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      Current Value of Holding

      $27.7M

      Shares

      237k

      % of Portfolio

      0.20%

      Average Buy Price

      $138

      Avg closing price
      Price range

      27 Paul Tudor Jones II Choice Hotels International Trades

      Paul Tudor Jones II acquired 237k Choice Hotels International shares worth $27.7M. That's 0.20% of their equity portfolio (99th largest holding). The first Choice Hotels International trade was made in Q3 2015. Since then Paul Tudor Jones II bought shares sixteen more times and sold shares on ten occasions. The investor's estimated purchase price is $32.7M, resulting in a loss of 15%.

      Avg closing price
      Price range
      Increased shares by 39.2% (+66.8k shares) Q2 2025
      Avg closing price $126.30
      Price range $117.49 - $134.00
      New holding (+170k shares) Q1 2025
      Avg closing price $142.56
      Price range $127.89 - $155.81
      Sold -19.7k shares Q3 2024
      Avg closing price $125.23
      Price range $117.06 - $133.72
      Sold 83.9% shares (-103k shares) Q2 2024
      Avg closing price $117.91
      Price range $109.76 - $126.22
      Increased shares by 4.7% (+5.45k shares) Q1 2024
      Avg closing price $119.55
      Price range $109.60 - $130.05
      Sold 7.5% shares (-9.5k shares) Q4 2023
      Avg closing price $114.31
      Price range $110.16 - $124.90
      Increased shares by 34.5% (+32.5k shares) Q3 2023
      Avg closing price $125.80
      Price range $117.20 - $134.30
      Increased shares by 302.2% (+70.6k shares) Q2 2023
      Avg closing price $120.11
      Price range $111.69 - $129.79
      Sold 64.2% shares (-41.9k shares) Q1 2023
      Avg closing price $119.81
      Price range $110.13 - $130.01
      Sold 4.6% shares (-3.14k shares) Q4 2022
      Avg closing price $119.50
      Price range $109.52 - $130.38
      Increased shares by 17.3% (+10.1k shares) Q3 2022
      Avg closing price $114.67
      Price range $104.22 - $122.93
      Increased shares by 182.6% (+37.7k shares) Q2 2022
      Avg closing price $129.85
      Price range $110.77 - $147.58
      New holding (+20.6k shares) Q1 2022
      Avg closing price $143.90
      Price range $128.51 - $154.62
      Sold -12k shares Q4 2021
      Avg closing price $143.57
      Price range $132.08 - $155.99
      New holding (+12k shares) Q3 2021
      Avg closing price $119.57
      Price range $112.61 - $130.46
      Sold -51.6k shares Q2 2021
      Avg closing price $116.30
      Price range $108.74 - $123.08
      Increased shares by 6.3% (+3.08k shares) Q1 2021
      Avg closing price $106.53
      Price range $100.64 - $114.68
      Increased shares by 35.2% (+12.6k shares) Q4 2020
      Avg closing price $97.23
      Price range $84.05 - $108.38
      Increased shares by 354.5% (+28k shares) Q3 2020
      Avg closing price $90.11
      Price range $79.72 - $101.19
      New holding (+7.89k shares) Q2 2020
      Avg closing price $76.21
      Price range $54.15 - $92.09

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