0001056958-20-000002.txt : 20200204 0001056958-20-000002.hdr.sgml : 20200204 20200204095652 ACCESSION NUMBER: 0001056958-20-000002 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20191231 FILED AS OF DATE: 20200204 DATE AS OF CHANGE: 20200204 EFFECTIVENESS DATE: 20200204 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SYMONS CAPITAL MANAGEMENT INC CENTRAL INDEX KEY: 0001056958 IRS NUMBER: 251430645 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-07040 FILM NUMBER: 20570910 BUSINESS ADDRESS: STREET 1: 650 WASHINGTON RD. STREET 2: SUITE 800 CITY: PITTSBURGH STATE: PA ZIP: 15228 BUSINESS PHONE: 4123447690 MAIL ADDRESS: STREET 1: 650 WASHINGTON RD. STREET 2: SUITE 800 CITY: PITTSBURGH STATE: PA ZIP: 15228 FORMER COMPANY: FORMER CONFORMED NAME: DOLLINS SYMONS MANAGEMENT INC DATE OF NAME CHANGE: 19990317 13F-HR 1 primary_doc.xml 13F-HR LIVE false true false 0001056958 XXXXXXXX 12-31-2019 12-31-2019 false SYMONS CAPITAL MANAGEMENT INC
650 Washington Rd. Suite 800 Pittsburgh PA 15228
13F HOLDINGS REPORT 028-07040 N
Frank Fournier COO 412-344-7690 Frank Fournier Pittsburgh PA 02-04-2020 0 69 192960
INFORMATION TABLE 2 infotable.xml Luckin Coffee, Inc. SPONSORED ADS 54951L109 12067 306600 SH SOLE 306600 0 0 PPL Corp. COM 69351T106 11327 315709 SH SOLE 315709 0 0 The AES Corp. COM 00130H105 9324 468546 SH SOLE 468546 0 0 Duke Energy Corp. COM 26441C204 8902 97605 SH SOLE 97605 0 0 Dominion Energy, Inc. COM 25746U109 8050 97206 SH SOLE 97206 0 0 Newell Brands Inc. COM 651229106 7171 373081 SH SOLE 373081 0 0 Clorox Company COM 189054109 7100 46238 SH SOLE 46238 0 0 Bristol-Myers Squibb Company COM 110122108 7073 110183 SH SOLE 110183 0 0 Alliant Energy Corp. COM 018802108 6865 125464 SH SOLE 125464 0 0 Consolidated Edison, Inc. COM 209115104 6228 68835 SH SOLE 68835 0 0 Coca Cola Company COM 191216100 6117 110506 SH SOLE 110506 0 0 Annaly Capital Management, Inc. COM 035710409 5950 631618 SH SOLE 631618 0 0 Conagra Brands Inc. COM 205887102 5580 162946 SH SOLE 162946 0 0 Molson Coors Brewing Co CL B 60871R209 5467 101432 SH SOLE 101432 0 0 Park Hotels & Resorts Inc. COM 700517105 5106 197349 SH SOLE 197349 0 0 Aqua America, Inc. COM 03836W103 5099 108624 SH SOLE 108624 0 0 Kroger Company COM 501044101 5039 173814 SH SOLE 173814 0 0 AT&T Inc. COM 00206R102 4687 119940 SH SOLE 119940 0 0 Discovery Communication, Inc. COM 25470F104 4539 138628 SH SOLE 138628 0 0 Quest Diagnostics Inc. COM 74834L100 4469 41846 SH SOLE 41846 0 0 Crown Castle Intl Corp REIT 22822V101 4315 30363 SH SOLE 30363 0 0 Kraft Heinz Company COM 500754106 4016 124983 SH SOLE 124983 0 0 The J. M. Smucker Company COM 832696405 3846 36925 SH SOLE 36925 0 0 The GEO Group, Inc. COM 36162J106 3674 221159 SH SOLE 221159 0 0 Host Hotels & Resorts, Inc. COM 44107P104 3672 197950 SH SOLE 197950 0 0 Hershey Company COM 427866108 3580 24361 SH SOLE 24361 0 0 Viacomcbs Inc Cl B CL B 92556H206 3521 83912 SH SOLE 83912 