Edgar Lomax Company

Edgar Lomax Company as of March 31, 2013

Portfolio Holdings for Edgar Lomax Company

Edgar Lomax Company holds 0 positions in its portfolio as reported in the March 2013 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

APPLE INC                           Com 037833100        14,110    31,875 SH    Sole              23,550         8,325
ABBVIE INC                          Com 00287Y109         7,231   177,325 SH    Sole             131,575        45,750
AMERICAN ELECTRIC POWER             Com 025537101        20,383   419,143 SH    Sole             302,025       117,118
ALLSTATE CORPORATION                Com 020002101        41,074   837,053 SH    Sole             621,050       216,003
AMGEN INC                           Com 031162100        11,243   109,675 SH    Sole              81,475        28,200
APACHE CORP                         Com 037411105        13,053   169,162 SH    Sole             125,675        43,487
AMERICAN EXPRESS                    Com 025816109        20,520   304,178 SH    Sole             225,825        78,353
BAXTER INTERNATIONAL                Com 071813109        10,281   141,536 SH    Sole             105,000        36,536
BAKER HUGHES INC                    Com 057224107        15,122   325,834 SH    Sole             241,900        83,934
BANK NEW YORK MELLON                Com 064058100        19,042   680,304 SH    Sole             504,750       175,554
BRISTOL-MYERS SQUIBB                Com 110122108         7,456   181,013 SH    Sole             133,175        47,838
BERKSHIRE HATHAWAY INC CL A         Com 084670108           313         2 SH    Sole                   2
CAPITAL ONE FINL CORP               Com 14040H105         8,958   163,013 SH    Sole             121,075        41,938
CONOCOPHILLIPS                      Com 20825C104        24,253   403,547 SH    Sole             299,600       103,947
CISCO SYS INC                       Com 17275R102         8,051   385,300 SH    Sole             286,200        99,100
CVS CAREMARK CORP                   Com 126650100        35,945   653,656 SH    Sole             479,500       174,156
CHEVRON CORP                        Com 166764100        29,640   249,457 SH    Sole             185,010        64,447
DUPONT                              Com 263534109        35,475   721,624 SH    Sole             535,758       185,866
DISNEY WALT CO                      Com 254687106        19,365   340,925 SH    Sole             250,375        90,550
DOW CHEMICAL                        Com 260543103        16,177   508,059 SH    Sole             372,770       135,289
EMERSON ELEC CO                     Com 291011104         6,379   114,180 SH    Sole              84,525        29,655
EXELON CORP                         Com 30161N101         6,468   187,589 SH    Sole             135,275        52,314
FORD MTR CO                         Com 345370860        16,710 1,270,685 SH    Sole             957,085       313,600
FREEPORT-MCMORAN COP^G              Com 35671D857         5,673   171,375 SH    Sole             125,775        45,600
GENERAL DYNAMICS CORP               Com 369550108        23,912   339,126 SH    Sole             249,175        89,951
GENERAL ELECTRIC                    Com 369604103        56,974 2,464,290 SH    Sole           1,808,950       655,340
GOLDMAN SACHS GROUP                 Com 38141G104        10,880    73,935 SH    Sole              55,035        18,900
HALLIBURTON CO                      Com 406216101        15,503   383,634 SH    Sole             284,675        98,959
HEINZ                               Com 423074103         7,344   101,618 SH    Sole              74,600        27,018
HEWLETT PACKARD CO                  Com 428236103        36,021 1,510,952 SH    Sole           1,119,290       391,662
INTEL CORP                          Com 458140100        61,341 2,809,296 SH    Sole           2,075,925       733,371
JOHNSON & JOHNSON                   Com 478160104        28,090   344,531 SH    Sole             252,985        91,546
JPMORGAN CHASE & CO.                Com 46625H100        27,043   569,812 SH    Sole             422,930       146,882
LILLY ELI & CO                      Com 532457108        41,171   724,975 SH    Sole             532,375       192,600
LOCKHEED MARTIN CORP                Com 539830109        10,276   106,466 SH    Sole              78,225        28,241
LOWES COS INC                       Com 548661107        11,630   306,698 SH    Sole             227,625        79,073
MCDONALDS CORP                      Com 580135101        28,113   282,000 SH    Sole             209,300        72,700
MEDTRONIC INC                       Com 585055106        15,233   324,374 SH    Sole             240,800        83,574
ALTRIA GROUP INC                    Com 02209S103         4,495   130,710 SH    Sole             113,320        17,390
MERCK & CO. INC.                    Com 58933Y105        26,085   590,149 SH    Sole             433,744       156,405
MICROSOFT CORP                      Com 594918104        14,569   509,323 SH    Sole             378,275       131,048
NORFOLK SOUTHERN                    Com 655844108        23,373   303,225 SH    Sole             222,525        80,700
ORACLE CORP                         Com 68389X105        16,955   524,450 SH    Sole             388,950       135,500
OCCIDENTAL PETE CP                  Com 674599105        13,626   173,863 SH    Sole             129,025        44,838
PEPSICO INC                         Com 713448108         7,001    88,495 SH    Sole              65,725        22,770
PFIZER INC                          Com 717081103        41,288 1,430,621 SH    Sole           1,050,940       379,681
PROCTER & GAMBLE CO                 Com 742718109         6,869    89,136 SH    Sole              66,175        22,961
RAYTHEON CO                         Com 755111507        36,498   620,815 SH    Sole             455,675       165,140
SOUTHERN CO.                        Com 842587107         6,351   135,354 SH    Sole              98,925        36,429
STANDARD & POOR'S DEPOSITARY RECEIP Com 78462F103           931     5,940 SH    Sole               5,940
AT^T INC                            Com 00206R102        39,064 1,064,710 SH    Sole             782,016       282,694
TARGET CORP                         Com 87612E106        28,022   409,375 SH    Sole             303,625       105,750
UNITEDHEALTH GROUP INC              Com 91324P102        48,435   846,610 SH    Sole             628,275       218,335
UNION PAC CORP                      Com 907818108         4,569    32,085 SH    Sole              23,885         8,200
UNITED PARCEL SERVICE CL B          Com 911312106         7,059    82,175 SH    Sole              60,875        21,300
US BANCORP                          Com 902973304        17,907   527,772 SH    Sole             387,425       140,347
VERIZON COMMUNICATIONS              Com 92343V104        28,276   575,309 SH    Sole             427,090       148,219
WALGREEN CO                         Com 931422109        49,826 1,045,008 SH    Sole             775,180       269,828
WELLS FARGO & CO                    Com 949746101        33,309   900,500 SH    Sole             668,500       232,000
WILLIAMS COS.                       Com 969457100         6,703   178,945 SH    Sole             131,075        47,870
WALMART STORES INC                  Com 931142103        50,355   672,925 SH    Sole             499,000       173,925
EXXON MOBIL CORP.                   Com 30231G102        21,736   241,213 SH    Sole             179,025        62,188

                                                   $1,299,749