Park Hotels & Resorts Inc. is a lodging real estate investment trust (REIT). The Company has a diverse portfolio of hotels and resorts with significant underlying real estate value. Its portfolio consists of 43 premium-branded hotels and resorts with over 26,000 rooms, located in prime United States markets. The Company has two operating segments: consolidated hotels and unconsolidated hotels. Approximately 86% of its rooms are luxury and upper upscale and all of its rooms are located in the United States and its territories. Its portfolio includes hotels in urban and convention areas, such as New York City, Washington, D.C., Chicago, Boston, New Orleans and Denver; and premier resorts in key leisure destinations, including Hawaii, Orlando, Key West and Miami Beach; as well as hotels in select airport and suburban locations. Its brands include Hilton Hotels & Resorts, DoubleTree by Hilton, Signia by Hilton, Hyatt Regency, and others.
Mã chứng khoánPK
Tên công tyPark Hotels & Resorts Inc
Ngày IPODec 13, 2016
Giám đốc điều hànhMr. Thomas Jeremiah Baltimore, Jr.
Số lượng nhân viên91
Loại chứng khoánOrdinary Share
Kết thúc năm tài chínhDec 13
Địa chỉ1775 Tysons Blvd
Thành phốTYSONS CORNER
Sàn giao dịch chứng khoánNYSE Consolidated
Quốc giaUnited States of America
Mã bưu điện22102
Điện thoại15713025757
Trang webhttps://www.pkhotelsandresorts.com/
Mã chứng khoánPK
Ngày IPODec 13, 2016
Giám đốc điều hànhMr. Thomas Jeremiah Baltimore, Jr.
Tổng cộng
912.00M
USD đã được phân phối dưới dạng cổ tức trong 5 năm qua.
PK.NB Final Cash Dividend of gross USD 0.25 paid on Jan 15, 2025 going ex on Dec 31, 2024
PK.NB Interim Cash Dividend of gross USD 0.229595 paid on Oct 15, 2024 going ex on Sep 30, 2024
PK.NB Interim Cash Dividend of gross USD 0.229595 paid on Jul 15, 2024 going ex on Jun 28, 2024
PK.NB Interim Cash Dividend of gross USD 0.229595 paid on Apr 15, 2024 going ex on Mar 27, 2024
PK.NB Final Cash Dividend of gross USD 0.15 paid on Jan 16, 2024 going ex on Dec 28, 2023
PK.NB Interim Cash Dividend of gross USD 0.15 paid on Oct 16, 2023 going ex on Sep 28, 2023
PK.NB Interim Cash Dividend of gross USD 0.15 paid on Jul 17, 2023 going ex on Jun 29, 2023
PK.NB Interim Cash Dividend of gross USD 0.15 paid on Apr 17, 2023 going ex on Mar 30, 2023
PK.NB Final Cash Dividend of gross USD 0.12 paid on Jan 17, 2023 going ex on Dec 29, 2022
PK.NB Interim Cash Dividend of gross USD 0.01 paid on Oct 17, 2022 going ex on Sep 29, 2022
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