SYMONS CAPITAL MANAGEMENT INC - Q1 2015 holdings

$439 Million is the total value of SYMONS CAPITAL MANAGEMENT INC's 76 reported holdings in Q1 2015. The portfolio turnover from Q4 2014 to Q1 2015 was 26.6% .

 Value Shares↓ Weighting
PG SellProcter & Gamble Company$22,088,566,000
-10.3%
269,570
-0.3%
5.03%
-13.9%
CPB SellCampbell Soup Company$20,071,522,000
+5.5%
431,182
-0.3%
4.57%
+1.2%
CAG SellConagra Foods, Inc.$17,928,011,000
+0.2%
490,775
-0.5%
4.08%
-3.9%
ORAN SellOrangeadr$17,618,765,000
-6.3%
1,100,485
-1.0%
4.02%
-10.1%
HSY SellHershey Company$17,515,151,000
-3.1%
173,572
-0.2%
3.99%
-7.0%
ED SellConsolidated Edison, Inc.$16,059,470,000
-8.4%
263,270
-0.8%
3.66%
-12.0%
DUK SellDuke Energy Corp.$15,830,961,000
-8.2%
206,186
-0.1%
3.61%
-11.9%
ESRX SellExpress Scripts Holding Co.$12,818,098,000
+2.0%
147,725
-0.5%
2.92%
-2.1%
T SellAT&T Inc.$12,491,564,000
-3.2%
382,590
-0.4%
2.85%
-7.1%
NVO SellNovo Nordisk A/Sadr$12,195,718,000
+25.3%
228,427
-0.7%
2.78%
+20.2%
DLR SellDigital Realty Trust, Inc.$11,969,761,000
-1.4%
181,470
-0.9%
2.73%
-5.3%
PCG SellPG & E Corp.$11,718,121,000
-0.9%
220,805
-0.6%
2.67%
-4.9%
SJM SellThe J. M. Smucker Company$11,503,215,000
+13.9%
99,397
-0.6%
2.62%
+9.3%
ETR SellEntergy Corp.$11,091,221,000
-11.5%
143,131
-0.1%
2.53%
-15.0%
K SellKellogg Company$10,324,407,000
+0.5%
156,549
-0.2%
2.35%
-3.5%
KRFT SellKraft Foods Group$8,564,973,000
+37.8%
98,318
-0.9%
1.95%
+32.2%
SNH SellSenior Housing Properties Trustsh ben int$5,090,785,000
+0.1%
229,418
-0.2%
1.16%
-3.9%
INGR SellIngredion Inc.$4,987,562,000
-8.7%
64,091
-0.5%
1.14%
-12.4%
DWA SellDreamworks Animation SKG, Inc.$630,216,000
-3.3%
26,042
-10.8%
0.14%
-7.1%
ADC SellAgree Realty Corp.$539,455,000
-5.4%
16,362
-10.8%
0.12%
-8.9%
EE SellEl Paso Electric Company$521,254,000
-14.2%
13,490
-11.1%
0.12%
-17.4%
CHEF SellChefs' Warehouse, Inc.$480,787,000
-5.4%
21,435
-2.8%
0.11%
-9.1%
BGS SellB & G Foods, Inc.$478,385,000
-4.5%
16,255
-3.0%
0.11%
-8.4%
AWR SellAmerican States Water Company$473,295,000
-3.1%
11,865
-8.5%
0.11%
-6.9%
POST SellPost Holdings, Inc.$459,032,000
+8.5%
9,800
-3.0%
0.10%
+5.0%
LNCE SellSnyder's-Lance, Inc.$427,305,000
+1.6%
13,370
-2.9%
0.10%
-3.0%
CSV SellCarriage Services, Inc.$420,995,000
+1.4%
17,637
-11.0%
0.10%
-3.0%
NWE SellNorthwestern Corp.$406,921,000
-12.8%
7,565
-8.2%
0.09%
-16.2%
AVA SellAvista Corp$404,862,000
-11.5%
11,845
-8.4%
0.09%
-15.6%
NHI SellNational Health Investors, Inc.$386,649,000
-9.7%
5,445
-11.0%
0.09%
-13.7%
CWT SellCalifornia Water Service Group$381,253,000
-8.9%
15,555
-8.6%
0.09%
-12.1%
LG SellThe Laclede Group, Inc.$367,247,000
-14.4%
7,170
-11.1%
0.08%
-17.6%
EDE SellEmpire District Electric Company$342,392,000
-23.8%
13,795
-8.7%
0.08%
-27.1%
WRE SellWash Real Est Inv Tr Sbish ben int$334,876,000
-9.4%
