Park Hotels & Resorts Inc. - PK

Sector: Real Estate · Industry: REIT - Hotel & Motel
Website: No information yet · Social: No information yet

Company profile

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Quarter snapshot

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Q3 2026 · Q2 2026
Value (USD)
Total reported value ($000)
$3.228B
QoQ value delta ($000)
+$17K (+0.0%)
Implied price effect (QoQ)
+0.0%
Shares
Total shares
216,615,834
QoQ shares delta
+323 (+0.0%)
Total shares held by funds (by quarter)
Shares (left)

Fund holders include prior positions carried forward until a new 13F confirms a change. Reported holders have reported a position in this security for that quarter; this is not the total number of 13F filers.

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Top holders (Q3 2026)

Top 25 only Full list
Partial Q3 2026 data: 3 holders have filed so far. Prior holders are carried forward until their next 13F confirms a change.
Manager Value ($000) Shares % of 13F
BlackRock, Inc. 444,311 31,179,743 0.01%
VANGUARD PORTFOLIO MANAGEMENT LLC 249,013 17,474,607 0.01%
DONALD SMITH & CO., INC. 207,119 14,534,708 3.67%
STATE STREET CORP 160,891 11,100,179 0.0%
PharVision Advisers, LLC 145,478 10,209 2.74%
BANK OF AMERICA CORP /DE/ 136,488 9,578,107 0.01%
VANGUARD CAPITAL MANAGEMENT LLC 124,470 8,734,755 0.0%
GOLDMAN SACHS GROUP INC 95,563 6,706,222 0.01%
Allianz Asset Management GmbH 95,544 6,704,868 0.08%
GEODE CAPITAL MANAGEMENT, LLC 83,065 5,828,271 0.0%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 75,402 5,291,369 0.01%
AQR CAPITAL MANAGEMENT LLC 73,327 5,182,122 0.03%
UBS Group AG 60,610 4,253,343 0.01%
H/2 CREDIT MANAGER LP 45,069 3,162,710 8.56%
Quantinno Capital Management LP 44,301 3,108,887 0.05%
SG Americas Securities, LLC 43,871 3,078,700 0.02%
NORTHERN TRUST CORP 43,352 3,042,258 0.01%
PRIVATE MANAGEMENT GROUP INC 43,235 3,034,061 1.14%
MORGAN STANLEY 40,973 2,875,320 0.0%
DIMENSIONAL FUND ADVISORS LP 38,745 2,718,809 0.01%
AMERIPRISE FINANCIAL INC 38,052 2,668,884 0.01%
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 35,467 2,488,942 0.02%
Voss Capital, LP 30,780 2,160,000 1.43%
Invesco Ltd. 29,036 2,037,619 0.0%
TWO SIGMA INVESTMENTS, LP 28,822 2,022,613 0.02%