Edgar Lomax Company

Edgar Lomax Company as of Sept. 30, 2012

Portfolio Holdings for Edgar Lomax Company

Edgar Lomax Company holds 0 positions in its portfolio as reported in the September 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        38,650 4,364,760 SH    Sole           3,256,410     1,108,350
ABBOTT LABORATORIES                 Com 002824100         7,110   103,701 SH    Sole              76,425        27,276
AMERICAN ELECTRIC POWER             Com 025537101        14,357   326,743 SH    Sole             234,125        92,618
ALLSTATE CORPORATION                Com 020002101        45,783 1,155,853 SH    Sole             849,850       306,003
APACHE CORP                         Com 037411105        13,819   159,812 SH    Sole             117,025        42,787
AVON PRODS INC                      Com 054303102         5,079   318,450 SH    Sole             240,950        77,500
AMERICAN EXPRESS                    Com 025816109        19,900   349,978 SH    Sole             258,625        91,353
BAXTER INTERNATIONAL                Com 071813109         4,644    77,061 SH    Sole              57,025        20,036
BAKER HUGHES INC                    Com 057224107        13,428   296,884 SH    Sole             217,250        79,634
BANK NEW YORK MELLON                Com 064058100        16,412   725,554 SH    Sole             531,200       194,354
BRISTOL-MYERS SQUIBB                Com 110122108         5,434   161,013 SH    Sole             117,175        43,838
BERKSHIRE HATHAWAY INC CL A         Com 084670108           265         2 SH    Sole                   2
CAPITAL ONE FINL CORP               Com 14040H105         5,136    90,088 SH    Sole              66,550        23,538
CONOCOPHILLIPS                      Com 20825C104        43,905   767,847 SH    Sole             561,300       206,547
CVS CAREMARK CORP                   Com 126650100         9,918   204,831 SH    Sole             148,575        56,256
CHEVRON CORP                        Com 166764100        45,999   394,637 SH    Sole             289,740       104,897
DUPONT                              Com 263534109        33,137   659,174 SH    Sole             484,708       174,466
DOW CHEMICAL                        Com 260543103        27,967   965,864 SH    Sole             699,475       266,389
EMERSON ELEC CO                     Com 291011104         5,946   123,180 SH    Sole              90,525        32,655
ENTERGY CORP                        Com 29364G103        31,151   449,510 SH    Sole             329,700       119,810
EXELON CORP                         Com 30161N101        27,772   780,539 SH    Sole             557,025       223,514
GENERAL DYNAMICS CORP               Com 369550108        19,530   295,376 SH    Sole             214,325        81,051
GENERAL ELECTRIC                    Com 369604103        37,167 1,636,590 SH    Sole           1,190,750       445,840
HALLIBURTON CO                      Com 406216101        14,097   418,434 SH    Sole             306,275       112,159
HEINZ                               Com 423074103         5,669   101,318 SH    Sole              73,500        27,818
HEWLETT PACKARD CO                  Com 428236103        26,618 1,560,262 SH    Sole           1,144,400       415,862
INTEL CORP                          Com 458140100        51,338 2,266,071 SH    Sole           1,660,800       605,271
JOHNSON & JOHNSON                   Com 478160104        23,502   341,056 SH    Sole             248,160        92,896
JPMORGAN CHASE & CO.                Com 46625H100        15,746   388,982 SH    Sole             286,000       102,982
KRAFT FOODS INC CL A                Com 50075N104         6,156   148,885 SH    Sole             108,111        40,774
COCA COLA CO                        Com 191216100        25,707   677,739 SH    Sole             500,450       177,289
LOCKHEED MARTIN CORP                Com 539830109        16,415   175,791 SH    Sole             128,200        47,591
LOWES COS INC                       Com 548661107        10,285   340,098 SH    Sole             250,025        90,073
MEDTRONIC INC                       Com 585055106        34,884   808,999 SH    Sole             595,425       213,574
3M CO                               Com 88579Y101         4,309    46,624 SH    Sole              34,600        12,024
ALTRIA GROUP INC                    Com 02209S103         4,535   135,810 SH    Sole             118,020        17,790
MERCK & CO. INC.                    Com 58933Y105        40,090   889,019 SH    Sole             646,914       242,105
MICROSOFT CORP                      Com 594918104        14,835   498,473 SH    Sole             366,525       131,948
OCCIDENTAL PETE CP                  Com 674599105        16,729   194,388 SH    Sole             142,750        51,638
PEPSICO INC                         Com 713448108         6,213    87,795 SH    Sole              64,525        23,270
PFIZER INC                          Com 717081103        49,289 1,983,471 SH    Sole           1,445,290       538,181
PROCTER & GAMBLE CO                 Com 742718109        23,897   344,536 SH    Sole             253,475        91,061
PHILLIPS 66                         Com 718546104        17,289   372,853 SH    Sole             279,998        92,855
RAYTHEON CO                         Com 755111507        42,148   737,365 SH    Sole             537,075       200,290
SOUTHERN CO.                        Com 842587107         5,619   121,904 SH    Sole              88,475        33,429
STANDARD & POOR'S DEPOSITARY RECEIP Com 78462F103           855     5,940 SH    Sole               5,940
AT^T INC                            Com 00206R102        50,509 1,339,760 SH    Sole             974,766       364,994
TIME WARNER INC                     Com 887317303        19,424   428,464 SH    Sole             309,375       119,089
TEXAS INSTRS INC                    Com 882508104        13,667   495,986 SH    Sole             363,000       132,986
UNITEDHEALTH GROUP INC              Com 91324P102        34,945   630,660 SH    Sole             463,825       166,835
US BANCORP                          Com 902973304        22,468   655,047 SH    Sole             475,400       179,647
VERIZON COMMUNICATIONS              Com 92343V104        26,126   573,309 SH    Sole             421,790       151,519
WALGREEN CO                         Com 931422109        44,431 1,219,283 SH    Sole             895,305       323,978
WILLIAMS COS.                       Com 969457100         6,746   192,895 SH    Sole             139,525        53,370
WALMART STORES INC                  Com 931142103        31,000   420,050 SH    Sole             310,125       109,925
WEYERHAEUSER CORP.                  Com 962166104         7,553   288,950 SH    Sole             215,550        73,400
EXXON MOBIL CORP.                   Com 30231G102        33,387   365,088 SH    Sole             268,700        96,388

                                                   $1,218,989