SKBA Capital Management

SKBA Capital Management as of Dec. 31, 2012

Portfolio Holdings for SKBA Capital Management

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

                {S}                                             {C}         {C}    {C}         {S}       {C}      {C}   {C}
                                                            VALUE   SH/P     S/P            Voting Authorit NONE
NAME OF ISSUER                  TITLE OF CLASS     CUSIP  x 1000    AMT      P/C    MANAGER   SOLE  SHARED SHARED
THE ADT CORPORATION             COM            00101J106     1844   39664   SH      SOLE     38214   0      1450
AGCO CORP                       COM            001084102      349    7100   SH      SOLE      7100   0         0
AT^T INC                        COM            00206R102     7952  235900   SH      SOLE    192500   0     43400
ABBOTT LABS                     COM            002824100    11033  168445   SH      SOLE    139745   0     28700
AMERICAN EXPRESS CO             COM            025816109     2037   35430   SH      SOLE     34230   0      1200
AMERICAN INTL GROUP INC         COM NEW        026874784     3815  108075   SH      SOLE    105875   0      2200
ANALOG DEVICES INC              COM            032654105    17430  414405   SH      SOLE    341305   0     73100
ARROW ELECTRS INC               COM            042735100     3278   86080   SH      SOLE     84880   0      1200
AUTOMATIC DATA PROCESSING IN    COM            053015103     9567  168050   SH      SOLE    134600   0     33450
AVNET INC                       COM            053807103     1044   34100   SH      SOLE     34000   0       100
BB^T CORP                       COM            054937107    15622  536665   SH      SOLE    452665   0     84000
BAXTER INTL INC                 COM            071813109     2882   43230   SH      SOLE     42830   0       400
BECTON DICKINSON & CO           COM            075887109    12475  159550   SH      SOLE    128850   0     30700
BERKSHIRE HATHAWAY INC DEL      CL B NEW       084670702     3220   35901   SH      SOLE     34492   0      1409
BRISTOL MYERS SQUIBB CO         COM            110122108      401   12300   SH      SOLE      9500   0      2800
BROOKFIELD ASSET MGMT INC       CL A LTD VT SH 112585104     5018  136910   SH      SOLE    134310   0      2600
BROOKFIELD OFFICE PPTYS INC     COM            112900105     9982  586850   SH      SOLE    467750   0    119100
CIT GROUP INC                   COM NEW        125581801     3596   93070   SH      SOLE     91370   0      1700
CME GROUP INC                   COM            12572Q105     8286  163530   SH      SOLE    135530   0     28000
CAPITAL ONE FINL CORP           COM            14040H105      695   12000   SH      SOLE     10900   0      1100
CARDINAL HEALTH INC             COM            14149Y108    11464  278385   SH      SOLE    232485   0     45900
CAREFUSION CORP                 COM            14170T101     3181  111302   SH      SOLE    110102   0      1200
CENOVUS ENERGY INC              COM            15135U109     5103  152150   SH      SOLE    120450   0     31700
CHEVRON CORP NEW                COM            166764100     9595   88730   SH      SOLE     70830   0     17900
CHUBB CORP                      COM            171232101    17846  236935   SH      SOLE    199235   0     37700
CISCO SYS INC                   COM            17275R102     3751  190920   SH      SOLE    187120   0      3800
COCA COLA CO                    COM            191216100     9255  255300   SH      SOLE    204600   0     50700
CONOCOPHILLIPS                  COM            20825C104    18716  322738   SH      SOLE    272178   0     50560
CORNING INC                     COM            219350105     2955  234165   SH      SOLE    228565   0      5600
CROWN HOLDINGS INC              COM            228368106      309    8400   SH      SOLE      8400   0         0
CULLEN FROST BANKERS INC        COM            229899109     9703  178800   SH      SOLE    145600   0     33200
DISCOVER FINL SVCS              COM            254709108      256    6650   SH      SOLE      6450   0       200
DOMINION RES INC VA NEW         COM            25746U109     5035   97200   SH      SOLE     78100   0     19100
DU PONT E I DE NEMOURS & CO     COM            263534109     9708  215845   SH      SOLE    181845   0     34000
EMERSON ELEC CO                 COM            291011104    14499  273775   SH      SOLE    226875   0     46900
ENCANA CORP                     COM            292505104     5482  277440   SH      SOLE    235540   0     41900
FIDELITY NATIONAL FINANCIAL     CL A           31620R105    10964  465580   SH      SOLE    389380   0     76200
FORD MTR CO DEL                 COM PAR $0.01  345370860     2893  223360   SH      SOLE    216460   0      6900
GENERAL ELECTRIC CO             COM            369604103    12059  574513   SH      SOLE    459013   0    115500
GENUINE PARTS CO                COM            372460105    11619  182740   SH      SOLE    151840   0     30900
HCC INS HLDGS INC               COM            404132102     3165   85050   SH      SOLE     82400   0      2650
HOME DEPOT INC                  COM            437076102     9948  160840   SH      SOLE    135340   0     25500
INTEL CORP                      COM            458140100    11440  554824   SH      SOLE    457775   0     97049
