0001667731-18-000167.txt : 20180410
0001667731-18-000167.hdr.sgml : 20180410
20180410152239
ACCESSION NUMBER: 0001667731-18-000167
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20180331
FILED AS OF DATE: 20180410
DATE AS OF CHANGE: 20180410
EFFECTIVENESS DATE: 20180410
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: LUCAS CAPITAL MANAGEMENT
CENTRAL INDEX KEY: 0001280577
IRS NUMBER: 223423327
STATE OF INCORPORATION: NJ
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-11284
FILM NUMBER: 18747920
BUSINESS ADDRESS:
STREET 1: 2 BRIDGE AVE.
STREET 2: STE 632
CITY: RED BANK
STATE: NJ
ZIP: 07701
BUSINESS PHONE: 7327581004
MAIL ADDRESS:
STREET 1: 2 BRIDGE AVE.
STREET 2: STE 632
CITY: RED BANK
STATE: NJ
ZIP: 07701
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001280577
XXXXXXXX
03-31-2018
03-31-2018
false
LUCAS CAPITAL MANAGEMENT
2 Bridge Ave.
Ste 632
Red Bank
NJ
07701
13F HOLDINGS REPORT
028-11284
N
Brett Flynn
Chief Compliance Officer
732-758-1004
Brett T. Flynn
Red Bank
NJ
04-10-2018
0
96
103303
INFORMATION TABLE
2
infotable.xml
3M CO
Com
88579Y101
501
2352
SH
SOLE
501
0
0
ALLEGHANY CORP DEL
Com
017175100
427
720
SH
SOLE
427
0
0
ALPHABET INC CAP STK CL A
Com
02079K305
1620
1589
SH
SOLE
1620
0
0
ALPHABET INC CAP STK CL C
Com
02079K107
286
282
SH
SOLE
286
0
0
AMAZON COM INC
Com
023135106
3651
2597
SH
SOLE
3651
0
0
AMGEN INC
Com
031162100
285
1687
SH
SOLE
285
0
0
APPLE INC
Com
037833100
6042
35538
SH
SOLE
6042
0
0
AT&T INC
Com
00206R102
3719
105706
SH
SOLE
3719
0
0
B & G FOODS INC NEW
Com
05508R106
1484
61277
SH
SOLE
1484
0
0
BERKSHIRE HATHAWAY INC DEL
Com
084670702
341
1745
SH
SOLE
341
0
0
BLACKROCK INC
Com
09247X101
202
388
SH
SOLE
202
0
0
BLACKROCK STRATEGIC MUN TR
Com
09248T109
153
12000
SH
SOLE
153
0
0
BOEING CO
Com
097023105
334
1034
SH
SOLE
334
0
0
BRISTOL MYERS SQUIBB CO
Com
110122108
3776
62423
SH
SOLE
3776
0
0
BROOKFIELD INFRAST PARTNERS
Com
G16252101
2848
68992
SH
SOLE
2848
0
0
CELGENE CORP
Com
151020104
2680
30830
SH
SOLE
2680
0
0
CHEVRON CORP NEW
Com
166764100
232
2000
SH
SOLE
232
0
0
CONSOLIDATED EDISON INC
Com
209115104
361
4599
SH
SOLE
361
0
0
CONSUMER DISCRETIONARY SELECT SECTOR SPDR FUND
Com
81369Y407
681
6780
SH
SOLE
681
0
0
CONSUMER STAPLES SELECT SECTOR SPDR FUND
Com
81369Y308
311
5930
SH
SOLE
311
0
0
CONTINENTAL RESOURCES INC
Com
212015101
206
3500
SH
SOLE
206
0
0
CORNING INC
Com
219350105
288
10800
SH
SOLE
288
0