12,120
-9.3%
0.08%
-13.6%
SJI SellSouth Jersey Industries, Inc.$330,022,000
-15.8%
6,080
-8.6%
0.08%
-19.4%
CALM SellCal-Maine Foods, Inc.$293,145,000
-8.5%
7,505
-8.6%
0.07%
-11.8%
NSR SellNeuStar, Inc.$273,159,000
-22.4%
11,095
-12.4%
0.06%
-26.2%
ENH SellEndurance Specialty Holding Ltd.$253,425,000
-3.2%
4,145
-5.3%
0.06%
-6.5%
AAPL SellApple Inc.$249,358,000
-48.7%
2,196
-51.5%
0.06%
-50.9%
DMND SellDiamond Foods, Inc.$229,293,000
+12.0%
7,040
-2.9%
0.05%
+6.1%
THS SellTreehouse Foods, Inc.$227,854,000
-9.1%
2,680
-8.5%
0.05%
-11.9%
MNTA SellMomenta Pharmaceuticals, Inc.$224,352,000
+12.5%
14,760
-10.9%
0.05%
+8.5%
SAFM SellSanderson Farms, Inc.$211,471,000
-8.1%
2,655
-3.1%
0.05%
-12.7%
TFM SellThe Fresh Market, Inc.$208,280,000
-4.2%
5,125
-2.8%
0.05%
-9.6%
DFODQ SellDean Foods Company$174,392,000
-22.0%
10,550
-8.6%
0.04%
-24.5%
IPI SellIntrepid Potash Inc.$152,287,000
-25.8%
13,185
-10.9%
0.04%
-28.6%
CDE SellCoeur Mining, Inc.$64,103,000
-9.4%
13,610
-1.7%
0.02%
-11.8%
MDR ExitMcDermott International, Inc.$0-23,020
-100.0%
-0.02%
CJES ExitC&J Energy Services, Inc.$0-11,405
-100.0%
-0.04%
LNN ExitLindsay Corp.$0-2,555
-100.0%
-0.05%
KNX ExitKnight Transportation, Inc.$0-7,815
-100.0%
-0.06%
CTB ExitCooper Tire & Rubber Company$0-9,379
-100.0%
-0.08%
CQB ExitChiquita Brands International, Inc.$0-25,570
-100.0%
-0.09%
CTWS ExitConnecticut Water Service, Inc.$0-11,507
-100.0%
-0.10%
ATNI ExitAtlantic Tele-Network, Inc.$0-6,424
-100.0%
-0.10%
DDC ExitDominion Diamond Corp.$0-27,250
-100.0%
-0.12%
CCJ ExitCameco Corp.$0-314,455
-100.0%
-1.22%
AMGN ExitAmgen Inc.$0-42,914
-100.0%
-1.62%
HAS ExitHasbro Inc.$0-177,700
-100.0%
-2.32%
CA ExitCA, Inc$0-352,360
-100.0%
-2.55%
ORCL ExitOracle Corporation$0-257,380
-100.0%
-2.75%
CHK ExitChesapeake Energy Corp.$0-599,800
-100.0%
-2.79%
PPL ExitPPL Corp.$0-448,943
-100.0%
-3.87%
PM ExitPhilip Morris International Inc.$0-238,651
-100.0%
-4.62%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2015-05-11
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
The Hershey Company34Q3 20215.5%
South Jersey Industries, Inc.31Q3 20210.3%
AVISTA CORP28Q3 20210.3%
Dominion Resources, Inc.27Q3 20215.8%
AT&T INC27Q3 20216.0%
Campbell Soup Company26Q3 20216.0%
Conagra Foods, Inc.26Q4 20195.1%
DUKE ENERGY CORP NEW25Q3 20215.0%
Molson Coors Brewing Company24Q1 20214.2%
Agree Realty Corp.23Q4 20190.3%

View SYMONS CAPITAL MANAGEMENT INC's complete holdings history.

Latest filings
TypeFiled
13F-HR2021-11-02
13F-HR2021-07-30
13F-HR2021-05-04
13F-HR2021-02-01
13F-HR2020-11-02
13F-HR2020-07-31
13F-HR2020-05-12
13F-HR2020-02-04
13F-HR2019-11-05
13F-HR2019-08-12

View SYMONS CAPITAL MANAGEMENT INC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (438819000.0 != 438822335000.0)

Export SYMONS CAPITAL MANAGEMENT INC's holdings