Universe · entity

EDGAR LOMAX CO/VA

Institutional manager (13F) · CIK 1013538
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.4B
#IssuerValueShares
1TARGET CORP COM$77M633,189
2FEDEX CORP COM$76M214,030
3CHEVRON CORP NEW COM$69M334,532
4MONDELEZ INTL INC CL A$58M1,005,725
5UNITEDHEALTH GROUP INC$52M191,299
6CVS HEALTH CORP COM$51M715,960
7DUKE ENERGY CORP COM$49M375,886
8EXXON MOBIL CORP.$48M281,612
9NEXTERA ENERGY INC COM$45M486,775
10SOUTHERN CO.$43M448,070
11GENERAL DYNAMICS CORP COM$42M123,724
12AT&T INC COM$42M1,434,213
13PFIZER INC COM$41M1,449,272
14US BANCORP DEL COM NEW$40M768,266
15PROCTER & GAMBLE CO COM$38M265,515
16JOHNSON & JOHNSON COM$33M133,545
17BRISTOL-MYERS SQUIBB$30M489,420
18COMCAST CORP NEW CL A$29M1,025,335
19COCA COLA CO COM$26M338,170
20CONOCOPHILLIPS COM$25M186,855
21LOCKHEED MARTIN CORP COM$23M37,555
22GILEAD SCIENCES INC COM$22M156,705
23UNION PAC CORP COM$21M88,405
24CHARLES SCHWAB CORP COM$21M223,615
25TEXAS INSTRS INC COM$21M107,500
26MORGAN STANLEY$21M125,975
27JPMORGAN CHASE & CO.$20M69,337
28PEPSICO INC COM$20M130,085
29STARBUCKS CORP COM$20M221,580
30BANK OF AMERICA CORP COM$20M406,290
31AMERICAN INTERNATIONAL GROUP$20M261,200
32WELLS FARGO & CO NEW$19M239,785
33MERCK & CO. INC.$18M152,850
34AMERICAN TOWER CORP NE COM$18M106,530
35ABBOTT LABORATORIES$18M174,605
36HOME DEPOT INC COM$18M54,172
37AMGEN INC COM$17M49,038
38METLIFE INC COM$17M236,245
39ABBVIE INC. COM$15M70,108
40ACCENTURE PLC CL A$15M76,080
41MEDTRONIC PLC SHS$15M171,745
42NIKE INC CL B$13M240,460
43BANK NEW YORK MELLON COM$12M100,204
44CITIGROUP INC COM$11M99,830
45GOLDMAN SACHS GROUP COM$11M13,282
46GENERAL MTRS CO COM$11M142,890
47VERIZON COMMUNICATIONS COM$8M150,511
48SIMON PPTY GROUP INC N COM$6M33,035
49UNITED PARCEL SERVICE CL B$6M61,875
50ISHARES TR S&P500/VALUE INDEX$4M20,740
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.