +$70.3M $119.00 315
2024 Q1 33M $4.17B +$14M $126.35 327
2023 Q4 186K $21.1M -$1.38M $113.30 7
2023 Q3 34.6M $4.24B -$12M $122.51 322
2023 Q2 34.6M $4.06B +$421M $117.52 312
2023 Q1 31M $3.63B +$81.8M $117.19 284
2022 Q4 30.3M $3.42B +$72M $112.64 294
2022 Q3 31.5M $3.46B -$178M $109.52 290
2022 Q2 33.7M $3.76B +$89.1M $111.63 283
2022 Q1 33.2M $4.71B +$169M $141.76 295
2021 Q4 32M $4.99B -$115M $155.99 285
2021 Q3 32.3M $4.08B +$9.84M $126.37 234
2021 Q2 32.3M $3.84B +$92.9M $118.86 224
2021 Q1 31.5M $3.38B -$33.8M $107.29 232
2020 Q4 32.1M $3.43B -$21.1M $106.73 224
2020 Q3 32.1M $2.76B -$24.6M $85.96 230
2020 Q2 32.7M $2.58B -$61.6M $78.90 221
2020 Q1 33.4M $2.04B -$131M $61.25 195
2019 Q4 35.2M $3.64B +$116M $103.43 235
2019 Q3 34.1M $3.03B +$54.3M $88.96 219
2019 Q2 33.4M $2.91B +$63.4M $87.01 194
2019 Q1 33.8M $2.63B +$84.3M $77.74 187
2018 Q4 32.9M $2.35B +$65.9M $71.58 185
2018 Q3 31.9M $2.66B +$70.4M $83.30 184
2018 Q2 31.2M $2.35B +$130M $75.60 185
2018 Q1 29.9M $2.39B +$47.4M $80.15 202
2017 Q4 29.3M $2.27B +$7.93M $77.60 184
2017 Q3 29.2M $1.86B +$35.2M $63.90 167
2017 Q2 28.7M $1.84B +$30.4M $64.25 170
2017 Q1 28.1M $1.76B +$213M $62.60 171
2016 Q4 27.4M $1.53B -$3.5M $56.05 148
2016 Q3 27M $1.22B -$46.2M $45.08 137
2016 Q2 28.2M $1.34B -$21.4M $47.62 121
2016 Q1 28.5M $1.54B -$33.6M $54.05 125
2015 Q4 29.1M $1.47B +$6.89M $50.41 124
2015 Q3 29M $1.38B -$66.7M $47.65 121
2015 Q2 28.7M $1.56B +$11M $54.25 130
2015 Q1 28.6M $1.83B -$4.39M $64.07 135
2014 Q4 28.7M $1.61B +$34.5M $56.02 128
2014 Q3 28.1M $1.46B +$36.3M $52.00 121
2014 Q2 27.4M $1.29B -$15.4M $47.11 112
2014 Q1 27.8M $1.28B +$80.4M $46.00 114