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Institutional Investment Manager
SYMONS CAPITAL MANAGEMENT INC
SYMONS CAPITAL MANAGEMENT INC (CIK: 0001056958), located at 650 Washington Rd., Pittsburgh, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 59 holdings with a total value of $408,463,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 ICONIX BRAND GROUP INC 20,670 168,000 0.04%
2 MOMENTA PHARMACEUTICALS INC 14,460 169,000 0.04%
3 PETMED EXPRESS INC 10,365 210,000 0.05%
4 TREEHOUSE FOODS INC 2,405 210,000 0.05%
5 SANDERSON FARMS INC 2,315 223,000 0.05%
6 APPLE INC 2,100 237,000 0.06%
7 SEAWORLD ENTERTAINMENT INCORPORATED 17,975 242,000 0.06%
8 First Potomac Realty Trust 27,130 248,000 0.06%
9 ROYAL GOLD INC 3,247 252,000 0.06%
10 AIR METHODS CORP 8,300 262,000 0.06%
11 SOUTH JERSEY INDS INC COM 11,100 328,000 0.08%
12 CHESAPEAKE LODGING TRUSTSH BEN INT 14,460 331,000 0.08%
13 SONUS NETWORKS INC 42,700 332,000 0.08%
14 LL FLOORING HOLDINGS INC COM 16,890 332,000 0.08%
15 WASHINGTON REAL ESTATE INVT 11,285 351,000 0.09%
16 TA Associates Management LP 23,010 373,000 0.09%
17 STILLWATER MNG CO 28,735 384,000 0.09%
18 GEO GROUP INC NEW 16,530 393,000 0.10%
19 NATIONAL HEALTH INVS INC 5,125 402,000 0.10%
20 NEW JERSEY RES CORP 12,270 403,000 0.10%
21 NORTHWESTERN ENERGY GROUP INC COM NEW 7,238 416,000 0.10%
22 AMER STATES WTR CO 10,760 431,000 0.11%
23 AVISTA CORP 10,690 447,000 0.11%
24 POWERSHS DB US DOLLAR INDEX 18,580 459,000 0.11%
25 DINE BRANDS GLOBAL INC 6,087 482,000 0.12%
26 ISHARES RUSSELL 3000 ETF 3,923 503,000 0.12%
27 SILVER BAY RLTY TR CORP 28,845 506,000 0.12%
28 DEVRY EDUCATION 22,520 519,000 0.13%
29 Neustar Inc CL A 23,240 618,000 0.15%
30 OTTER TAIL CORP 18,084 625,000 0.15%
31 AGREE RLTY CORP COM 12,701 628,000 0.15%
32 OMEGA PROTEIN CORP COM 27,020 632,000 0.15%
33 EMPIRE DIST ELEC CO 20,045 684,000 0.17%
34 EL PASO ELECTRIC CO NEW 16,530 773,000 0.19%
35 DIGITAL RLTY TR INC 71,051 6,901,000 1.69%
36 VIACOM INC NEW 243,677 9,285,000 2.27%
37 GOLDCORP INC NEW 592,855 9,794,000 2.40%
38 DIAGEO P L C 86,448 10,032,000 2.46%
39 PROCTER AND GAMBLE CO 119,617 10,737,000 2.63%
40 STERICYCLE INC 143,225 11,474,000 2.81%
41 ALLIANT ENERGY CORP 304,942 11,684,000 2.86%
42 PG&E CORP 197,380 12,075,000 2.96%
43 SMUCKER J M CO 92,694 12,565,000 3.08%
44 MARRIOTT INTL INC NEW 209,929 14,134,000 3.46%
45 TELEFONAKTIEBOLAGET LM ERICS 1,985,140 14,313,000 3.50%
46 COCA COLA EUROPEAN PARTNERS 381,380 15,218,000 3.73%
47 HERSHEY CO 161,492 15,439,000 3.78%
48 AES CORP 1,277,505 16,416,000 4.02%
49 EXPRESS SCRIPTS HLDG CO 238,471 16,819,000 4.12%
50 CONSOLIDATED EDISON INC 239,730 18,052,000 4.42%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001056958-16-000020, filed 2016.11.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.