Universe · entity
EDGAR LOMAX CO/VA
Institutional manager (13F) · CIK 1013538
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.4B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | TARGET CORP COM | $77M | 633,189 |
| 2 | FEDEX CORP COM | $76M | 214,030 |
| 3 | CHEVRON CORP NEW COM | $69M | 334,532 |
| 4 | MONDELEZ INTL INC CL A | $58M | 1,005,725 |
| 5 | UNITEDHEALTH GROUP INC | $52M | 191,299 |
| 6 | CVS HEALTH CORP COM | $51M | 715,960 |
| 7 | DUKE ENERGY CORP COM | $49M | 375,886 |
| 8 | EXXON MOBIL CORP. | $48M | 281,612 |
| 9 | NEXTERA ENERGY INC COM | $45M | 486,775 |
| 10 | SOUTHERN CO. | $43M | 448,070 |
| 11 | GENERAL DYNAMICS CORP COM | $42M | 123,724 |
| 12 | AT&T INC COM | $42M | 1,434,213 |
| 13 | PFIZER INC COM | $41M | 1,449,272 |
| 14 | US BANCORP DEL COM NEW | $40M | 768,266 |
| 15 | PROCTER & GAMBLE CO COM | $38M | 265,515 |
| 16 | JOHNSON & JOHNSON COM | $33M | 133,545 |
| 17 | BRISTOL-MYERS SQUIBB | $30M | 489,420 |
| 18 | COMCAST CORP NEW CL A | $29M | 1,025,335 |
| 19 | COCA COLA CO COM | $26M | 338,170 |
| 20 | CONOCOPHILLIPS COM | $25M | 186,855 |
| 21 | LOCKHEED MARTIN CORP COM | $23M | 37,555 |
| 22 | GILEAD SCIENCES INC COM | $22M | 156,705 |
| 23 | UNION PAC CORP COM | $21M | 88,405 |
| 24 | CHARLES SCHWAB CORP COM | $21M | 223,615 |
| 25 | TEXAS INSTRS INC COM | $21M | 107,500 |
| 26 | MORGAN STANLEY | $21M | 125,975 |
| 27 | JPMORGAN CHASE & CO. | $20M | 69,337 |
| 28 | PEPSICO INC COM | $20M | 130,085 |
| 29 | STARBUCKS CORP COM | $20M | 221,580 |
| 30 | BANK OF AMERICA CORP COM | $20M | 406,290 |
| 31 | AMERICAN INTERNATIONAL GROUP | $20M | 261,200 |
| 32 | WELLS FARGO & CO NEW | $19M | 239,785 |
| 33 | MERCK & CO. INC. | $18M | 152,850 |
| 34 | AMERICAN TOWER CORP NE COM | $18M | 106,530 |
| 35 | ABBOTT LABORATORIES | $18M | 174,605 |
| 36 | HOME DEPOT INC COM | $18M | 54,172 |
| 37 | AMGEN INC COM | $17M | 49,038 |
| 38 | METLIFE INC COM | $17M | 236,245 |
| 39 | ABBVIE INC. COM | $15M | 70,108 |
| 40 | ACCENTURE PLC CL A | $15M | 76,080 |
| 41 | MEDTRONIC PLC SHS | $15M | 171,745 |
| 42 | NIKE INC CL B | $13M | 240,460 |
| 43 | BANK NEW YORK MELLON COM | $12M | 100,204 |
| 44 | CITIGROUP INC COM | $11M | 99,830 |
| 45 | GOLDMAN SACHS GROUP COM | $11M | 13,282 |
| 46 | GENERAL MTRS CO COM | $11M | 142,890 |
| 47 | VERIZON COMMUNICATIONS COM | $8M | 150,511 |
| 48 | SIMON PPTY GROUP INC N COM | $6M | 33,035 |
| 49 | UNITED PARCEL SERVICE CL B | $6M | 61,875 |
| 50 | ISHARES TR S&P500/VALUE INDEX | $4M | 20,740 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.