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Choice Hotels

Name Holding Trade Value Shares
Change
Change in
Stake
AI
176
AdvisorShares Investments
Maryland
$446K -$20.1K -168 -4%
CAM
177
Cozad Asset Management
Illinois
$445K
TRCT
178
Tower Research Capital (TRC)
New York
$417K +$205K +1,711 +93%
CI Investments Inc
179
CI Investments Inc
Ontario, Canada
$402K -$12.6K -105 -3%
PFPT
180
Pinnacle Financial Partners (Tennessee)
Tennessee
$392K +$400K +3,342 New
TI
181
Tidal Investments
Wisconsin
$387K +$396K +3,304 New
NP
182
Nilsine Partners
Colorado
$380K +$388K +3,242 New
CG
183
Caprock Group
Idaho
$378K +$386K +3,220 New
Osaic Holdings
184
Osaic Holdings
Arizona
$374K -$70.3K -587 -16%
Russell Investments Group
185
Russell Investments Group
United Kingdom
$373K -$467K -3,900 -55%
OTL
186
Oak Thistle LLC
New York
$360K +$368K +3,074 New
BMWM
187
Brown Miller Wealth Management
Virginia
$336K
Neuberger Berman Group
188
Neuberger Berman Group
New York
$330K +$2.04K +17 +0.6%
BTWM
189
Baker Tilly Wealth Management
Wisconsin
$328K +$4.07K +34 +1%
SC
190
Savant Capital
Illinois
$328K +$719 +6 +0.2%
PA
191
Procyon Advisors
Connecticut
$326K
SAM
192
Shell Asset Management
Netherlands
$324K -$1.2K -10 -0.4%
Baird Financial Group
193
Baird Financial Group
Wisconsin
$318K +$1.8K +15 +0.6%
BCWM
194
Bartlett & Co Wealth Management
Ohio
$317K
BC
195
Bartlett & Co
Ohio
$317K
MSRPS
196
Maryland State Retirement & Pension System
Maryland
$312K
ML
197
McAdam LLC
Pennsylvania
$307K
NRD
198
Nebula Research & Development
New York
$304K +$311K +2,597 New
EI
199
Ethic Inc
New York
$303K -$60.7K -507 -16%
DA
200
Duality Advisers
Florida
$302K -$500K -4,174 -62%