NYSE : CLDT

Chatham Lodging Trust

$13.39 USD

$0.02 (0.15%)

Volume
319.21K
Average Volume
423.42K
Market Capitalization
$625.06M
P/E Ratio
236.16
Dividend Yield
2.84%
Price Target
$12.00
Year High
$13.64
Year Low
$6.08
Day High
Day Low
Payout Ratio
$2.87
Current Ratio
$0.59
Institutional Ownership Summary
Institutional Ownership %

0.53%

Investors Holding

20

change: -152 | last: 172
Increased Positions

11

change: -81 | last: 92
Reduced Positions

2

change: -38 | last: 40
New Positions

5

change: -18 | last: 23
Sold Positions

157

change: 141 | last: 16
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

3.2M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-05-13 DONALD SMITH & CO., INC. 4.66M 9.90%
2026-04-29 Vanguard Portfolio Management 2.69M 5.68%
2026-04-29 Vanguard Capital Management 2.37M 5.01%
2026-03-31 Sculptor Real Estate Advisors LP 2.37M 5.01%
2026-03-26 The Vanguard Group - 0.00%
2026-02-12 DONALD SMITH & CO., INC. 4.68M 9.70%
2025-11-12 DONALD SMITH & CO., INC. 4.6M 9.40%
2025-09-05 Fuller & Thaler Asset Management, Inc. 2.12M 4.33%
2025-08-13 DONALD SMITH & CO., INC. 4.82M 9.80%
2025-05-14 DONALD SMITH & CO., INC. 4.92M 10.00%
2025-04-30 The Vanguard Group 5.17M 10.55%
2025-04-15 BlackRock Portfolio Management LLC 2.93M 6.00%
2025-02-13 DONALD SMITH & CO., INC. 4.5M 9.20%
2025-02-07 BlackRock, Inc. 4.59M 9.40%
2025-02-05 BlackRock, Inc. 7.46M 15.30%
2024-10-25 13-2807845 3.44M 11.00%
2024-10-25 13-2807845 3.44M 11.00%
2024-10-17 STATE STREET CORPORATION 1.63M 3.30%
2023-01-20 (1) BlackRock, Inc. 8.6M 17.60%
2022-02-09 The Vanguard Group - 23-1945930 5.81M 11.91%
2022-02-09 STATE STREET CORPORATION 2.29M 4.70%
2022-02-08 Fuller & Thaler Asset Management, Inc. 3.33M 6.83%
2022-02-08 Fuller & Thaler Asset Management, Inc. 3.33M 6.83%
2022-01-27 (1) BlackRock, Inc. 8.08M 16.60%
2021-02-11 Fuller & Thaler Asset Management, Inc. 2.94M 6.26%
2021-02-11 Fuller & Thaler Asset Management, Inc. 2.94M 6.26%
2021-02-10 The Vanguard Group - 23-1945930 5.41M 11.52%
2021-02-10 The Vanguard Group - 23-1945930 5.41M 11.52%
2021-02-08 STATE STREET CORPORATION 2.35M 5.01%
2021-01-25 (1) BlackRock, Inc. 7.43M 15.80%
2020-02-14 STATE STREET CORPORATION 2.52M 5.36%
2020-02-14 Fuller & Thaler Asset Management, Inc. 3.38M 7.19%
2020-02-14 Fuller & Thaler Asset Management, Inc. 3.38M 7.19%
2020-02-04 (1) BlackRock, Inc. 8.37M 17.80%
2018-02-13 Fuller & Thaler Asset Management, Inc. 3.33M 7.20%
2018-02-13 Fuller & Thaler Asset Management, Inc. 3.33M 7.20%
2018-02-05 Identification #52-2069785 (formerly 13-2631108) 1.68M 11.00%
2018-01-23 (1) BlackRock, Inc. 7.14M 15.70%
2017-09-12 Forward Management, LLC 1.59M 4.07%
