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Choice Properties Real Estate Investment Trust (PPRQF) Short Interest Ratio & Short Volume

Choice Properties Real Estate Investment Trust logo
$10.07 0.00 (0.00%)
(As of 11/21/2024 ET)

Choice Properties Real Estate Investment Trust Short Interest Data

Choice Properties Real Estate Investment Trust (PPRQF) has a short interest of 1.58 million shares. This marks a -3.43% decrease in short interest from the previous month. The short interest ratio (days to cover) is 15,807.0, indicating that it would take 15,807.0 days of the average trading volume of 16,788 shares to cover all short positions.

Current Short Interest
1,580,700 shares
Previous Short Interest
1,636,800 shares
Change Vs. Previous Month
-3.43%
Dollar Volume Sold Short
$16.50 million
Short Interest Ratio
15,807.0 Days to Cover
Last Record Date
October 31, 2024
Today's Trading Volume
0 shares
Average Trading Volume
16,788 shares
Today's Volume Vs. Average
0%
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PPRQF Short Interest Over Time

PPRQF Days to Cover Over Time

PPRQF Percentage of Float Shorted Over Time

Choice Properties Real Estate Investment Trust Short Interest History

Report DateTotal Shares Sold ShortDollar Volume Sold ShortChange from Previous ReportPercentage of Float ShortedDays to CoverPrice on Report Date
10/31/20241,580,700 shares $16.50 million -3.4%N/A15807 $10.44
10/15/20241,636,800 shares $17.43 million -5.4%N/A16368 $10.65
9/30/20241,730,300 shares $19.38 million -9.6%N/A2883.8 $11.20
9/15/20241,912,900 shares $20.49 million -24.4%N/A3825.8 $10.71
8/31/20242,529,300 shares $27.52 million +3.2%N/A214.3 $10.88
8/15/20242,450,300 shares $24.89 million -4.9%N/A98.4 $10.16
7/31/20242,576,400 shares $26.98 million -1.3%N/A76.2 $10.47
7/15/20242,610,600 shares $26.01 million +12.8%N/A141.1 $9.97
6/30/20242,314,700 shares $22.64 million +19.0%N/A11573.5 $9.78
6/15/20241,946,000 shares $18.20 million +1.0%N/A6486.8 $9.35
5/31/20241,926,800 shares $17.88 million +8.7%N/A4817 $9.28
5/15/20241,771,900 shares $17.12 million -18.3%N/A393.8 $9.66
4/30/20242,167,600 shares $20.77 million -6.1%N/A53.7 $9.58
4/15/20242,308,600 shares $21.82 million +1.7%N/A94.6 $9.45
3/31/20242,269,500 shares $23.58 million +52.4%N/A137.5 $10.39
3/15/20241,489,000 shares $14.89 million +10.0%N/A146 $10.00
2/29/20241,353,100 shares $13.44 million +3.2%N/A1040.8 $9.93
2/15/20241,310,600 shares $13.31 million -28.0%N/A63.9 $10.15
1/15/20241,519,300 shares $16.07 million +71.5%N/A65.2 $10.58
12/31/2023885,700 shares $9.33 million -14.4%N/A68.9 $10.53
12/15/20231,035,000 shares $10.76 million +0.8%N/A42.4 $10.40
11/30/20231,027,100 shares $9.56 million -61.0%N/A56.7 $9.31
11/15/20232,632,500 shares $25.51 million +14.5%N/A27.9 $9.69
10/31/20232,299,500 shares $20.63 million +5.6%N/A123 $8.97
10/15/20232,178,300 shares $20.45 million +2.1%N/A112.3 $9.39
9/30/20232,134,400 shares $20.04 million +12.4%N/A117.3 $9.39
9/15/20231,899,100 shares $18.63 million -4.6%N/A109.1 $9.81
8/31/20231,990,700 shares $19.37 million +0.4%N/A4503.9 $9.73
8/15/20231,982,400 shares $19.63 million -14.9%N/A9912 $9.90
7/31/20232,328,400 shares $24.61 million -4.0%N/A802.9 $10.57
7/15/20232,426,400 shares $24.19 million -7.1%N/A233.3 $9.97
6/30/20232,610,900 shares $26.61 million +8.7%N/A293.4 $10.19
6/15/20232,401,700 shares $24.02 million -7.8%N/A12008.5 $10.00
5/31/20232,603,800 shares $26.35 million +1.1%N/A26038 $10.12
5/15/20232,575,100 shares $27.30 million +4.0%N/A5150.2 $10.60
4/30/20232,476,500 shares $26.62 million -3.1%N/A1905 $10.75
4/15/20232,554,400 shares $28.18 million -3.0%N/A3193 $11.03
3/31/20232,634,500 shares $28.27 million +3.9%N/A26345 $10.73
3/15/20232,536,900 shares $26.97 million -1.6%N/A5073.8 $10.63
2/28/20232,578,400 shares $28.08 million +9.1%N/A12892 $10.89
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2/15/20232,363,900 shares $26.15 million -0.6%N/A4727.8 $11.06
1/31/20232,379,200 shares $26.77 million +9.6%N/A2162.9 $11.25
1/15/20232,170,100 shares $25.00 million +2.3%N/A3616.8 $11.52
12/30/20222,122,400 shares $22.83 million -0.1%N/A1326.5 $10.76
12/15/20222,125,400 shares $23.29 million -4.1%N/A1634.9 $10.96
11/30/20222,215,900 shares $23.98 million -4.3%N/A325.9 $10.82
11/15/20222,315,700 shares $24.59 million -32.0%N/A22.2 $10.62
