0000932024-20-000009.txt : 20200812
0000932024-20-000009.hdr.sgml : 20200812
20200812123919
ACCESSION NUMBER: 0000932024-20-000009
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20200630
FILED AS OF DATE: 20200812
DATE AS OF CHANGE: 20200812
EFFECTIVENESS DATE: 20200812
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: SKBA CAPITAL MANAGEMENT LLC
CENTRAL INDEX KEY: 0000932024
IRS NUMBER: 943323106
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-04530
FILM NUMBER: 201094873
BUSINESS ADDRESS:
STREET 1: 44 MONTGOMERY ST.
STREET 2: SUITE 3500
CITY: SAN FRANCISCO
STATE: CA
ZIP: 94104
BUSINESS PHONE: 4159897852
MAIL ADDRESS:
STREET 1: 44 MONTGOMERY ST.
STREET 2: SUITE 3500
CITY: SAN FRANCISCO
STATE: CA
ZIP: 94104
FORMER COMPANY:
FORMER CONFORMED NAME: SPARE KAPLAN BISCHEL & ASSOCIATES LLC/
DATE OF NAME CHANGE: 19991112
FORMER COMPANY:
FORMER CONFORMED NAME: SPARE KAPLAN BISCHEL & ASSOCIATES INC
DATE OF NAME CHANGE: 19990329
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0000932024
XXXXXXXX
06-30-2020
06-30-2020
false
SKBA CAPITAL MANAGEMENT LLC
44 Montgomery St.
Suite 3500
San Francisco
CA
94104
13F HOLDINGS REPORT
028-04530
N
Shelley Mann
SVP, Director of Trading
415-989-7852
Shelley Mann
San Francisco
CA
08-12-2020
1
69
514883
1
0001582681
028-20231
Alaska Permanent Fund Corp
INFORMATION TABLE
2
infotable.xml
3M CO
COM
88579Y101
4954
31760
SH
SOLE
31160
0
600
ABBVIE INC
COM
00287Y109
19647
200108
SH
SOLE
193765
0
6343
AIR LEASE CORP
CL A
00912X302
229
7810
SH
SOLE
4060
0
3750
AMERICAN INTL GROUP INC
COM NEW
026874784
14871
476945
SH
SOLE
466895
0
10050
AMERIPRISE FINL INC
COM
03076C106
12611
84050
SH
SOLE
81600
0
2450
AMGEN INC
COM
031162100
14305
60650
SH
SOLE
59850
0
800
APTIV PLC
SHS
G6095L109
312
4010
SH
SOLE
1660
0
2350
ASTRAZENECA PLC
SPONSORED ADR
046353108
8038
151970
SH
SOLE
151770
0
200
ATLAS CORP
SHS
Y0436Q109
7809
1027500
SH
SOLE
998900
0
28600
BK OF AMERICA CORP
COM
060505104
250
10530
SH
SOLE
5530
0
5000
BOK FINL CORP
COM NEW
05561Q201
5731
101540
SH
SOLE
101440
0
100
BROOKFIELD ASSET MGMT INC
CL A LTD VT SH
112585104
285
8670
SH
SOLE
5170
0
3500
CARDINAL HEALTH INC
COM
14149Y108
5501
105400
SH
SOLE
105400
0
0
CHEVRON CORP NEW
COM
166764100
8337
93430
SH
SOLE
88680
0
4750
CISCO SYS INC
COM
17275R102
17181
368380
SH
SOLE
363980
0
4400
CITIGROUP INC
COM NEW
172967424
14561
284950
SH
SOLE
281150
0
3800
COMCAST CORP NEW
CL A
20030N101
15410
395330
SH
SOLE
386680
0
8650
CONOCOPHILLIPS
COM
20825C104
12794
304480
SH
SOLE
298230
0
6250
CORNING INC
COM
219350105
321
12395
SH
SOLE
8595
0
3800
CORTEVA INC
COM
22052L104
10322
385280
SH
SOLE
373630
0
11650
CUMMINS INC
COM
231021106
18144
104720
SH
SOLE
101570
0
3150
CVS HEALTH CORP
COM
126650100
7647
117700
SH
SOLE
117700
0
0
DISCOVER FINL SVCS
COM
254709108
333
6650
SH
SOLE
6450
0
200
DISCOVERY INC
COM SER C
25470F302
207
10750
SH
SOLE
4200
0
6550
DISNEY WALT CO
COM DISNEY
254687106
