Choice Hotels International, Inc. is a hotel franchisor. The Companyâs segments include Hotel Franchising & Management and Corporate & Other. The Hotel Franchising & Management segment includes the Company's hotel franchising operations which consists of its 22 brands and brand extensions and the hotel management operations of 14 hotels (inclusive of four owned hotels). It has 7,527 hotels with 632,986 rooms open and operating, and 1,032 hotels with 105,062 rooms. The Companyâs brands include Comfort Inn, Comfort Suites, Quality, Clarion, Clarion Pointe, Ascend Hotel Collection, Sleep Inn, Econo Lodge, Rodeway Inn, MainStay Suites, Suburban Studios, WoodSpring Suites, Everhome Suites, and Cambria Hotels. It also includes Radisson Blu, Radisson RED, Radisson, Park Plaza, Country Inn & Suites by Radisson, Radisson Inn & Suites, Park Inn by Radisson, Radisson Individuals, and Radisson Collection brands, which are located across the United States, Canada, the Caribbean and Latin America.
äŒæ¥ã³ãŒãCHH
äŒç€ŸåChoice Hotels International Inc
äžå Žæ¥Oct 16, 1996
æé«çµå¶è²¬ä»»è
ãCEOãMr. Patrick S. (Pat) Pacious
åŸæ¥å¡æ°1700
蚌åžçš®é¡Ordinary Share
æ±ºç®ææ«Oct 16
æ¬ç€Ÿæåšå°915 Meeting Street
éœåžNORTH BETHESDA
蚌åžååŒæNYSE Consolidated
åœUnited States of America
éµäŸ¿çªå·20852
é»è©±çªå·13015925000
ãŠã§ããµã€ãhttps://www.choicehotels.com/en-in
äŒæ¥ã³ãŒãCHH
äžå Žæ¥Oct 16, 1996
æé«çµå¶è²¬ä»»è
ãCEOãMr. Patrick S. (Pat) Pacious
éå»5幎éã®é
åœéç·æ¯æé¡ã¯
214.82M
ç±³ãã«ã§ããã
CHH.NB Final Cash Dividend of gross USD 0.2875 paid on Jan 16, 2025 going ex on Jan 02, 2025
CHH.NB Interim Cash Dividend of gross USD 0.2875 paid on Oct 16, 2024 going ex on Oct 01, 2024
CHH.NB Interim Cash Dividend of gross USD 0.2875 paid on Jul 16, 2024 going ex on Jul 01, 2024
CHH.NB Interim Cash Dividend of gross USD 0.2875 paid on Apr 17, 2024 going ex on Apr 01, 2024
CHH.NB Final Cash Dividend of gross USD 0.2875 paid on Jan 17, 2024 going ex on Dec 29, 2023
CHH.NB Interim Cash Dividend of gross USD 0.2875 paid on Oct 17, 2023 going ex on Sep 29, 2023
CHH.NB Interim Cash Dividend of gross USD 0.2875 paid on Jul 19, 2023 going ex on Jul 03, 2023
CHH.NB Interim Cash Dividend of gross USD 0.2875 paid on Apr 18, 2023 going ex on Mar 31, 2023
CHH.NB Final Cash Dividend of gross USD 0.2375 paid on Jan 17, 2023 going ex on Dec 30, 2022
CHH.NB Interim Cash Dividend of gross USD 0.2375 paid on Oct 14, 2022 going ex on Sep 30, 2022
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