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
{C} {C} 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