SKBA Capital Management

SKBA Capital Management as of Dec. 31, 2011

Portfolio Holdings for SKBA Capital Management

SKBA Capital Management holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

                {S}                                             {C}         {C}    {C}         {S}       {C}      {C}   {C}
                                                          VALUE     SH/P  S/P       VotingAuthori NONE
NAME OF ISSUER                  TITLE OF CLASS      CUSIP (X 1000)  AMT   P/MANAGER  SOLE SHARED SHARED
AGCO CORP                       COM             001084102     1403   32650SH  SOLE   30750   0     1900
AT^T INC                        COM             00206R102      850   28100SH  SOLE   24700   0     3400
ABBOTT LABS                     COM             002824100     8950  159165SH  SOLE  143465   0    15700
AMERICAN EXPRESS CO             COM             025816109     2184   46300SH  SOLE   43950   0     2350
ANALOG DEVICES INC              COM             032654105    11282  315325SH  SOLE  282725   0    32600
APPLIED MATLS INC               COM             038222105      376   35100SH  SOLE   35100   0        0
AUTOMATIC DATA PROCESSING IN    COM             053015103     8731  161650SH  SOLE  145700   0    15950
AVERY DENNISON CORP             COM             053611109     2109   73550SH  SOLE   66150   0     7400
AVNET INC                       COM             053807103      597   19200SH  SOLE   19200   0        0
BB^T CORP                       COM             054937107     1359   54000SH  SOLE   54000   0        0
BEMIS INC                       COM             081437105     2792   92820SH  SOLE   82820   0    10000
BERKSHIRE HATHAWAY INC DEL      CL B NEW        084670702     3612   47342SH  SOLE   44792   0     2550
BRISTOL MYERS SQUIBB CO         COM             110122108    15072  427705SH  SOLE  384405   0    43300
BROOKFIELD ASSET MGMT INC       CL A LTD VT SH  112585104     4010  145910SH  SOLE  139810   0     6100
BROOKFIELD OFFICE PPTYS INC     COM             112900105     7928  506900SH  SOLE  447600   0    59300
CIT GROUP INC                   COM NEW         125581801     2638   75650SH  SOLE   73450   0     2200
CAPITAL ONE FINL CORP           COM             14040H105      651   15400SH  SOLE   14200   0     1200
CARDINAL HEALTH INC             COM             14149Y108     9438  232405SH  SOLE  209705   0    22700
CAREFUSION CORP                 COM             14170T101     2039   80242SH  SOLE   79142   0     1100
CATERPILLAR INC DEL             COM             149123101     2600   28700SH  SOLE   25800   0     2900
CENOVUS ENERGY INC              COM             15135U109     2805   84500SH  SOLE   72300   0    12200
CHEVRON CORP NEW                COM             166764100     7693   72302SH  SOLE   63502   0     8800
CHUBB CORP                      COM             171232101    13514  195235SH  SOLE  177435   0    17800
CISCO SYS INC                   COM             17275R102     2591  143295SH  SOLE  137195   0     6100
COCA COLA CO                    COM             191216100     9904  141550SH  SOLE  126800   0    14750
CONOCOPHILLIPS                  COM             20825C104    10976  150618SH  SOLE  136658   0    13960
CROWN HOLDINGS INC              COM             228368106      890   26500SH  SOLE   24800   0     1700
CULLEN FROST BANKERS INC        COM             229899109     7416  140170SH  SOLE  127070   0    13100
DELL INC                        COM             24702R101      403   27529SH  SOLE   27529   0        0
DOMINION RES INC VA NEW         COM             25746U109     3312   62400SH  SOLE   54700   0     7700
DU PONT E I DE NEMOURS & CO     COM             263534109    12565  274475SH  SOLE  246975   0    27500
EMERSON ELEC CO                 COM             291011104     5798  124445SH  SOLE  113045   0    11400
ENCANA CORP                     COM             292505104     7970  430130SH  SOLE  390080   0    40050
FORD MTR CO DEL                 COM PAR $0.01   345370860     2418  224715SH  SOLE  214015   0    10700
GENERAL ELECTRIC CO             COM             369604103    10481  585182SH  SOLE  522382   0    62800
GENUINE PARTS CO                COM             372460105     9054  147940SH  SOLE  133340   0    14600
HCC INS HLDGS INC               COM             404132102     2438   88660SH  SOLE   84910   0     3750
HONDA MOTOR LTD                 AMERN SHS       438128308     1124   36800SH  SOLE   35700   0     1100
INTEL CORP                      COM             458140100     7892  325460SH  SOLE  287560   0    37900
JPMORGAN CHASE & CO             COM             46625H100     2515   75632SH  SOLE   67232   0     8400
KIMBERLY CLARK CORP             COM             494368103     3479   47300SH  SOLE   41750   0     5550
