0001056958-20-000005.txt : 20200512 0001056958-20-000005.hdr.sgml : 20200512 20200512163056 ACCESSION NUMBER: 0001056958-20-000005 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200331 FILED AS OF DATE: 20200512 DATE AS OF CHANGE: 20200512 EFFECTIVENESS DATE: 20200512 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: 20869501 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 03-31-2020 03-31-2020 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 05-12-2020 0 89 170942
INFORMATION TABLE 2 infotable.xml Dominion Energy, Inc. COM 25746U109 8205 113657 SH SOLE 113657 0 0 Luckin Coffee, Inc. SPONSORED ADS 54951L109 8035 295494 SH SOLE 295494 0 0 Duke Energy Corp. COM 26441C204 7609 94081 SH SOLE 94081 0 0 PPL Corp. COM 69351T106 7522 304784 SH SOLE 304784 0 0 Gilead Sciences, Inc. COM 375558103 6834 91412 SH SOLE 91412 0 0 Agnico-Eagle Mines Ltd COM 008474108 6430 161600 SH SOLE 161600 0 0 The AES Corp. COM 00130H105 6158 452746 SH SOLE 452746 0 0 The J. M. Smucker Company COM 832696405 6082 54785 SH SOLE 54785 0 0 Bristol-Myers Squibb Company COM 110122108 5920 106219 SH SOLE 106219 0 0 LM Ericsson Telephone Company ADR B SEK 10 294821608 5718 706728 SH SOLE 706728 0 0 U S Bancorp Del New COM 902973304 5248 152326 SH SOLE 152326 0 0 AT&T Inc. COM 00206R102 4857 166595 SH SOLE 166595 0 0 Newell Brands Inc. COM 651229106 4799 361372 SH SOLE 361372 0 0 Coca Cola Company COM 191216100 4720 106670 SH SOLE 106670 0 0 Nutrien Ltd COM 67077M108 4371 128789 SH SOLE 128789 0 0 Crown Castle Intl Corp REIT 22822V101 4223 29237 SH SOLE 29237 0 0 Anheuser-Busch Inbev ADR SPONSORED ADR 03524A108 3899 88379 SH SOLE 88379 0 0 Molson Coors Brewing Co CL B 60871R209 3832 98235 SH SOLE 98235 0 0 Exxon Mobil Corp COM 30231G102 3330 87699 SH SOLE 87699 0 0 Consolidated Edison, Inc. COM 209115104 3320 42565 SH SOLE 42565 0 0 Quest Diagnostics Inc. COM 74834L100 3227 40180 SH SOLE 40180 0 0 Iron Mountain Inc. COM 46284V101 3222 135436 SH SOLE 135436 0 0 Berkshire Hathaway, Inc. (Class B) CL B 084670702 3207 17542 SH SOLE 17542 0 0 Hershey Company COM 427866108 3116 23508 SH SOLE 23508 0 0 Annaly Capital Management, Inc. COM 035710409 3083 608161 SH SOLE 608161 0 0 Waste Management Inc COM 94106L109 3054 33000 SH SOLE 33000 0 0 Public Storage COM 74460D109 3034 15280 SH SOLE 15280 0 0 Kraft Heinz Company COM 500754106 2993 120993 SH SOLE 120993 0 0 Hormel Foods Corp COM 440452100 2904 62282 SH SOLE 62282 0 0 Chevron Corp COM 166764100 2886 39827 SH SOLE 39827 0 0 The GEO Group, Inc. COM 36162J106 2605 214260 SH SOLE 214260 0 0 Invesco Taxable TAXABLE MUN BD 46138G805 2393 77438 SH SOLE 77438 0 0 Archer-Daniels-Midland Co. COM 039483102 2225 63251 SH SOLE 63251 0 0 Viacomcbs Inc Cl B CL B 92556H206 1834 130946 SH SOLE 130946 0 0 Schlumberger Ltd COM 806857108 1560 115666 SH SOLE 115666 0 0 Coty Inc. COM CL A 222070203 1428 276881 SH SOLE 276881 0 0 OUTFRONT Media Inc. COM 69007J106 1397 103647 SH SOLE 103647 0 0 iShares 20 Treasury Bond fund 20 YR TR BD ETF 464287432 1389 8417 SH SOLE 8417 0 0 Occidental Pete Corp COM 674599105 1014 87497 SH SOLE 87497 0 0 Select Sector Spdr Tr Health Care Former SBI HEALTHCARE 81369Y209 983 11100 SH SOLE 11100 0 0 Ishares Tr Dow Jones Re US REAL ES ETF 464287739 904 12994 SH SOLE 12994 0 0 Consumer Staples Spdr Fund SBI CONS STPLS 81369Y308 770 