Symons Capital Management Inc (1056958) Portfolio


Number of Companies: 64
Inflow: $93,676 K
Outflow: $-88,133 K
Net Flow: $5,542 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
2998 8 Express Scripts Holding Co (ESRX) Health Care Supply Chain 235,506 New Holding 235,506 $75.80 $17,851 $17,851
439 11 Aes Corp (AES) Integrated Utilities 1,278,430 New Holding 1,278,430 $12.48 $15,954 $15,954
2761 11 Viacom Inc-Class B (VIAB) Entertainment Content 379,580 New Holding 379,580 $41.47 $15,741 $15,741
366 7 Ericsson Lm Tel (ERIC) Communications Equipment 1,955,400 New Holding 1,955,400 $7.68 $15,017 $15,017
2714 11 Staples Inc (SPLS) Other Spec Retail Discr 875,090 New Holding 875,090 $8.62 $7,543 $7,543
12 2 Alliant Energy Corp (LNT) Integrated Utilities 305,337 Added More 149,781 $39.70 $5,946 $12,121
2522 17 Diageo Plc (DEO) Beverages 206,404 Added More 49,176 $112.88 $5,550 $23,298
2663 9 Marriott International -Cl A (MAR) Lodging 211,004 Added More 77,383 $66.46 $5,142 $14,023
501 11 Otter Tail Corp (OTTR) Utility Networks 18,084 New Holding 18,084 $33.49 $605 $605
706 13 Omega Protein Corp (OME) Specialty Pharma 27,020 New Holding 27,020 $19.99 $540 $540
2599 33 Dineequity Inc (DIN) Restaurants 6,087 New Holding 6,087 $84.78 $516 $516
2956 32 Dominion Resources Incva (D) Integrated Utilities 253,692 Added More 6,531 $77.93 $508 $19,770
2966 39 Jm Smucker Cothe (SJM) Packaged Food 92,827 Added More 3,315 $152.41 $505 $14,147
203 14 Penn Real Estate Invest Tst (PEI) Reit 15,460 New Holding 15,460 $21.45 $331 $331
1735 11 Air Methods Corp (AIRM) Health Care Services 8,300 New Holding 8,300 $35.83 $297 $297
2680 50 Royal Gold Inc (RGLD) Precious Metal Mining 3,247 New Holding 3,247 $72.02 $233 $233
230 7 Bandg Foods Inc (BGS) Packaged Food 4,600 New Holding 4,600 $48.20 $221 $221
2887 35 Hershey Cothe (HSY) Packaged Food 159,743 Added More 1,805 $113.49 $204 $18,129
2742 5 United Natural Foods Inc (UNFI) Food Products Wholesalers 4,325 New Holding 4,325 $46.80 $202 $202
447 12 El Paso Electric Co (EE) Integrated Utilities 16,530 Added More 3,805 $47.27 $179 $781
2650 19 Entergy Corp (ETR) Integrated Utilities 272,276 Added More 1,815 $81.35 $147 $22,149
2280 12 Scientific Games Corp-A (SGMS) Casinos And Gaming 30,960 Added More 15,845 $9.19 $145 $284
434 5 Iconix Brand Group Inc (ICON) Apparel Footwear And Acc Design 20,670 New Holding 20,670 $6.76 $139 $139
317 25 Omega Healthcare Investors (OHI) Reit 140,120 Added More 1,825 $33.95 $61 $4,757
2718 31 Conagra Foods Inc (CAG) Packaged Food 441,798 Added More 835 $47.81 $39 $21,122
2777 25 P G And E Corp (PCG) Integrated Utilities 196,205 Added More 270 $63.92 $17 $12,541
561 2 Momenta Pharmaceuticals Inc (MNTA) Generic Pharma 15,050 Added More 835 $10.80 $9 $162
183 2 South Jersey Industries (SJI) Utility Networks 11,100 Added More 190 $31.62 $6 $350
112 2 Dreamworks Animation Skg-A (DWA) Entertainment Content 24,699 Added More 130 $40.87 $5 $1,009