2017-09-12 Forward Management, LLC 1.59M 4.07%
2017-09-08 (1) BlackRock, Inc. 4.57M 11.60%
2017-01-25 Forward Management, LLC 2.04M 5.30%
2017-01-25 Forward Management, LLC 2.04M 5.30%
2017-01-23 (1) BlackRock, Inc. 3.58M 9.30%
2016-02-02 Identification #52-2069785 (formerly 13-2631108) 2.72M 11.00%
2016-02-02 Identification #52-2069785 (formerly 13-2631108) 2.72M 11.00%
2016-01-26 (1) BlackRock, Inc. 3.34M 8.70%
2015-02-13 Charles Fitzgerald 1.48M 4.40%
2015-02-13 V3 Realty Partners (a), L.P. 439.12K 1.30%
2015-02-13 V3 Trading Vehicle, L.P. 265.68K 0.80%
2015-02-13 V3 Capital Advisors, LLC 1.04M 3.10%
2015-02-13 V3 Capital Advisors (a), LLC 439.12K 1.30%
2015-02-13 V3 Capital Management, L.P. 1.48M 4.40%
2015-02-13 V3 Realty Partners, L.P. 773.02K 2.30%
2015-02-10 Forward Management, LLC 1.85M 4.90%
2015-02-10 Forward Select Income Fund 1.85M 4.90%
2015-02-02 (1) BlackRock, Inc. 2.16M 6.30%
2015-01-26 2. 1.77M 5.21%
2015-01-26 2. 1.77M 5.21%
2014-07-09 Vanguard Group - 23-1945930 2.67M 10.12%
2014-07-09 Vanguard Group - 23-1945930 2.67M 10.12%
2014-01-31 20-4857214 990K 5.65%
2014-01-31 20-4857214 990K 5.65%
2013-06-11 20-4857214 990K 5.66%
2013-06-11 20-4857214 990K 5.66%
2013-06-11 Wells Fargo & Company 632.92K 3.64%
2013-02-13 Identification #52-2069785 (formerly 13-2631108) 860.98K 11.00%
2013-02-13 Identification #52-2069785 (formerly 13-2631108) 860.98K 11.00%
2013-02-07 Robeco Investment Management, Inc. 459.08K 3.30%
2013-02-07 Robeco Investment Management, Inc. 459.08K 3.30%
2013-02-07 Forward Select Income Fund 825K 4.74%
2013-02-07 Forward Management, LLC 922.51K 5.30%
2013-01-30 (1) BlackRock, Inc. 754.02K 5.42%
2013-01-29 HG Vora Capital Management, LLC 1.3M 7.00%
2013-01-29 Parag Vora 1.3M 7.00%
2013-01-29 HG Vora Special Opportunities Master Fund, Ltd. 1.3M 7.00%
2013-01-29 HG Vora Capital Management, LLC 1.3M 7.00%
2013-01-29 Parag Vora 1.3M 7.00%
2013-01-29 HG Vora Special Opportunities Master Fund, Ltd. 1.3M 7.00%
2013-01-25 Michael M. Rothenberg 852.02K 4.89%
2013-01-25 20-4093001 852.02K 4.89%
2013-01-25 20-4092810 852.02K 4.89%
2013-01-25 David A. Sackler 852.02K 4.89%
2013-01-25 20-4092810 852.02K 4.89%
2013-01-25 20-4093001 852.02K 4.89%
2013-01-25 Michael M. Rothenberg 852.02K 4.89%
2013-01-25 David A. Sackler 852.02K 4.89%
2013-01-14 V3 Capital Advisors, LLC 951.54K 5.50%
2013-01-14 V3 Realty Partners, L.P. 726.95K 4.20%
2013-01-14 V3 Trading Vehicle, L.P. 224.59K 1.30%
2013-01-14 V3 Trading Vehicle, L.P. 224.59K 1.30%
2013-01-14 Charles Fitzgerald 951.54K 5.50%
2013-01-14 Charles Fitzgerald 951.54K 5.50%
2013-01-14 V3 Capital Management, L.P. 951.54K 5.50%
2013-01-14 V3 Realty Partners, L.P. 726.95K 4.20%
