0001420506-19-000980.txt : 20191030
0001420506-19-000980.hdr.sgml : 20191030
20191030165632
ACCESSION NUMBER: 0001420506-19-000980
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20190930
FILED AS OF DATE: 20191030
DATE AS OF CHANGE: 20191030
EFFECTIVENESS DATE: 20191030
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: CAPITAL MANAGEMENT CORP /VA
CENTRAL INDEX KEY: 0001074273
IRS NUMBER: 541048352
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-07432
FILM NUMBER: 191180912
BUSINESS ADDRESS:
STREET 1: 4101 COX ROAD
STREET 2: SUITE 110
CITY: GLEN ALLEN
STATE: VA
ZIP: 23060
BUSINESS PHONE: 8042704000
MAIL ADDRESS:
STREET 1: 4101 COX ROAD
STREET 2: SUITE 110
CITY: GLEN ALLEN
STATE: VA
ZIP: 23060
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001074273
XXXXXXXX
09-30-2019
09-30-2019
false
CAPITAL MANAGEMENT CORP /VA
4101 COX ROAD
SUITE 110
GLEN ALLEN
VA
23060
13F HOLDINGS REPORT
028-07432
N
Pamela Simms
Operations Manager
8042704000
Pamela Simms, Operations Manager
GLEN ALLEN
VA
10-30-2019
0
81
365161
false
INFORMATION TABLE
2
Form13F_InfoTable.xml
INFORMATION TABLE FOR CAPITAL MANAGEMENT CORP /VA
ABB LTD
SPONSORED ADR
000375204
6962
353915
SH
SOLE
333915
0
20000
ACME UTD CORP
COM
004816104
5529
276125
SH
SOLE
263625
0
12500
AIR LEASE CORP
CL A
00912X302
6562
156910
SH
SOLE
153910
0
3000
ALBEMARLE CORP
COM
012653101
17404
250340
SH
SOLE
238415
0
11925
ALPHABET INC
CAP STK CL A
02079K305
5797
4747
SH
SOLE
4600
0
147
ALTRIA GROUP INC
COM
02209S103
415
10141
SH
SOLE
10141
0
0
AMERICAN AIRLS GROUP INC
COM
02376R102
2277
84419
SH
SOLE
76669
0
7750
AMGEN INC
COM
031162100
8672
44816
SH
SOLE
43466
0
1350
ANIKA THERAPEUTICS INC
COM
035255108
2681
48842
SH
SOLE
46992
0
1850
APPLE INC
COM
037833100
319
1425
SH
SOLE
1425
0
0
APPLIED MATLS INC
COM
038222105
7148
143246
SH
SOLE
139996
0
3250
AT&T INC
COM
00206R102
7257
191780
SH
SOLE
179780
0
12000
B & G FOODS INC NEW
COM
05508R106
5360
283430
SH
SOLE
268980
0
14450
BAXTER INTL INC
COM
071813109
381
4358
SH
SOLE
4358
0
0
BB&T CORP
COM
054937107
230
4305
SH
SOLE
4305
0
0
CARMAX INC
COM
143130102
209
2377
SH
SOLE
2377
0
0
CHOICE HOTELS INTL INC
COM
169905106
222
2500
SH
SOLE
2500
0
0
DELTA AIR LINES INC DEL
COM NEW
247361702
8597
149251
SH
SOLE
141751
0
7500
DISCOVERY INC
COM SER C
25470F302
1563
63504
SH
SOLE
55454
0
8050
DISNEY WALT CO
COM DISNEY
254687106
2047
15709
SH
SOLE
14559
0
1150
DOMINION ENERGY INC
COM
25746U109
222
2745
SH
SOLE
2745
0
0
ECOLAB INC
COM
278865100
264
1335
SH
SOLE
1335
0
0
ENERSYS
COM
29275Y102
1755
26621
SH
SOLE
24471
0
2150
EXELIXIS INC
COM
30161Q104
3555
200995
SH
SOLE
193495
0
7500
EXTRA SPACE STORAGE INC
COM
30225T102
1034
8850
SH
SOLE
8850
0
0
FASTENAL CO
COM
311900104
11392
348684
SH
SOLE
336684
0
12000
GENTEX CORP
COM
371901109
7981
289843
SH
SOLE
285093
0
4750
GILEAD SCIENCES INC
COM
375558103
8717
137531
SH
SOLE
130031
0
7500
GOLDMAN SACHS GROUP INC
COM
38141G104
10070
48592
SH
SOLE
46092
0
2500
GREENHILL & CO INC
COM
395259104
15944
1215243
SH
SOLE
1158493
0
56750
INTERPUBLIC GROUP COS INC
COM
460690100
11195
519248
SH
SOLE
498148
0
21100
INVESCO QQQ TR
UNIT SER 1
46090E103
515
2729
SH
SOLE
2729
0
0
JOHNSON & JOHNSON
COM
478160104
404
3125
SH
SOLE
3125
0
0
JP MORGAN EXCHANGE TRADED FD
ULTRA SHRT INC
