0001603937-22-000001.txt : 20220203
0001603937-22-000001.hdr.sgml : 20220203
20220202185505
ACCESSION NUMBER: 0001603937-22-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20211231
FILED AS OF DATE: 20220203
DATE AS OF CHANGE: 20220202
EFFECTIVENESS DATE: 20220203
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: SCHNIEDERS CAPITAL MANAGEMENT LLC
CENTRAL INDEX KEY: 0001603937
IRS NUMBER: 000000000
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-16113
FILM NUMBER: 22585434
BUSINESS ADDRESS:
STREET 1: 201 SOUTH LAKE AVENUE
STREET 2: SUITE 303
CITY: PASADENA
STATE: CA
ZIP: 91101
BUSINESS PHONE: 626 584 6168
MAIL ADDRESS:
STREET 1: 201 SOUTH LAKE AVENUE
STREET 2: SUITE 303
CITY: PASADENA
STATE: CA
ZIP: 91101
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SCHNIEDERS CAPITAL MANAGEMENT LLC
201 SOUTH LAKE AVENUE
SUITE 303
PASADENA
CA
91101
13F HOLDINGS REPORT
028-16113
N
SUE BRYANT
CHIEF COMPLIANCE OFFICER
626-584-6168
SUE BRYANT
PASADENA
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COM
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COM
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COM
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DEERE & CO
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ECOLAB INC
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COM
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QUALCOMM INC
COM
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REALTY INCOME CORP
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BLOCK INC
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COM
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COM NEW
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SH
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COM
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TARGET CORP
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312
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DJ INTERNT IDX
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AT&T INC
COM
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COM
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COM
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COM CL A
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374
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CANADIAN PAC RY LTD
COM
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395
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COM
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SOLE
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COM
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CISCO SYS INC
COM
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CL A
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COM
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COM
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COM
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DNP SELECT INCOME FD INC
COM
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130
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11929
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DOMINION ENERGY INC
COM
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33191
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DUKE ENERGY CORP NEW
COM NEW
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5255
50099
SH
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50099
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DUPONT DE NEMOURS INC
COM
26614N102
578
7150
SH
SOLE
7150
0
0
EPR PPTYS
COM SH BEN INT
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516
10854
SH
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0
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ETF MANAGERS TR
ETFMG ALTR HRVST
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297
26780
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SOLE
26780
0
0
EXXON MOBIL CORP
COM
30231G102
693
11319
SH
SOLE
11319
0
0
META PLATFORMS INC
CL A
30303M102
5970
17749
SH
SOLE
17749
0
0
FEDEX CORP
COM
31428X106
444
1718
SH
SOLE
1718
0
0
FIRST TR ENERGY INCOME & GRO
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33738G104
141
10166
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10166
0
0
GAMING & LEISURE PPTYS INC
COM
36467J108
869
17852
SH
SOLE
17852
0
0
GLOBAL MED REIT INC
COM NEW
37954A204
265
14950
SH
SOLE
14950
0
0
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S&P500 EQL WGT
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3274
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488
2264
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2264
0
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ISHARES SILVER TR
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46428Q109
256
11915
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SOLE
11915
0
0
JPMORGAN CHASE & CO
COM
46625H100
10536
66536
SH
SOLE
66536
0
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JD.COM INC
SPON ADR CL A
47215P106
218
3107
SH
SOLE
3107
0
0
KINDER MORGAN INC DEL
COM
49456B101
509
32117
SH
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32117
0
0
MGM GROWTH PPTYS LLC
CL A COM
55303A105
1661
40667
SH
SOLE
40667
0
0
MASTERCARD INCORPORATED
CL A
57636Q104
856
2381
SH
SOLE
2381
0
0
MEDICAL PPTYS TRUST INC
COM
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8045
340445
SH
SOLE
340445
0
0
MERCADOLIBRE INC
COM
58733R102
469
348
SH
SOLE
348
0
0
MERCK & CO INC
COM
58933Y105
2361
30810
SH
SOLE
30810
0
0
MID-AMER APT CMNTYS INC
COM
59522J103
235
1024
SH
SOLE
1024
0
0
NATIONAL HEALTH INVS INC
COM
63633D104
834
14509
SH
SOLE
14509
0
0
NEXTERA ENERGY INC
COM
65339F101
4456
47730
SH
SOLE
47730
0
0
NEXTERA ENERGY INC
UNIT 99/99/9999
65339F739
896
15475
SH
SOLE
15475
0
0
NEXPOINT RESIDENTIAL TR INC
COM
65341D102
958
11425
SH
SOLE
11425
0
0
NISOURCE INC
COM
65473P105
791
28663
SH
SOLE
28663
0
0
NVIDIA CORPORATION
COM
67066G104
1749
5947
SH
SOLE
5947
0
0
NUVEEN DOW 30 DYNMC OVERWRT
SHS
67075F105
1935
108880
SH
SOLE
108880
0
0
ORACLE CORP
COM
68389X105
2857
32756
SH
SOLE
32756
0
0
ORGANON & CO
COMMON STOCK
68622V106
314
10305
SH
SOLE
10305
0
0
OTIS WORLDWIDE CORP
COM
68902V107
221
2534
SH
SOLE
2534
0
0
OUTFRONT MEDIA INC
COM
69007J106
625
23300
SH
SOLE
23300
0
0
PPL CORP
COM
69351T106
1194
39709
SH
SOLE
39709
0
0
PAGERDUTY INC
COM
69553P100
2606
75000
SH
SOLE
75000
0
0
PAYPAL HLDGS INC
COM
70450Y103
2639
13996
SH
SOLE
13996
0
0
PREFERRED APT CMNTYS INC
COM
74039L103
328
18150
SH
SOLE
18150
0
0
PROLOGIS INC.
