SKBA Capital Management

SKBA Capital Management as of Sept. 30, 2012

Portfolio Holdings for SKBA Capital Management

SKBA Capital Management holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing

                {S}                                             {C}         {C}    {C}         {S}       {C}      {C}   {C}
                                                                VALUE    SH/P    S/P           Voting Authority   NONE
NAME OF ISSUER                  TITLE OF CLASS     CUSIP 	x 1000    AMT    P/C  MANAGER    SOLE  SHARED   SHARED
AGCO CORP                       COM             001084102          351     7400 SH    SOLE       7400    0           0
AT^T INC                        COM             00206R102         6737   178700 SH    SOLE     162000    0       16700
ABBOTT LABS                     COM             002824100        16431   239665 SH    SOLE     220265    0       19400
AMERICAN EXPRESS CO             COM             025816109         2046    35980 SH    SOLE      34430    0        1550
AMERICAN INTL GROUP INC         COM NEW         026874784         2736    83455 SH    SOLE      81655    0        1800
ANALOG DEVICES INC              COM             032654105        13888   354505 SH    SOLE     323305    0       31200
ARROW ELECTRS INC               COM             042735100         2844    84360 SH    SOLE      81860    0        2500
AUTOMATIC DATA PROCESSING IN    COM             053015103         8151   138950 SH    SOLE     125100    0       13850
AVNET INC                       COM             053807103          890    30600 SH    SOLE      30500    0         100
BB^T CORP                       COM             054937107        11565   348765 SH    SOLE     322065    0       26700
BAXTER INTL INC                 COM             071813109         2551    42330 SH    SOLE      41330    0        1000
BECTON DICKINSON & CO           COM             075887109         8347   106250 SH    SOLE      96150    0       10100
BERKSHIRE HATHAWAY INC DEL      CL B NEW        084670702         3678    41701 SH    SOLE      39792    0        1909
BRISTOL MYERS SQUIBB CO         COM             110122108          551    16340 SH    SOLE      11640    0        4700
BROOKFIELD ASSET MGMT INC       CL A LTD VT SH  112585104         4811   139410 SH    SOLE     135210    0        4200
BROOKFIELD OFFICE PPTYS INC     COM             112900105         7887   476250 SH    SOLE     429350    0       46900
CIT GROUP INC                   COM NEW         125581801         3598    91350 SH    SOLE      88650    0        2700
CME GROUP INC                   COM             12572Q105         7965   139030 SH    SOLE     125930    0       13100
CAPITAL ONE FINL CORP           COM             14040H105          718    12600 SH    SOLE      11500    0        1100
CARDINAL HEALTH INC             COM             14149Y108         9883   253605 SH    SOLE     233805    0       19800
CAREFUSION CORP                 COM             14170T101         3239   114102 SH    SOLE     111702    0        2400
CENOVUS ENERGY INC              COM             15135U109         4438   127350 SH    SOLE     112450    0       14900
CHEVRON CORP NEW                COM             166764100         8652    74230 SH    SOLE      66330    0        7900
CHUBB CORP                      COM             171232101        15388   201735 SH    SOLE     186235    0       15500
CISCO SYS INC                   COM             17275R102         3258   170600 SH    SOLE     165300    0        5300
COCA COLA CO                    COM             191216100        13135   346300 SH    SOLE     314800    0       31500
CONOCOPHILLIPS                  COM             20825C104        15801   276338 SH    SOLE     255278    0       21060
CORNING INC                     COM             219350105         2691   204635 SH    SOLE     197035    0        7600
CROWN HOLDINGS INC              COM             228368106          632    17200 SH    SOLE      17200    0           0
CULLEN FROST BANKERS INC        COM             229899109        11591   201820 SH    SOLE     185820    0       16000
DISCOVER FINL SVCS              COM             254709108          264     6650 SH    SOLE       6450    0         200
DOMINION RES INC VA NEW         COM             25746U109         4225    79800 SH    SOLE      71700    0        8100
DU PONT E I DE NEMOURS & CO     COM             263534109        16133   320925 SH    SOLE     294275    0       26650
EATON CORP                      COM             278058102        12548   265450 SH    SOLE     243550    0       21900
EMERSON ELEC CO                 COM             291011104         8210   170095 SH    SOLE     156195    0       13900
ENCANA CORP                     COM             292505104         4994   227840 SH    SOLE     211740    0       16100
FIDELITY NATIONAL FINANCIAL     CL A            31620R105         8549   399680 SH    SOLE     365480    0       34200
FORD MTR CO DEL                 COM PAR $0.01   345370860         2269   230160 SH    SOLE     220660    0        9500
GENERAL ELECTRIC CO             COM             369604103        14212   625782 SH    SOLE     565382    0       60400
GENUINE PARTS CO                COM             372460105         9413   154240 SH    SOLE     141440    0       12800
HCC INS HLDGS INC               COM             404132102         3262    96260 SH    SOLE      92510    0        3750
HOME DEPOT INC                  COM             437076102         8490   140640 SH    SOLE     129140    0       11500
INTEL CORP                      COM             458140100        10879   480185 SH    SOLE     437485    0       42700