14135 SH SOLE 14135 0 0 Utilities Spdr fund SBI INT-UTILS 81369Y886 714 12876 SH SOLE 12876 0 0 Sector Spdr Engy Select ENERGY 81369Y506 574 19739 SH SOLE 19739 0 0 Avista Corp. COM 05379B107 458 10774 SH SOLE 10774 0 0 Brightview Hldgs Inc Com COM 10948C107 430 38894 SH SOLE 38894 0 0 Vaneck Vectors Etf Tr Semiconductor Et SEMI CONDUCTOR EFT 92189F676 416 3554 SH SOLE 3554 0 0 Hostess Brands Inc CL A 44109J106 379 35537 SH SOLE 35537 0 0 Stamps.Com Inc. COM 852857200 371 2855 SH SOLE 2855 0 0 financial Spdr fund SBI INT-FINL 81369Y605 356 17089 SH SOLE 17089 0 0 Greenlight Capital RE, LTD. CL A G4095J109 297 49955 SH SOLE 49955 0 0 Sprouts Farmers Mark COM 85208M102 285 15320 SH SOLE 15320 0 0 Valvoline Inc. COM 92047W101 284 21678 SH SOLE 21678 0 0 South Jersey Industries, Inc. COM 838518108 263 10533 SH SOLE 10533 0 0 Primo Water Corporation Canada Com Npv I COM 74167P108 254 28016 SH SOLE 28016 0 0 KKR Real Estate Finance Trust Inc. COM 48251K100 254 16898 SH SOLE 16898 0 0 Spartannash Co Com COM 847215100 253 17672 SH SOLE 17672 0 0 United Natural Foods, Inc. COM 911163103 253 27497 SH SOLE 27497 0 0 Vaneck Vectors Etf Tr Mtg Reit Income MTG REIT INCOME 92189F452 249 24961 SH SOLE 24961 0 0 Otter Tail Corp. COM 689648103 233 5235 SH SOLE 5235 0 0 Tenet Healthcare Corp COM 88033G407 232 16117 SH SOLE 16117 0 0 The Andersons, Inc. COM 034164103 231 12308 SH SOLE 12308 0 0 SPDR Barclays High Yield Bond BLOOMBERG BRCLYS 78468R622 217 2284 SH SOLE 2284 0 0 Papa Johns Internationl, Inc. COM 698813102 216 4054 SH SOLE 4054 0 0 Ishares Russell 2000 Index Fund ISHARES TR 464287655 216 1890 SH SOLE 1890 0 0 Trulieve Cannabis Corp Com Npv COM 89788C104 213 23269 SH SOLE 23269 0 0 Select Sector Spdr TRUST Technology Sele TECHNOLOGY 81369Y803 212 2641 SH SOLE 2641 0 0 Vandeck Gold Miners ETF GOLD MINERS ETF 92189F106 212 9212 SH SOLE 9212 0 0 Compania De Minas Buenaventura S.A Spon SPONSORED ADR 204448104 210 28799 SH SOLE 28799 0 0 California Water Service Group COM 130788102 207 4119 SH SOLE 4119 0 0 Antero Resources Corp Com COM 03674X106 100 140356 SH SOLE 140356 0 0 Bristol Myers Squibb Co Contngnt Val Rt RIGHT 99/99/9999 110122157 139 36858 SH SOLE 36858 0 0 United States Oil Fund Lp Units UNITS 91232N108 138 32835 SH SOLE 32835 0 0 Diversified Healthcare T COM SH BEN INT 25525P107 102 28184 SH SOLE 28184 0 0 Invesco Mortgage Capital Inc. REIT 46131B100 72 20999 SH SOLE 20999 0 0 Upwork Inc Com COM 91688F104 105 16300 SH SOLE 16300 0 0 Tanger Factory Outlet Centers, Inc. COM 875465106 76 15123 SH SOLE 15123 0 0 Kite Realty Group Trust COM 49803T300 137 14509 SH SOLE 14509 0 0 Chemours Co COM 163851108 125 14047 SH SOLE 14047 0 0 Physicians Realty Trust COM 71943U104 195 13994 SH SOLE 13994 0 0 Sally Beauty Holdings Inc COM 79546E104 106 13042 SH SOLE 13042 0 0 Corecivic, Inc. COM 21871N101 140 12545 SH SOLE 12545 0 0 Allscripts Healthcare Solutions, Inc. COM 01988P108 88 12455 SH SOLE 12455 0 0 Chatham Lodging Trust COM 16208T102 72 12065 SH SOLE 12065 0 0 Braemar Hotels & Resorts Inc. COM 10482B101 20 11569 SH SOLE 11569 0 0 Uniti Group Inc Com REIT 91325V108 70 11514 SH SOLE 11514 0 0 Element Solutions, Inc. COM 28618M106 94 11290 SH SOLE 11290 0 0 Apple Inc. COM 037833100 280 1105 SH SOLE 1105 0 0 Resideo Technologies, Inc. CL A 76118Y104 54 11146 SH SOLE 11146 0 0