563 13 Northwestern Corp (NWE) Integrated Utilities 7,053 Added More 45 $63.07 $2 $444
944 4 Petmed Express Inc (PETS) Ecommerce Discretionary 10,365 Added More 120 $18.76 $2 $194
867 10 Treehouse Foods Inc (THS) Packaged Food 2,405 Added More 15 $102.65 $1 $246
2322 70 Neustar Inc-Class A (NSR) Application Software 15,810 Added More 30 $23.51 $0 $371
1954 80 First Potomac Realty Trust (FPO) Reit 27,130 Added More 50 $9.20 $0 $249
467 2 Kb Home (KBH) Homebuilders 22,490 Added More 10 $15.21 $0 $342
3079 54 Apple Inc (AAPL) Communications Equipment 2,100 No Change 0 $95.60 $0 $200
353 8 Avista Corp (AVA) Integrated Utilities 10,690 Sold Some -15 $44.80 $-0 $478
2660 30 Sanderson Farms Inc (SAFM) Packaged Food 2,315 Sold Some -10 $86.64 $-0 $200
456 35 Silver Bay Realty Trust Corp (SBY) Reit 28,845 Sold Some -60 $17.03 $-1 $491
2402 11 Lumber Liquidators Holdings (LL) Home Products Stores 16,890 Sold Some -80 $15.42 $-1 $260
342 27 Natl Health Investors Inc (NHI) Reit 5,125 Sold Some -30 $75.09 $-2 $384
2060 28 American States Water Co (AWR) Utility Networks 10,760 Sold Some -55 $43.82 $-2 $471
1516 73 Washington Reit (WRE) Reit 11,285 Sold Some -125 $31.46 $-3 $355
423 7 New Jersey Resources Corp (NJR) Utility Networks 12,270 Sold Some -150 $38.55 $-5 $473
324 4 Empire District Electric Co (EDE) Utility Networks 20,045 Sold Some -270 $33.97 $-9 $680
2826 41 Consolidated Edison Inc (ED) Utility Networks 238,185 Sold Some -510 $80.44 $-41 $19,159
158 4 Campbell Soup Co (CPB) Packaged Food 375,072 Sold Some -1,195 $66.53 $-79 $24,953
2288 49 Rogers Communications Inc-B (RCI) Telecom Carriers 558,095 Sold Some -3,470 $40.40 $-140 $22,547
267 21 Agree Realty Corp (ADC) Reit 12,736 Sold Some -2,935 $48.24 $-141 $614
2249 5 Sturm Ruger And Co Inc (RGR) Defense Primes 0 Sold All -3,070 $64.01 $-196 $0
3062 63 Atandt Inc (T) Telecom Carriers 597,903 Sold Some -6,460 $43.21 $-279 $25,835
1923 10 Chefs Warehouse Incthe (CHEF) Food And Drug Stores 0 Sold All -19,274 $16.00 $-308 $0
2064 230 Trustmark Corp (TRMK) Banks 0 Sold All -12,770 $24.85 $-317 $0
1995 4 Lindsay Corp (LNN) Agricultural Machinery 0 Sold All -6,287 $67.86 $-426 $0
2013 2 Acco Brands Corp (ACCO) Office Supplies 0 Sold All -41,460 $10.33 $-428 $0
2147 29 California Water Service Grp (CWT) Utility Networks 0 Sold All -14,290 $34.93 $-499 $0
180 6 Snyders-Lance Inc (LNCE) Packaged Food 0 Sold All -20,205 $33.89 $-684 $0
3059 25 Pepsico Inc (PEP) Beverages 69,517 Sold Some -87,047 $105.94 $-9,221 $7,364
2725 116 Digital Realty Trust Inc (DLR) Reit 70,989 Sold Some -91,858 $108.99 $-10,011 $7,737
3077 22 Procter And Gamble Cothe (PG) Household Products 118,432 Sold Some -122,564 $84.67 $-10,377 $10,027
3041 130 Public Storage (PSA) Reit 0 Sold All -46,036 $255.59 $-11,766 $0
503 36 Senior Housing Prop Trust (SNH) Reit 0 Sold All -608,815 $20.83 $-12,681 $0
2607 17 Flowserve Corp (FLS) Flow Control Equipment 0 Sold All -321,717 $45.17 $-14,531 $0
2959 33 Duke Energy Corp (DUK) Integrated Utilities 0 Sold All -186,186 $85.79 $-15,972 $0