46641Q837
1185
23507
SH
SOLE
23507
0
0
JP MORGAN EXCHANGE TRADED FD
ULTRA SHT MUNCPL
46641Q654
3611
71625
SH
SOLE
71625
0
0
LAMAR ADVERTISING CO NEW
CL A
512816109
6390
77992
SH
SOLE
75992
0
2000
LAS VEGAS SANDS CORP
COM
517834107
10498
181749
SH
SOLE
172649
0
9100
LIVENT CORP
COM
53814L108
4796
716925
SH
SOLE
685425
0
31500
MASTERCARD INC
CL A
57636Q104
8441
31083
SH
SOLE
30558
0
525
MOBILE MINI INC
COM
60740F105
12010
325825
SH
SOLE
312325
0
13500
NEWELL BRANDS INC
COM
651229106
2735
146085
SH
SOLE
138585
0
7500
NORDSTROM INC
COM
655664100
10627
315634
SH
SOLE
300634
0
15000
NORFOLK SOUTHERN CORP
COM
655844108
201
1120
SH
SOLE
1120
0
0
NORWEGIAN CRUISE LINE HLDG L
SHS
G66721104
7136
137847
SH
SOLE
136647
0
1200
ONEOK INC NEW
COM
682680103
737
10000
SH
SOLE
10000
0
0
ORACLE CORP
COM
68389X105
227
4118
SH
SOLE
4118
0
0
PEPSICO INC
COM
713448108
256
1866
SH
SOLE
1866
0
0
PITNEY BOWES INC
COM
724479100
10188
2229375
SH
SOLE
2121875
0
107500
PRINCIPAL FINL GROUP INC
COM
74251V102
10467
183182
SH
SOLE
174182
0
9000
PRUDENTIAL FINL INC
COM
744320102
8342
92735
SH
SOLE
86535
0
6200
ROYAL CARIBBEAN CRUISES LTD
COM
V7780T103
12719
117409
SH
SOLE
117409
0
0
SANFILIPPO JOHN B & SON INC
COM
800422107
6123
63390
SH
SOLE
61190
0
2200
SCHLUMBERGER LTD
COM
806857108
6912
202287
SH
SOLE
184787
0
17500
SERVICE PPTYS TR
COM SH BEN INT
81761L102
16635
645004
SH
SOLE
627704
0
17300
SINCLAIR BROADCAST GROUP INC
CL A
829226109
12025
281350
SH
SOLE
270175
0
11175
SMUCKER J M CO
COM NEW
832696405
5695
51765
SH
SOLE
48765
0
3000
SPDR S&P 500 ETF TR
TR UNIT
78462F103
401
1350
SH
SOLE
1350
0
0
STIFEL FINL CORP
COM
860630102
564
9825
SH
SOLE
9825
0
0
SUPERNUS PHARMACEUTICALS INC
COM
868459108
6376
232030
SH
SOLE
222030
0
10000
TESSCO TECHNOLOGIES INC
COM
872386107
10007
696356
SH
SOLE
666356
0
30000
THE CHARLES SCHWAB CORPORATI
COM
808513105
8594
205440
SH
SOLE
200190
0
5250
UDR INC
COM
902653104
364
7507
SH
SOLE
7507
0
0
UNITED PARCEL SERVICE INC
CL B
911312106
4175
34846
SH
SOLE
32846
0
2000
UNITED TECHNOLOGIES CORP
COM
913017109
381
2794
SH
SOLE
2794
0
0
VANGUARD GROUP
DIV APP ETF
921908844
629
5260
SH
SOLE
5260
0
0
VANGUARD INDEX FDS
REAL ESTATE ETF
922908553
304
3255
SH
SOLE
3255
0
0
VANGUARD INDEX FDS
SML CP GRW ETF
922908595
228
1250
SH
SOLE
1250
0
0
VANGUARD INDEX FDS
GROWTH ETF
922908736
234
1405
SH
SOLE
1405
0
0
VANGUARD INTL EQUITY INDEX F
FTSE EUROPE ETF
922042874
692
12910
SH
SOLE
12910
0
0
VANGUARD INTL EQUITY INDEX F
FTSE PACIFIC ETF
922042866
384
5810
SH
SOLE
5810
0
0
VANGUARD SCOTTSDALE FDS
SHRT TRM CORP BD
92206C409
298
3680
SH
SOLE
3680
0
0
VANGUARD WORLD FDS
FINANCIALS ETF
92204A405
201
2865
SH
SOLE
2865
0
0
VANGUARD WORLD FDS
COMM SRVC ETF
92204A884
289
3330
SH
SOLE
3330
0
0
VERIZON COMMUNICATIONS INC
COM
92343V104
203
3371
SH
SOLE
3371
0
0
VISA INC
COM CL A
92826C839
8093
47052
SH
SOLE
46152
0
900
WEC ENERGY GROUP INC
COM
92939U106
354
3722
SH
SOLE
3722
0
0
WISDOMTREE TR
EM MKTS QTLY DIV
97717W323
467
19920
SH
SOLE
19920
0
0
WISDOMTREE TR
EMG MKTS SMCAP
97717W281
283
6390
SH
SOLE
6390
0
0
WISDOMTREE TR
EURO QTLY DIV GR
97717X610
346
13770
SH
SOLE
13770
0
0
WISDOMTREE TR
US S CAP QTY DIV
97717X651
384
10800
SH
SOLE
10800
0
0
WISDOMTREE TR
US QTLY DIV GRT
97717X669
274
6070
SH
SOLE
6070
0
0