0 0 Public Storage COM 74460D109 3378 15861 SH SOLE 15861 0 0 Coty Inc. COM CL A 222070203 3211 285446 SH SOLE 285446 0 0 Archer-Daniels-Midland Co. COM 039483102 3043 65647 SH SOLE 65647 0 0 OUTFRONT Media Inc. COM 69007J106 2868 106952 SH SOLE 106952 0 0 Invesco Taxable TAXABLE MUN BD 46138G805 2436 76927 SH SOLE 76927 0 0 iShares 20 Treasury Bond fund 20 YR TR BD ETF 464287432 2145 15832 SH SOLE 15832 0 0 Consumer Staples Spdr Fund SBI CONS STPLS 81369Y308 1039 16501 SH SOLE 16501 0 0 Utilities Spdr fund SBI INT-UTILS 81369Y886 1008 15593 SH SOLE 15593 0 0 Ishares Tr Dow Jones Re US REAL ES ETF 464287739 988 10610 SH SOLE 10610 0 0 Tenet Healthcare Corp COM 88033G407 618 16241 SH SOLE 16241 0 0 Select Sector Spdr Tr Health Care Former SBI HEALTHCARE 81369Y209 587 5762 SH SOLE 5762 0 0 Avista Corp. COM 05379B107 521 10840 SH SOLE 10840 0 0 Hostess Brands Inc CL A 44109J106 520 35770 SH SOLE 35770 0 0 Greenlight Capital RE, LTD. CL A G4095J109 509 50319 SH SOLE 50319 0 0 Agree Realty Corp. COM 008492100 505 7200 SH SOLE 7200 0 0 Vaneck Vectors Etf Tr Mtg Reit Income MTG REIT INCOME 92189F452 494 20588 SH SOLE 20588 0 0 Vanguard Extended Duration Trs ETF EXTENDED DUR 921910709 488 3751 SH SOLE 3751 0 0 Pattern Energy Group Inc. CL A 70338P100 447 16691 SH SOLE 16691 0 0 Cott Corp. COM 22163N106 385 28177 SH SOLE 28177 0 0 Invesco Mortgage Capital Inc. REIT 46131B100 352 21163 SH SOLE 21163 0 0 South Jersey Industries, Inc. COM 838518108 350 10602 SH SOLE 10602 0 0 KKR Real Estate Finance Trust Inc. COM 48251K100 347 17014 SH SOLE 17014 0 0 Kite Realty Group Trust COM 49803T300 285 14603 SH SOLE 14603 0 0 Otter Tail Corp. COM 689648103 270 5270 SH SOLE 5270 0 0 Physicians Realty Trust COM 71943U104 267 14088 SH SOLE 14088 0 0 Papa Johns Internationl, Inc. COM 698813102 258 4082 SH SOLE 4082 0 0 United Natural Foods, Inc. COM 911163103 243 27712 SH SOLE 27712 0 0 Stamps.Com Inc. COM 852857200 240 2876 SH SOLE 2876 0 0 Sally Beauty Holdings Inc COM 79546E104 239 13096 SH SOLE 13096 0 0 Senior Housing Properties Trust REIT 81721M109 238 28184 SH SOLE 28184 0 0 Tanger Factory Outlet Centers, Inc. COM 875465106 224 15190 SH SOLE 15190 0 0 Chatham Lodging Trust COM 16208T102 222 12122 SH SOLE 12122 0 0 Corecivic, Inc. COM 21871N101 219 12617 SH SOLE 12617 0 0 WW International Inc. COM 98262P101 210 5488 SH SOLE 5488 0 0 Bristol Myers Squibb Co Contngnt Val Rt RIGHT 99/99/9999 110122157 113 37495 SH SOLE 37495 0 0 Upwork Inc Com COM 91688F104 175 16376 SH SOLE 16376 0 0 Houghton Mifflin Harcourt Company COM 44157R109 100 15971 SH SOLE 15971 0 0 Camping World Holdings, Inc. CL A 13462K109 172 11651 SH SOLE 11651 0 0 Braemar Hotels & Resorts Inc. COM 10482B101 103 11569 SH SOLE 11569 0 0 Uniti Group Inc Com REIT 91325V108 94 11514 SH SOLE 11514 0 0 Element Solutions, Inc. COM 28618M106 133 11345 SH SOLE 11345 0 0 Resideo Technologies, Inc. CL A 76118Y104 134 11196 SH SOLE 11196 0 0