0
DEERE & CO
Com
244199105
232
1626
SH
SOLE
232
0
0
DIAGEO P L C
Com
25243Q205
225
1600
SH
SOLE
225
0
0
DOMINION ENERGY INC
Com
25746U109
212
3200
SH
SOLE
212
0
0
DORCHESTER MINERALS LP
Com
25820R105
606
36194
SH
SOLE
606
0
0
DOWDUPONT INC
Com
26078J100
3203
50285
SH
SOLE
3203
0
0
DUN & BRADSTREET CORP DEL NE
Com
26483E100
454
3950
SH
SOLE
454
0
0
EAGLE BANCORP INC MD
Com
268948106
753
12898
SH
SOLE
753
0
0
ENBRIDGE INC
Com
29250N105
244
7713
SH
SOLE
244
0
0
ENERGY SELECT SECTOR SPDR FUND
Com
81369Y506
686
10134
SH
SOLE
686
0
0
ENTERPRISE PRODS PARTNERS L
Com
293792107
724
29589
SH
SOLE
724
0
0
ETFMG PRIME CYBER SECURITY ETF
Com
26924G201
211
6055
SH
SOLE
211
0
0
EXXON MOBIL CORP
Com
30231G102
2528
33767
SH
SOLE
2528
0
0
FINANCIAL SELECT SECTOR SPDR FUND
Com
81369Y605
1006
36835
SH
SOLE
1006
0
0
GARTNER INC
Com
366651107
756
6500
SH
SOLE
756
0
0
GENERAL ELECTRIC CO
Com
369604103
895
69733
SH
SOLE
895
0
0
GILEAD SCIENCES INC
Com
375558103
221
3000
SH
SOLE
221
0
0
GOLDMAN SACHS GROUP INC
Com
38141G104
290
1150
SH
SOLE
290
0
0
HEALTH CARE SELECT SECTOR SPDR FUND
Com
81369Y209
328
4070
SH
SOLE
328
0
0
HESS MIDSTREAM PARTNERS LP
Com
428104103
347
18144
SH
SOLE
347
0
0
HOVNANIAN ENTERPRISES INC
Com
442487203
399
207779
SH
SOLE
399
0
0
ILLUMINA INC
Com
452327109
271
1176
SH
SOLE
271
0
0
INDUSTRIAL SELECT SECTOR SPDR FUND
Com
81369Y704
1356
18685
SH
SOLE
1356
0
0
INTERNATIONAL BUSINESS MACHS
Com
459200101
1158
7583
SH
SOLE
1158
0
0
INVESCO TR INVT GRADE NY MUNS
Com
46131T101
293
22435
SH
SOLE
293
0
0
ISHARES CORE S&P 500 ETF
Com
464287200
814
3097
SH
SOLE
814
0
0
ISHARES MSCI EAFE ETF
Com
464287465
377
5390
SH
SOLE
377
0
0
ISHARES NASDAQ BIOTECHNOLOGY INDEX FUND
Com
464287556
3118
30331
SH
SOLE
3118
0
0
ISHARES SILVER TRUST
Com
46428Q109
296
19000
SH
SOLE
296
0
0
ISHARES U.S. MEDICAL DEVICES ETF
Com
464288810
3424
18745
SH
SOLE
3424
0
0
JOHNSON & JOHNSON
Com
478160104
5223
40340
SH
SOLE
5223
0
0
JPMORGAN CHASE & CO
Com
46625H100
242
2191
SH
SOLE
242
0
0
LAKELAND BANCORP INC
Com
511637100
379
19252
SH
SOLE
379
0
0
MAGELLAN MIDSTREAM PRTNRS LP
Com
559080106
2944
48603
SH
SOLE
2944
0
0
MERCK & CO INC
Com
58933Y105
392
6985
SH
SOLE
392
0
0
MICROSOFT CORP
Com
594918104
327
3600
SH
SOLE
327
0
0
MPLX LP
Com
55336V100
1602
49931
SH
SOLE
1602
0
0
NETFLIX INC
Com
64110L106
323
1116
SH
SOLE
323
0
0
NORFOLK SOUTHERN CORP
Com
655844108
264
2050
SH
SOLE
264
0
0