COM
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1212
7198
SH
SOLE
7198
0
0
QUEST DIAGNOSTICS INC
COM
74834L100
341
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SH
SOLE
1969
0
0
RYMAN HOSPITALITY PPTYS INC
COM
78377T107
257
2790
SH
SOLE
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0
0
SPDR S&P 500 ETF TR
TR UNIT
78462F103
12125
25527
SH
SOLE
25527
0
0
SPDR GOLD TR
GOLD SHS
78463V107
1557
9108
SH
SOLE
9108
0
0
SPDR SER TR
S&P DIVID ETF
78464A763
374
2896
SH
SOLE
2896
0
0
SPDR DOW JONES INDL AVERAGE
UT SER 1
78467X109
3713
10220
SH
SOLE
10220
0
0
SELECT SECTOR SPDR TR
FINANCIAL
81369Y605
949
24295
SH
SOLE
24295
0
0
SELECT SECTOR SPDR TR
TECHNOLOGY
81369Y803
9911
57004
SH
SOLE
57004
0
0
SELECT SECTOR SPDR TR
SBI INT-UTILS
81369Y886
214
2985
SH
SOLE
2985
0
0
STAG INDL INC
COM
85254J102
1851
38600
SH
SOLE
38600
0
0
TESLA INC
COM
88160R101
890
842
SH
SOLE
842
0
0
3M CO
COM
88579Y101
2529
14238
SH
SOLE
14238
0
0
UNITEDHEALTH GROUP INC
COM
91324P102
8242
16414
SH
SOLE
16414
0
0
VANECK ETF TRUST
SEMICONDUCTR ETF
92189F676
514
1664
SH
SOLE
1664
0
0
VANGUARD WORLD FDS
CONSUM STP ETF
92204A207
230
1150
SH
SOLE
1150
0
0
VANGUARD WORLD FDS
INF TECH ETF
92204A702
510
1112
SH
SOLE
1112
0
0
VANGUARD SCOTTSDALE FDS
SHRT TRM CORP BD
92206C409
439
5397
SH
SOLE
5397
0
0
VENTAS INC
COM
92276F100
792
15485
SH
SOLE
15485
0
0
VERIZON COMMUNICATIONS INC
COM
92343V104
7349
141441
SH
SOLE
141441
0
0
VIACOMCBS INC
CL B
92556H206
230
7608
SH
SOLE
7608
0
0
VIATRIS INC
COM
92556V106
175
12959
SH
SOLE
12959
0
0
VISA INC
COM CL A
92826C839
4963
22902
SH
SOLE
22902
0
0
WP CAREY INC
COM
92936U109
222
2707
SH
SOLE
2707
0
0
WASTE MGMT INC DEL
COM
94106L109
6011
36017
SH
SOLE
36017
0
0
WELLTOWER INC
COM
95040Q104
1112
12969
SH
SOLE
12969
0
0
WISDOMTREE TR
US HIGH DIVIDEND
97717W208
276
3340
SH
SOLE
3340
0
0
XCEL ENERGY INC
COM
98389B100
382
5648
SH
SOLE
5648
0
0
LINDE PLC
SHS
G5494J103
246
709
SH
SOLE
709
0
0