240
2150
SH
SOLE
1100
0
1050
DOMINION ENERGY INC
COM
25746U109
9141
112600
SH
SOLE
108800
0
3800
EATON CORP PLC
SHS
G29183103
9435
107850
SH
SOLE
106250
0
1600
EQUINOR ASA
SPONSORED ADR
29446M102
10754
742700
SH
SOLE
742700
0
0
EXELON CORP
COM
30161N101
232
6400
SH
SOLE
1800
0
4600
FIDELITY NATIONAL FINANCIAL
FNF GROUP COM
31620R303
233
7600
SH
SOLE
3100
0
4500
GENERAL ELECTRIC CO
COM
369604103
73
10700
SH
SOLE
300
0
10400
GENUINE PARTS CO
COM
372460105
8213
94450
SH
SOLE
93250
0
1200
GILEAD SCIENCES INC
COM
375558103
8890
115550
SH
SOLE
112350
0
3200
INTEL CORP
COM
458140100
8383
140120
SH
SOLE
135620
0
4500
JPMORGAN CHASE & CO
COM
46625H100
629
6682
SH
SOLE
3282
0
3400
KIMBERLY CLARK CORP
COM
494368103
5438
38470
SH
SOLE
37770
0
700
KINDER MORGAN INC DEL
COM
49456B101
5363
353500
SH
SOLE
343800
0
9700
KONINKLIJKE PHILIPS N V
NY REG SH NEW
500472303
8188
174810
SH
SOLE
166460
0
8350
KONTOOR BRANDS INC
COM
50050N103
6099
342464
SH
SOLE
337064
0
5400
LEAR CORP
COM NEW
521865204
9049
83000
SH
SOLE
83000
0
0
MEDTRONIC PLC
SHS
G5960L103
8936
97446
SH
SOLE
94390
0
3056
METLIFE INC
COM
59156R108
12249
335400
SH
SOLE
328500
0
6900
MICROSOFT CORP
COM
594918104
661
3250
SH
SOLE
1000
0
2250
MOLSON COORS BEVERAGE CO
CL B
60871R209
7748
225500
SH
SOLE
222950
0
2550
MONDELEZ INTL INC
CL A
609207105
5982
117000
SH
SOLE
111300
0
5700
MORGAN STANLEY
COM NEW
617446448
5506
114000
SH
SOLE
108600
0
5400
NETAPP INC
COM
64110D104
10864
244850
SH
SOLE
239350
0
5500
NORTHERN TR CORP
COM
665859104
4764
60050
SH
SOLE
59250
0
800
NUTRIEN LTD
COM
67077M108
9913
308810
SH
SOLE
306770
0
2040
PACKAGING CORP AMER
COM
695156109
254
2550
SH
SOLE
1250
0
1300
PARKER HANNIFIN CORP
COM
701094104
5498
30000
SH
SOLE
30000
0
0
PEPSICO INC
COM
713448108
8596
64990
SH
SOLE
62490
0
2500
PHILLIPS 66
COM
718546104
7151
99460
SH
SOLE
95910
0
3550
PROSPERITY BANCSHARES INC
COM
743606105
10650
179350
SH
SOLE
176300
0
3050
RADIAN GROUP INC
COM
750236101
7940
511900
SH
SOLE
498300
0
13600
RAYTHEON TECHNOLOGIES CORP
COM
75513E101
7782
126297
SH
SOLE
120764
0
5533
REGENERON PHARMACEUTICALS
COM
75886F107
393
630
SH
SOLE
230
0
400
TARGET CORP
COM
87612E106
15939
132900
SH
SOLE
130850
0
2050
TE CONNECTIVITY LTD
REG SHS
H84989104
9440
115752
SH
SOLE
113602
0
2150
TEXAS INSTRS INC
COM
882508104
5745
45250
SH
SOLE
42700
0
2550
TRI POINTE GROUP INC
COM
87265H109
194
13200
SH
SOLE
1400
0
11800
UNION PAC CORP
COM
907818108
11309
66890
SH
SOLE
64790
0
2100
VALERO ENERGY CORP
COM
91913Y100
10538
179150
SH
SOLE
174200
0
4950
VEREIT INC
COM
92339V100
9197
1430330
SH
SOLE
1404730
0
25600
VERIZON COMMUNICATIONS INC
COM
92343V104
17519
317780
SH
SOLE
310030
0
7750
VICI PPTYS INC
COM
925652109
5356
265300
SH
SOLE
259200
0
6100
WALMART INC
COM
931142103
11559
96500
SH
SOLE
91800
0
4700
WESTROCK CO
COM
96145D105
4953
175250
SH
SOLE
171000
0
4250
WEYERHAEUSER CO MTN BE
COM NEW
962166104
8087
360050
SH
SOLE
348800
0
11250