JPMORGAN CHASE & CO             COM            46625H100    12664  288032   SH      SOLE    232432   0     55600
JOHNSON & JOHNSON               COM            478160104    15100  215400   SH      SOLE    173600   0     41800
JOHNSON CTLS INC                COM            478366107     2642   86140   SH      SOLE     85240   0       900
KIMBERLY CLARK CORP             COM            494368103     5522   65400   SH      SOLE     53050   0     12350
LABORATORY CORP AMER HLDGS      COM NEW        50540R409     3934   45420   SH      SOLE     44520   0       900
LOEWS CORP                      COM            540424108     1868   45830   SH      SOLE     45330   0       500
M & T BK CORP                   COM            55261F104    15515  157560   SH      SOLE    129960   0     27600
MCGRAW HILL COS INC             COM            580645109     5505  100700   SH      SOLE     80800   0     19900
MCKESSON CORP                   COM            58155Q103     3271   33732   SH      SOLE     32832   0       900
MERCURY GENL CORP NEW           COM            589400100     6836  172230   SH      SOLE    139480   0     32750
METLIFE INC                     COM            59156R108      912   27700   SH      SOLE     26100   0      1600
MICROSOFT CORP                  COM            594918104     8583  321356   SH      SOLE    268656   0     52700
MOLSON COORS BREWING CO         CL B           60871R209     8502  198700   SH      SOLE    154900   0     43800
MYLAN INC                       COM            628530107      340   12400   SH      SOLE     12400   0         0
NORTHEAST UTILS                 COM            664397106     2808   71850   SH      SOLE     70350   0      1500
OCCIDENTAL PETE CORP DEL        COM            674599105     5023   65567   SH      SOLE     53467   0     12100
OWENS CORNING NEW               COM            690742101     3835  103675   SH      SOLE    100875   0      2800
PACCAR INC                      COM            693718108     3337   73810   SH      SOLE     71660   0      2150
PACKAGING CORP AMER             COM            695156109     7526  195625   SH      SOLE    161825   0     33800
PATTERSON COMPANIES INC         COM            703395103     2847   83160   SH      SOLE     82160   0      1000
PENNEY J C INC                  COM            708160106      323   16400   SH      SOLE     16400   0         0
PEPSICO INC                     COM            713448108     9767  142729   SH      SOLE    126829   0     15900
PFIZER INC                      COM            717081103    10537  420144   SH      SOLE    342807   0     77337
PHILLIPS 66                     COM            718546104     1701   32036   SH      SOLE     30656   0      1380
POTASH CORP SASK INC            COM            73755L107      543   13350   SH      SOLE     12450   0       900
RAYTHEON CO                     COM NEW        755111507      505    8765   SH      SOLE      6865   0      1900
SEALED AIR CORP NEW             COM            81211K100    11130  635610   SH      SOLE    542310   0     93300
SOUTHWESTERN ENERGY CO          COM            845467109     4249  127180   SH      SOLE    124230   0      2950
SPECTRA ENERGY CORP             COM            847560109    14034  512555   SH      SOLE    437955   0     74600
TELEFLEX INC                    COM            879369106    13164  184600   SH      SOLE    150350   0     34250
TIME WARNER INC                 COM NEW        887317303     7411  154952   SH      SOLE    129552   0     25400
US BANCORP DEL                  COM NEW        902973304    17587  550635   SH      SOLE    459535   0     91100
UNITED PARCEL SERVICE INC       CL B           911312106    11123  150860   SH      SOLE    123960   0     26900
VERIZON COMMUNICATIONS INC      COM            92343V104     7233  167150   SH      SOLE    134750   0     32400
VODAFONE GROUP PLC NEW          SPONS ADR NEW  92857W209     2775  110170   SH      SOLE    107470   0      2700
WASTE MGMT INC DEL              COM            94106L109     5164  153050   SH      SOLE    123250   0     29800
WELLS FARGO & CO NEW            COM            949746101    12342  361100   SH      SOLE    294500   0     66600
WEYERHAEUSER CO                 COM            962166104    10177  365800   SH      SOLE    294200   0     71600
WHIRLPOOL CORP                  COM            963320106    11688  114870   SH      SOLE     96720   0     18150
WHITING PETE CORP NEW           COM            966387102     1671   38520   SH      SOLE     37020   0      1500
COVIDIEN PLC                    SHS            G2554F113     3028   52442   SH      SOLE     51942   0       500
EATON CORP PLC                  SHS            G29183103    19036  351350   SH      SOLE    293150   0     58200
ENSCO PLC                       SHS CLASS A    G3157S106    10330  174250   SH      SOLE    139750   0     34500
NOBLE CORPORATION BAAR          NAMEN -AKT     H5833N103      867   24900   SH      SOLE     22300   0      2600
TE CONNECTIVITY LTD             REG SHS        H84989104    15635  421200   SH      SOLE    336250   0     84950
TRANSOCEAN LTD                  REG SHS        H8817H100      326    7300   SH      SOLE      7300   0         0
TYCO INTERNATIONAL LTD          SHS            H89128104     1850   63231   SH      SOLE     60331   0      2900
LYONDELLBASELL INDUSTRIES N     SHS - A -      N53745100     6428  112600   SH      SOLE     91800   0     20800