Edgar Lomax Company

Edgar Lomax Company as of June 30, 2012

Portfolio Holdings for Edgar Lomax Company

Edgar Lomax Company holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

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                                                          Form 13F Information Table

        Name of Issuer         Title  CUSIP      Value     Shares/  SH/ Invstmt  Other     Voting Authority
                                                (X$1000)  PRN AMT  PRN  Dscretn  Mngrs  a)Sole b)Shared c)None

ALCOA                               Com 013817101        40,408 4,618,060 SH    Sole           3,322,710     1,295,350
ABBOTT LABORATORIES                 Com 002824100         6,866   106,495 SH    Sole              77,825        28,670
AMERICAN ELECTRIC POWER             Com 025537101        13,462   337,395 SH    Sole             238,625        98,770
ALLSTATE CORPORATION                Com 020002101        41,648 1,186,900 SH    Sole             864,950       321,950
APACHE CORP                         Com 037411105        14,346   163,225 SH    Sole             118,925        44,300
AVON PRODS INC                      Com 054303102         5,452   336,350 SH    Sole             245,650        90,700
AMERICAN EXPRESS                    Com 025816109        21,027   361,225 SH    Sole             263,125        98,100
BAXTER INTERNATIONAL                Com 071813109         4,229    79,575 SH    Sole              58,075        21,500
BAKER HUGHES INC                    Com 057224107        12,466   303,300 SH    Sole             220,900        82,400
BANK NEW YORK MELLON                Com 064058100        16,274   741,400 SH    Sole             540,200       201,200
BRISTOL-MYERS SQUIBB                Com 110122108         5,952   165,575 SH    Sole             119,475        46,100
BERKSHIRE HATHAWAY INC CL A         Com 084670108           250         2 SH    Sole                   2
CAPITAL ONE FINL CORP               Com 14040H105         5,078    92,900 SH    Sole              67,700        25,200
CONOCOPHILLIPS                      Com 20825C104        44,051   788,310 SH    Sole             571,200       217,110
CVS CAREMARK CORP                   Com 126650100         9,833   210,425 SH    Sole             151,225        59,200
CHEVRON CORP                        Com 166764100        42,747   405,185 SH    Sole             295,015       110,170
DUPONT                              Com 263534109        34,207   676,438 SH    Sole             492,808       183,630
DOW CHEMICAL                        Com 260543103        31,181   989,875 SH    Sole             711,875       278,000
EMERSON ELEC CO                     Com 291011104         5,889   126,425 SH    Sole              92,025        34,400
ENTERGY CORP                        Com 29364G103        32,377   476,910 SH    Sole             336,900       140,010
EXELON CORP                         Com 30161N101        30,229   803,535 SH    Sole             567,625       235,910
GENERAL DYNAMICS CORP               Com 369550108        19,972   302,785 SH    Sole             218,625        84,160
GENERAL ELECTRIC                    Com 369604103        35,090 1,683,800 SH    Sole           1,214,750       469,050
HALLIBURTON CO                      Com 406216101        12,135   427,425 SH    Sole             311,425       116,000
HEINZ                               Com 423074103         5,660   104,080 SH    Sole              74,800        29,280
HEWLETT PACKARD CO                  Com 428236103        32,154 1,598,890 SH    Sole           1,163,900       434,990
INTEL CORP                          Com 458140100        62,153 2,332,210 SH    Sole           1,691,100       641,110
JOHNSON & JOHNSON                   Com 478160104        23,710   350,950 SH    Sole             253,260        97,690
JPMORGAN CHASE & CO.                Com 46625H100        14,263   399,200 SH    Sole             290,900       108,300
KRAFT FOODS INC CL A                Com 50075N104         5,906   152,915 SH    Sole             110,011        42,904
COCA COLA CO                        Com 191216100        27,297   349,115 SH    Sole             254,425        94,690
LOCKHEED MARTIN CORP                Com 539830109        15,809   181,540 SH    Sole             130,800        50,740
LOWES COS INC                       Com 548661107         9,929   349,125 SH    Sole             254,325        94,800
MEDTRONIC INC                       Com 585055106        32,191   831,165 SH    Sole             605,575       225,590
3M CO                               Com 88579Y101         4,314    48,150 SH    Sole              35,150        13,000
ALTRIA GROUP INC                    Com 02209S103         5,062   146,510 SH    Sole             120,920        25,590
MERCK & CO. INC.                    Com 58933Y105        38,179   914,464 SH    Sole             659,814       254,650
MICROSOFT CORP                      Com 594918104        15,648   511,525 SH    Sole             372,725       138,800
OCCIDENTAL PETE CP                  Com 674599105        17,068   199,000 SH    Sole             145,200        53,800
PEPSICO INC                         Com 713448108         6,363    90,045 SH    Sole              65,575        24,470
PFIZER INC                          Com 717081103        46,995 2,043,253 SH    Sole           1,474,390       568,863
PROCTER & GAMBLE CO                 Com 742718109        21,661   353,655 SH    Sole             257,775        95,880
PHILLIPS 66                         Com 718546104        13,102   394,153 SH    Sole             285,598       108,555
RAYTHEON CO                         Com 755111507        42,961   759,155 SH    Sole             547,775       211,380
SOUTHERN CO.                        Com 842587107         5,803   125,345 SH    Sole              90,175        35,170
STANDARD & POOR'S DEPOSITARY RECEIP Com 78462F103           808     5,940 SH    Sole               5,940
AT^T INC                            Com 00206R102        50,365 1,412,356 SH    Sole           1,028,441       383,915
TIME WARNER INC                     Com 887317303        17,093   443,975 SH    Sole             315,975       128,000
TEXAS INSTRS INC                    Com 882508104        14,539   506,770 SH    Sole             369,200       137,570
UNITEDHEALTH GROUP INC              Com 91324P102        37,853   647,065 SH    Sole             471,675       175,390
US BANCORP                          Com 902973304        21,578   670,950 SH    Sole             483,650       187,300
VERIZON COMMUNICATIONS              Com 92343V104        26,152   588,490 SH    Sole             428,990       159,500
WALGREEN CO                         Com 931422109        36,958 1,249,415 SH    Sole             910,505       338,910
WILLIAMS COS.                       Com 969457100         5,677   196,975 SH    Sole             142,175        54,800
WALMART STORES INC                  Com 931142103        30,173   432,775 SH    Sole             315,375       117,400
WEYERHAEUSER CORP.                  Com 962166104         6,837   305,750 SH    Sole             219,950        85,800
EXXON MOBIL CORP.                   Com 30231G102        32,081   374,910 SH    Sole             273,150       101,760

                                                   $1,211,511