LABORATORY CORP AMER HLDGS      COM NEW         50540R409     3071   35720SH  SOLE   34120   0     1600
LOEWS CORP                      COM             540424108     2302   61145SH  SOLE   58245   0     2900
M & T BK CORP                   COM             55261F104    11265  147570SH  SOLE  134670   0    12900
MATTEL INC                      COM             577081102     3424  123350SH  SOLE  109750   0    13600
MCDONALDS CORP                  COM             580135101     7149   71250SH  SOLE   62350   0     8900
MCGRAW HILL COS INC             COM             580645109     3179   70700SH  SOLE   61600   0     9100
MCKESSON CORP                   COM             58155Q103     2326   29857SH  SOLE   28457   0     1400
MERCURY GENL CORP NEW           COM             589400100     9702  212675SH  SOLE  192825   0    19850
MICROSOFT CORP                  COM             594918104     6477  249486SH  SOLE  228286   0    21200
MYLAN INC                       COM             628530107      715   33300SH  SOLE   33300   0        0
NYSE EURONEXT                   COM             629491101     6576  251960SH  SOLE  228060   0    23900
NEWFIELD EXPL CO                COM             651290108      600   15900SH  SOLE   15900   0        0
NORTHEAST UTILS                 COM             664397106     1858   51500SH  SOLE   49300   0     2200
NUCOR CORP                      COM             670346105     6990  176645SH  SOLE  158245   0    18400
OCCIDENTAL PETE CORP DEL        COM             674599105     2695   28767SH  SOLE   25867   0     2900
OWENS CORNING NEW               COM             690742101     2388   83160SH  SOLE   79160   0     4000
PNC FINL SVCS GROUP INC         COM             693475105     9778  169550SH  SOLE  152850   0    16700
PACCAR INC                      COM             693718108     1941   51790SH  SOLE   49740   0     2050
PACKAGING CORP AMER             COM             695156109     5249  207970SH  SOLE  189970   0    18000
PATTERSON COMPANIES INC         COM             703395103     2915   98760SH  SOLE   94960   0     3800
PENNEY J C INC                  COM             708160106      619   17600SH  SOLE   17600   0        0
PEPSICO INC                     COM             713448108     3936   59329SH  SOLE   55429   0     3900
PFIZER INC                      COM             717081103     4480  207038SH  SOLE  184701   0    22337
POTASH CORP SASK INC            COM             73755L107      522   12650SH  SOLE   11750   0      900
QUEST DIAGNOSTICS INC           COM             74834L100     1727   29740SH  SOLE   28740   0     1000
RAYTHEON CO                     COM NEW         755111507      545   11265SH  SOLE    9865   0     1400
ROYAL DUTCH SHELL PLC           SPON ADR B      780259107     6252   82248SH  SOLE   74290   0     7958
SOUTHWESTERN ENERGY CO          COM             845467109     1862   58296SH  SOLE   54646   0     3650
SPECTRA ENERGY CORP             COM             847560109    13104  426160SH  SOLE  387160   0    39000
SYNOPSYS INC                    COM             871607107      681   25050SH  SOLE   23300   0     1750
TELEFLEX INC                    COM             879369106     8201  133800SH  SOLE  119550   0    14250
TIME WARNER INC                 COM NEW         887317303     5843  161682SH  SOLE  147482   0    14200
US BANCORP DEL                  COM NEW         902973304    12523  462955SH  SOLE  419255   0    43700
UNITED PARCEL SERVICE INC       CL B            911312106     8184  111820SH  SOLE  100620   0    11200
UNUM GROUP                      COM             91529Y106      725   34400SH  SOLE   33700   0      700
V F CORP                        COM             918204108      343    2700SH  SOLE    1800   0      900
VERIZON COMMUNICATIONS INC      COM             92343V104     5173  128950SH  SOLE  114550   0    14400
VODAFONE GROUP PLC NEW          SPONS ADR NEW   92857W209      676   24100SH  SOLE   22600   0     1500
WALGREEN CO                     COM             931422109     1162   35150SH  SOLE   33650   0     1500
WASTE MGMT INC DEL              COM             94106L109     9520  291030SH  SOLE  263830   0    27200
WENDYS CO                       COM             95058W100      650  121300SH  SOLE  120900   0      400
WEYERHAEUSER CO                 COM             962166104     6574  352100SH  SOLE  314600   0    37500
COVIDIEN PLC                    SHS             G2554F113      721   16012SH  SOLE   16012   0        0
NOBLE CORPORATION BAAR          NAMEN -AKT      H5833N103     1094   36200SH  SOLE   33700   0     2500
TE CONNECTIVITY LTD             REG SHS         H84989104     7111  230800SH  SOLE  202850   0    27950
TYCO INTERNATIONAL LTD          SHS             H89128104     3165   67756SH  SOLE   63556   0     4200