10/31/20223,407,600 shares $32.71 million +6.3%N/A2839.7 $9.60
10/15/20223,205,700 shares $28.05 million -9.1%N/A2465.9 $8.75
9/30/20223,526,500 shares $32.48 million -5.8%N/A1137.6 $9.21
9/15/20223,745,000 shares $38.76 million +8.8%N/A6241.7 $10.35
8/31/20223,441,300 shares $35.68 million -7.9%N/A1376.5 $10.37
8/15/20223,736,000 shares $41.99 million +4.9%N/A3396.4 $11.24
7/31/20223,561,500 shares $39.85 million +22.7%N/A2543.9 $11.19
7/15/20222,902,400 shares $31.43 million -2.1%N/A1036.6 $10.83
6/30/20222,963,700 shares $32.07 million -1.5%N/A1058.5 $10.82
6/15/20223,008,200 shares $32.29 million +5.7%N/A6016.4 $10.73
5/31/20222,845,100 shares $33.00 million +1.4%N/A67.9 $11.60
5/15/20222,804,600 shares $31.13 million +1.7%N/A1649.8 $11.10
4/30/20222,758,700 shares $33.08 million -4.2%N/A1149.5 $11.99
4/15/20222,878,100 shares $35.69 million +6.1%N/A2213.9 $12.40
3/31/20222,712,400 shares $33.63 million -5.8%N/A3013.8 $12.40
3/15/20222,880,400 shares $34.56 million -23.1%N/A1800.3 $12.00
2/28/20223,744,400 shares $42.65 million +37.7%N/A1560.2 $11.39
2/15/20222,719,400 shares $30.78 million +48.0%N/A1295 $11.32
1/31/20221,836,900 shares $21.00 million -9.5%N/A496.5 $11.43
1/15/20222,029,900 shares $24.09 million +4.4%N/A1127.7 $11.87
12/31/20211,943,600 shares $23.13 million -0.6%N/A4859 $11.90
12/15/20211,956,100 shares $22.28 million +5.2%N/A3912.2 $11.39
11/30/20211,858,900 shares $21.15 million +1.7%N/A304.7 $11.38
11/15/20211,828,800 shares $22.03 million +3.7%N/A1306.3 $12.05
10/29/20211,764,400 shares $21.17 million +12.0%N/A2205.5 $12.00
10/15/20211,575,900 shares $19.05 million +10.7%N/A1313.3 $12.09
9/30/20211,424,200 shares $16.05 million +0.4%N/A678.2 $11.27
9/15/20211,418,100 shares $16.70 million +4.2%N/A1289.2 $11.77
8/31/20211,360,400 shares $15.99 million +6.8%N/A2267.3 $11.76
8/13/20211,273,400 shares $15.15 million +9.9%N/A1591.8 $11.90
7/30/20211,158,800 shares $13.62 million -1.4%N/A167.9 $11.75
7/15/20211,175,500 shares $13.78 million -2.9%N/A1469.4 $11.72
6/30/20211,210,100 shares $13.99 million -1.7%N/A711.8 $11.56
6/15/20211,231,400 shares $14.90 million +3.8%N/A1539.3 $12.10
5/28/20211,191,300 shares $14.17 million +1.7%N/A3971 $11.89
5/14/20211,170,900 shares $13.93 million -7.2%N/A403.8 $11.90
4/30/20211,262,000 shares $14.51 million -2.3%N/A323.6 $11.50
4/15/20211,291,000 shares $14.59 million -4.6%N/A6455 $11.30
3/31/20211,353,800 shares $14.58 million -16.5%N/A6769 $10.77
3/15/20211,620,800 shares $17.29 million -17.3%N/A900.4 $10.67
2/26/20211,959,000 shares $19.74 million -4.6%N/A1224.4 $10.07
2/12/20212,054,400 shares $20.88 million -2.2%N/A4108.8 $10.16
1/29/20212,101,200 shares $21.27 million -8.8%N/A1000.6 $10.12
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1/15/20212,523,700 shares $25.41 million -2.6%N/A2103.1 $10.07
12/31/20202,385,900 shares $24.34 million -5.5%N/A1835.3 $10.20
12/15/20202,523,700 shares $26.86 million -2.6%N/A2103.1 $10.64
11/30/20202,591,800 shares $26.44 million +11.4%N/A2591.8 $10.20
11/15/20202,326,400 shares $23.87 million +0.4%N/A56.3 $10.26
10/30/20202,317,600 shares $21.15 million +3.2%N/A772.5 $9.13
10/15/20202,246,400 shares $21.54 million -0.2%N/A5616 $9.59
9/30/20202,251,500 shares $21.16 million -19.8%N/A2501.7 $9.40
9/15/20202,808,700 shares $27.59 million -10.6%N/A877.7 $9.82
8/31/20203,141,600 shares $30.72 million -5.0%N/A311 $9.78
8/14/20203,307,600 shares $31.95 million -5.5%N/A918.8 $9.66
7/31/20203,498,800 shares $33.06 million -24.4%N/A1457.8 $9.45
7/15/20204,629,700 shares $45.14 million +11.0%N/A1286 $9.75
6/30/20204,171,700 shares $39.02 million +7.2%N/A1896.2 $9.35
6/15/20203,892,400 shares $39.97 million -0.9%N/A9731 $10.27
5/29/20203,928,300 shares $36.45 million -13.9%N/A1122.4 $9.28
5/15/20204,562,200 shares $38.64 million +38.4%N/A56.3 $8.47
4/30/20203,157,400 shares $27.44 million +0.8%N/A1754.1 $8.69
4/15/20203,131,500 shares $30.39 million +19.8%N/A396.4 $9.70
3/31/20202,614,700 shares $22.72 million +4.9%N/A311.3 $8.69
3/13/20202,492,400 shares $22.30 million -28.1%N/A519.3 $8.95
2/28/20203,466,700 shares $26.69 million -6.7%N/A866.7 $7.70
2/14/20203,714,800 shares $36.78 million -3.3%N/A7429.6 $9.90
1/31/20203,842,400 shares $42.54 million +34.0%N/A2955.7 $11.07
1/15/20202,472,000 shares $0.00 +373.7%N/A1301.1 $0.00
12/31/2019521,800 shares $5.88 million +24.7%N/A158.1 $11.26

