Short selling detail for PK on 2024-10-30

Stock NamePark Hotels & Resorts Inc
TickerPK(USD) NYSE

TimeNumber of Short TradesNumber of PK Shares ShortedLowest PK Selling PriceHighest PK Selling Price
08:00:001114.1914.19
08:45:0011614.144914.1449
09:30:0030119106213.7314.245
09:45:0046912158314.162514.42
10:00:0064125991314.30514.435
10:15:0095123781814.314.45
10:30:005727951714.367514.505
10:45:001912550714.3514.505
11:00:003095414714.02514.3783
11:15:003704319513.99514.125
11:30:004184971114.07514.2
11:45:002921468314.107714.195
12:00:003313991714.1214.22
12:15:002191622914.203314.26
12:30:001481112414.214.24
12:45:001512071514.21514.26
13:00:001351535414.2214.255
13:15:001693662714.214.26
13:30:001051490414.1514.2088
13:45:001382420914.11514.1562
14:00:00881964714.128514.25
14:15:001271575114.2114.235
14:30:001281146714.15514.2251
14:45:001513159214.1514.2
15:00:002301968614.11514.1981
15:15:0025412840714.10514.215
15:30:002393176914.13514.23
15:45:0097017424214.0714.16
16:00:005744214.0614.06
08:00:001114.1914.19
08:45:0011614.144914.1449
09:30:0030119106213.7314.245
09:45:0046912158314.162514.42
10:00:0064125991314.30514.435
10:15:0095123781814.314.45
10:30:005727951714.367514.505
10:45:001912550714.3514.505
11:00:003095414714.02514.3783
11:15:003704319513.99514.125
11:30:004184971114.07514.2
11:45:002921468314.107714.195
12:00:003313991714.1214.22
12:15:002191622914.203314.26
12:30:001481112414.214.24
12:45:001512071514.21514.26
13:00:001351535414.2214.255
13:15:001693662714.214.26
13:30:001051490414.1514.2088
13:45:001382420914.11514.1562
14:00:00881964714.128514.25
14:15:001271575114.2114.235
14:30:001281146714.15514.2251
14:45:001513159214.1514.2
15:00:002301968614.11514.1981
15:15:0025412840714.10514.215
15:30:002393176914.13514.23
15:45:0097017424214.0714.16
16:00:005744214.0614.06

Short data is derived from FINRA data. The aggregate of the numbers here will differ from the daily short summary. This difference is for a number of reasons. The Daily Short Sale Volume is the total volume of short trades that meet certain criteria on each trade date by 6 PM ET on the trade date. The data here is derived from the transaction level data and includes ALL trades (including exempt) and the aggregation period extends beyond 6pm.

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