SUMMIT HOTEL PPTYS INC SER E - PREFERRED STOCKS (INNPRE) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2017 to Q3 2025

Type / Class
Equity / PREFERRED STOCKS
Symbol
INNPRE
Price per share
$18.41
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
95,840
Total reported value
$1,860,254
% of total 13F portfolios
0%
Share change
-1,700
Value change
-$32,997
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 95,840 shares of SUMMIT HOTEL PPTYS INC SER E - PREFERRED STOCKS (INNPRE).

Institutional Holders of SUMMIT HOTEL PPTYS INC SER E - PREFERRED STOCKS (INNPRE) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 95,840 $1,860,254 -$32,997 $19.41 1
2025 Q2 97,540 $1,720,606 +$173,683 $17.64 1
2025 Q1 87,694 $1,743,357 +$347,900 $19.88 1
2024 Q4 70,194 $1,436,169 +$600,767 $20.46 1
2024 Q3 40,831 $856,226 $0 $20.97 1
2024 Q2 40,831 $875,008 $0 $21.43 1
2024 Q1 40,831 $839,894 $0 $20.57 1
2023 Q4 40,831 $888,483 $0 $21.76 1
2023 Q3 40,831 $800,696 -$1,961 $19.61 1
2023 Q2 40,931 $849,318 +$242,194 $20.75 1
2023 Q1 29,259 $554,165 $0 $18.94 1
2022 Q4 29,259 $534,855 $0 $18.28 1
2022 Q3 29,259 $513,000 +$513,001 $17.53 1
2021 Q4 0 $0 -$1,027,999 $18.41 0
2021 Q3 39,500 $1,028,000 $0 $26.03 1
2021 Q2 39,500 $1,031,000 -$345,000 $26.10 1
2021 Q1 53,565 $1,315,000 +$345,000 $24.54 2
2020 Q4 39,500 $890,000 -$942,998 $22.53 1
2020 Q3 81,800 $1,824,000 $0 $22.30 2
2020 Q2 81,800 $1,465,000 -$667,622 $17.91 2
2020 Q1 119,100 $1,566,000 $0 $13.15 2
2019 Q4 119,100 $3,043,000 +$194,153 $25.55 2
2019 Q3 111,500 $2,984,000 $0 $26.76 2
2019 Q2 111,500 $2,865,000 -$13,000 $25.69 2
2019 Q1 112,060 $2,604,000 +$66,455 $23.23 3
2018 Q4 109,200 $2,241,000 -$123,814 $20.52 2
2018 Q3 113,900 $2,664,000 +$340,259 $23.60 3
2018 Q2 99,300 $2,399,000 +$86,962 $24.16 3
2018 Q1 95,700 $2,301,000 $0 $24.04 3
2017 Q4 95,700 $2,457,000 +$2,457,001 $25.68 3