JPMORGAN CHASE & CO             COM             46625H100         8421   208032 SH    SOLE     187932    0       20100
JOHNSON & JOHNSON               COM             478160104         9909   143800 SH    SOLE     131200    0       12600
JOHNSON CTLS INC                COM             478366107         2347    85640 SH    SOLE      83040    0        2600
KIMBERLY CLARK CORP             COM             494368103         4684    54600 SH    SOLE      49050    0        5550
LABORATORY CORP AMER HLDGS      COM NEW         50540R409         4246    45920 SH    SOLE      44520    0        1400
LOEWS CORP                      COM             540424108         1920    46530 SH    SOLE      45430    0        1100
M & T BK CORP                   COM             55261F104        15337   161170 SH    SOLE     148970    0       12200
MCDONALDS CORP                  COM             580135101         6386    69600 SH    SOLE      62000    0        7600
MCGRAW HILL COS INC             COM             580645109         4564    83600 SH    SOLE      74500    0        9100
MCKESSON CORP                   COM             58155Q103         2928    34032 SH    SOLE      32832    0        1200
MERCURY GENL CORP NEW           COM             589400100         7739   200230 SH    SOLE     183080    0       17150
METLIFE INC                     COM             59156R108          899    26100 SH    SOLE      24500    0        1600
MICROSOFT CORP                  COM             594918104         7611   255756 SH    SOLE     234156    0       21600
MYLAN INC                       COM             628530107          639    26200 SH    SOLE      26200    0           0
NORTHEAST UTILS                 COM             664397106         2685    70240 SH    SOLE      67840    0        2400
NUCOR CORP                      COM             670346105         3849   100600 SH    SOLE      89400    0       11200
OCCIDENTAL PETE CORP DEL        COM             674599105         3758    43667 SH    SOLE      39967    0        3700
OWENS CORNING NEW               COM             690742101         2906    86860 SH    SOLE      83260    0        3600
PACCAR INC                      COM             693718108         2994    74810 SH    SOLE      71660    0        3150
PACKAGING CORP AMER             COM             695156109         7713   212470 SH    SOLE     193270    0       19200
PATTERSON COMPANIES INC         COM             703395103         3416    99760 SH    SOLE      97460    0        2300
PENNEY J C INC                  COM             708160106          401    16500 SH    SOLE      16500    0           0
PEPSICO INC                     COM             713448108         7914   111829 SH    SOLE     104529    0        7300
PFIZER INC                      COM             717081103         8649   348038 SH    SOLE     317401    0       30637
PHILLIPS 66                     COM             718546104         1531    33016 SH    SOLE      31436    0        1580
POTASH CORP SASK INC            COM             73755L107          519    11950 SH    SOLE      11050    0         900
RAYTHEON CO                     COM NEW         755111507          507     8865 SH    SOLE       6965    0        1900
SOUTHWESTERN ENERGY CO          COM             845467109         2798    80450 SH    SOLE      77000    0        3450
SPECTRA ENERGY CORP             COM             847560109        10013   341040 SH    SOLE     314540    0       26500
TELEFLEX INC                    COM             879369106        10526   152900 SH    SOLE     139150    0       13750
TIME WARNER INC                 COM NEW         887317303         6231   137452 SH    SOLE     124452    0       13000
US BANCORP DEL                  COM NEW         902973304        15165   442135 SH    SOLE     406435    0       35700
UNITED PARCEL SERVICE INC       CL B            911312106         8614   120360 SH    SOLE     109860    0       10500
VERIZON COMMUNICATIONS INC      COM             92343V104         6209   136250 SH    SOLE     122950    0       13300
VODAFONE GROUP PLC NEW          SPONS ADR NEW   92857W209         2686    94250 SH    SOLE      90950    0        3300
WASTE MGMT INC DEL              COM             94106L109         4031   125650 SH    SOLE     113950    0       11700
WELLS FARGO & CO NEW            COM             949746101         9855   285400 SH    SOLE     261800    0       23600
WENDYS CO                       COM             95058W100          337    74400 SH    SOLE      74400    0           0
WEYERHAEUSER CO                 COM             962166104         8490   324800 SH    SOLE     295100    0       29700
WHIRLPOOL CORP                  COM             963320106         8322   100370 SH    SOLE      91820    0        8550
WHITING PETE CORP NEW           COM             966387102         1446    30520 SH    SOLE      28720    0        1800
COVIDIEN PLC                    SHS             G2554F113          975    16412 SH    SOLE      16412    0           0
ENSCO PLC                       SHS CLASS A     G3157S106         5895   108050 SH    SOLE      96250    0       11800
NOBLE CORPORATION BAAR          NAMEN -AKT      H5833N103          891    24900 SH    SOLE      22300    0        2600
TE CONNECTIVITY LTD             REG SHS         H84989104        11699   344000 SH    SOLE     309450    0       34550
TYCO INTERNATIONAL LTD          SHS             H89128104         3586    63731 SH    SOLE      60331    0        3400
LYONDELLBASELL INDUSTRIES N     SHS - A -       N53745100          672    13000 SH    SOLE      10700    0        2300