PPRQF Short Interest - Frequently Asked Questions

What is Choice Properties Real Estate Investment Trust's current short interest?

Short interest is the volume of Choice Properties Real Estate Investment Trust shares that have been sold short but have not yet been closed out or covered. As of October 31st, investors have sold 1,580,700 shares of PPRQF short. Learn More on Choice Properties Real Estate Investment Trust's current short interest.

What is a good short interest ratio for Choice Properties Real Estate Investment Trust?

The short interest ratio, also known as the "days to cover ratio", is calculated by dividing the number of shares of a stock sold short divided by its average trading volume. A short interest ratio ranging between 1 and 4 generally indicates strong positive sentiment about a stock and a lack of short sellers. A short interest ratio of 10 or greater indicates strong pessimism about a stock. PPRQF shares currently have a short interest ratio of 15,807.0. Learn More on Choice Properties Real Estate Investment Trust's short interest ratio.

Is Choice Properties Real Estate Investment Trust's short interest increasing or decreasing?

Choice Properties Real Estate Investment Trust saw a decrease in short interest during the month of October. As of October 31st, there was short interest totaling 1,580,700 shares, a decrease of 3.4% from the previous total of 1,636,800 shares. Changes in short volume can be used to identify positive and negative investor sentiment. Investors that short sell a stock are betting that its price will decline in the future. An increase in short sale volume suggests bearish (negative) sentiment among investors. A decrease on short sale volume suggests bullish (positive) sentiment.

Which stocks are the most shorted right now?

As of the most recent reporting period, the following stocks had the largest short interest positions: Charter Communications, Inc. ($4.08 billion), AppLovin Co. ($3.18 billion), Paychex, Inc. ($2.64 billion), Nu Holdings Ltd. ($2.54 billion), International Paper ($2.46 billion), Cencora, Inc. ($2.27 billion), Moderna, Inc. ($1.87 billion), SoFi Technologies, Inc. ($1.81 billion), Lululemon Athletica Inc. ($1.75 billion), and Onsemi ($1.71 billion). View all of the most shorted stocks.

What does it mean to sell short Choice Properties Real Estate Investment Trust stock?

Short selling PPRQF is an investing strategy that aims to generate trading profit from Choice Properties Real Estate Investment Trust as its price is falling. To short a stock, an investor borrows shares, sells them and buys the shares back on the public market later to return it to the lender. Short sellers are betting that a stock will decline in price. If the stock does drop after selling, the short seller buys it back at a lower price and returns it to the lender. The difference between the sell price and the buy price is the trader's profit.

How does a short squeeze work against Choice Properties Real Estate Investment Trust?

A short squeeze for Choice Properties Real Estate Investment Trust occurs when it has a large amount of short interest and its stock increases in price. This forces short sellers to cover their short interest positions by buying actual shares of PPRQF, which in turn drives the price of the stock up even further.

How often is Choice Properties Real Estate Investment Trust's short interest reported?

Short interest is typically published by a stock exchange once per month. However, NASDAQ publishes a report for U.S. stocks, including PPRQF, twice per month. The most recent reporting period available is October, 31 2024.




This page (OTCMKTS:PPRQF) was last updated on 11/21/2024 by MarketBeat.com Staff
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