2013-01-14 V3 Capital Management, L.P. 951.54K 5.50%
2013-01-14 V3 Capital Advisors, LLC 951.54K 5.50%
2012-02-06 Robeco Investment Management, Inc. 690.91K 5.00%
2012-01-09 Forward Select Income Fund 825K 5.97%
2012-01-09 Forward Management, LLC 922.51K 6.68%
2012-01-09 Forward Management, LLC 922.51K 6.68%
2012-01-09 Forward Select Income Fund 825K 5.97%
2011-03-28 Michael M. Rothenberg 695.88K 5.00%
2011-03-28 20-4093001 695.88K 5.00%
2011-03-28 20-4093001 695.88K 5.00%
2011-03-28 20-4092810 695.88K 5.00%
2011-03-28 Michael M. Rothenberg 695.88K 5.00%
2011-03-28 20-4092810 695.88K 5.00%
2011-03-28 David A. Sackler 695.88K 5.00%
2011-03-28 David A. Sackler 695.88K 5.00%
2011-03-08 Not applicable 630.75K 4.56%
2011-03-08 Not applicable 630.75K 4.56%
2011-02-28 Robeco Investment Management, Inc. 753.68K 8.18%
2011-02-28 Robeco Investment Management, Inc. 753.68K 8.18%
2011-02-11 Identification #52-2069785 (formerly 13-2631108) 756.82K 11.00%
2011-02-04 Robeco Investment Management, Inc. 753.68K 8.18%
2010-08-10 Wells Fargo and Company 919.64K 10.03%
2010-05-10 Identification #52-2069785 (formerly 13-2631108) 837.7K 11.00%
2010-05-10 Identification #52-2069785 (formerly 13-2631108) 837.7K 11.00%
2010-05-07 Not applicable 510K 6.30%
2010-05-07 Not applicable 510K 6.30%
2010-05-07 Not applicable 510K 6.30%
CLDT Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $6.81 48.79M $332.28M $32.64M $358.98M $658.62M
2024-12-31 $8.95 48.9M $437.66M $20.2M $427.48M $844.95M
2023-12-31 $10.72 48.85M $523.64M $68.13M $504.88M $960.4M
2022-12-31 $12.27 48.8M $598.72M $26.27M $491.99M $1.06B
2021-12-31 $13.72 48.35M $663.35M $19.19M $566.98M $1.21B
2020-12-31 $10.80 46.96M $507.18M $21.12M $767.3M $1.25B
2019-12-31 $18.34 46.79M $858.11M $6.62M $699.18M $1.55B
2018-12-31 $17.68 46.07M $814.58M $7.19M $583.28M $1.39B
2017-12-31 $22.76 39.86M $907.19M $9.33M $538.32M $1.44B
2016-12-31 $20.55 38.3M $787.05M $12.12M $582.82M $1.36B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $7.87 47.25M $371.87M $13.69M $444.04M $802.21M
2025-12-31 $6.81 48.31M $328.98M $32.64M $358.98M $655.32M
2025-09-30 $6.71 48.91M $328.19M $13.23M $359.06M $674.02M
2025-06-30 $6.97 49M $341.52M $17.17M $371.57M $695.92M
2025-03-31 $7.13 48.96M $349.09M $18.59M $401.56M $732.06M
2024-12-31 $8.95 48.91M $437.72M $20.2M $427.48M $845.01M
2024-09-30 $8.52 48.9M $416.66M $19.35M $456.74M $854.05M
2024-06-30 $8.36 48.9M $408.81M $10.6M $470.65M $868.86M
2024-03-31 $10.00 48.89M $488.92M $72.26M $503.28M $919.94M
2023-12-31 $10.72 48.85M $523.71M $68.13M $504.88M $960.46M
2023-09-30 $9.57 48.85M $467.5M $71.65M $506.99M $902.84M
2023-06-30 $9.36 48.85M $457.21M $32.9M $486.88M $911.19M