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