Current Value of Holding

$89 Million

Shares

734 Thousand

% of Portfolio

0.37%

Average Buy Price

$120

Avg closing price
Price range

11 Terry Smith Choice Hotels International Trades

Terry Smith acquired 734 Thousand Choice Hotels International shares worth $89 Million. That's 0.37% of their equity portfolio (26th largest holding). The investor owns 1.48% of the outstanding Choice Hotels International stock. The first Choice Hotels International trade was made in Q1 2013. Since then Terry Smith bought shares three more times and sold shares on seven occasions. The stake costed the investor $87.7 Million, netting the investor a gain of 1.4% so far.

Avg closing price
Price range
Sold 3.0% shares (-23.1 Thousand shares) Q2 2024
Avg closing price $117.91
Price range $109.76 - $126.22
New holding (+757 Thousand shares) Q1 2024
Avg closing price $119.55
Price range $109.60 - $130.05
Sold -554 Thousand shares Q2 2015
Avg closing price $58.59
Price range $54.24 - $64.08
Sold 42.4% shares (-408 Thousand shares) Q1 2015
Avg closing price $60.85
Price range $53.51 - $64.85
Sold 21.5% shares (-263 Thousand shares) Q4 2014
Avg closing price $53.75
Price range $48.52 - $57.34
Sold 14.7% shares (-210 Thousand shares) Q3 2014
Avg closing price $50.57
Price range $46.54 - $54.52
Increased shares by 64.8% (+564 Thousand shares) Q2 2014
Avg closing price $45.05
Price range $43.71 - $47.22
Sold 38.3% shares (-540 Thousand shares) Q1 2014
Avg closing price $48.21
Price range $45.42 - $50.25
Sold 0.8% shares (-11.2 Thousand shares) Q4 2013
Avg closing price $45.57
Price range $40.12 - $49.71
Increased shares by 39.3% (+401 Thousand shares) Q2 2013
Avg closing price $41.17
Price range $38.68 - $45.40
New holding (+1.02 Million shares) Q1 2013
Avg closing price $37.39
Price range $34.49 - $42.31

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