NORTH EUROPEAN OIL RTY TR
Com
659310106
254
29898
SH
SOLE
254
0
0
NOVARTIS A G
Com
66987V109
203
2500
SH
SOLE
203
0
0
NUVEEN NEW JERSEY QULT MUN F
Com
67069Y102
324
24685
SH
SOLE
324
0
0
ONEOK INC NEW
Com
682680103
240
4235
SH
SOLE
240
0
0
PACIFIC COAST OIL TR
Com
694103102
49
24098
SH
SOLE
49
0
0
PEMBINA PIPELINE CORP
Com
706327103
454
14690
SH
SOLE
454
0
0
PFIZER INC
Com
717081103
349
9832
SH
SOLE
349
0
0
PIMCO CORPORATE & INCOME OPP
Com
72201B101
304
17700
SH
SOLE
304
0
0
PIONEER NAT RES CO
Com
723787107
793
4685
SH
SOLE
793
0
0
PNC FINL SVCS GROUP INC
Com
693475105
283
1900
SH
SOLE
283
0
0
POWERSHARES QQQ TRUST
Com
73935A104
2453
15554
SH
SOLE
2453
0
0
PROCTER AND GAMBLE CO
Com
742718109
1653
21151
SH
SOLE
1653
0
0
REAVES UTIL INCOME FD
Com
756158101
324
11487
SH
SOLE
324
0
0
ROYAL DUTCH SHELL PLC
Com
780259107
765
11225
SH
SOLE
765
0
0
SABINE ROYALTY TR
Com
785688102
2407
55282
SH
SOLE
2407
0
0
SAREPTA THERAPEUTICS INC
Com
803607100
377
5000
SH
SOLE
377
0
0
SHELL MIDSTREAM PARTNERS L P
Com
822634101
1115
54942
SH
SOLE
1115
0
0
SORRENTO THERAPEUTICS INC
Com
83587F202
137
23000
SH
SOLE
137
0
0
SPDR GOLD TRUST
Com
78463V107
2050
16167
SH
SOLE
2050
0
0
SPDR S&P REGIONAL BANKING ETF
Com
78464A698
1872
31529
SH
SOLE
1872
0
0
TECHNOLOGY SELECT SECTOR SPDR FUND
Com
81369Y803
524
8125
SH
SOLE
524
0
0
UNILEVER PLC
Com
904767704
2382
42280
SH
SOLE
2382
0
0
USA COMPRESSION PARTNERS LP
Com
90290N109
563
33110
SH
SOLE
563
0
0
UTILITIES SELECT SECTOR SPDR FUND
Com
81369Y886
675
13356
SH
SOLE
675
0
0
VANGUARD FTSE DEVELOPED MARKETS ETF
Com
921943858
3388
76344
SH
SOLE
3388
0
0
VANGUARD FTSE EMERGING MARKETS ETF
Com
922042858
1678
36391
SH
SOLE
1678
0
0
VANGUARD INFORMATION TECHNOLOGY INDEX FUND
Com
92204A702
2085
12383
SH
SOLE
2085
0
0
VANGUARD SMALL-CAP INDEX FUND
Com
922908751
1696
11693
SH
SOLE
1696
0
0
VANGUARD TELECOMMUNICATION SERVICES INDEX FUND
Com
92204A884
673
8002
SH
SOLE
673
0
0
VANGUARD TOTAL BOND MARKET INDEX FUND
Com
921937835
464
5819
SH
SOLE
464
0
0
VERIZON COMMUNICATIONS INC
Com
92343V104
730
15559
SH
SOLE
730
0
0
VERTEX PHARMACEUTICALS INC
Com
92532F100
316
2015
SH
SOLE
316
0
0
WESTERN GAS EQUITY PARTNERS LP
Com
95825R103
1795
55285
SH
SOLE
1795
0
0
WESTERN GAS PARTNERS LP
Com
958254104
285
6797
SH
SOLE
285
0
0
WILLIAMS COS INC DEL
Com
969457100
226
9284
SH
SOLE
226
0
0
WISDOMTREE EMERGING MARKETS HIGH DIVIDEND FUND
Com
97717W315
1866
40378
SH
SOLE
1866
0
0