0001420506-24-000114.txt : 20240201
0001420506-24-000114.hdr.sgml : 20240201
20240201095332
ACCESSION NUMBER: 0001420506-24-000114
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20231231
FILED AS OF DATE: 20240201
DATE AS OF CHANGE: 20240201
EFFECTIVENESS DATE: 20240201
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: CAPITAL MANAGEMENT CORP /VA
CENTRAL INDEX KEY: 0001074273
ORGANIZATION NAME:
IRS NUMBER: 541048352
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-07432
FILM NUMBER: 24585295
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
X0202
13F-HR
LIVE
false
true
false
0001074273
XXXXXXXX
12-31-2023
12-31-2023
false
CAPITAL MANAGEMENT CORP /VA
4101 COX ROAD
SUITE 110
GLEN ALLEN
VA
23060
13F HOLDINGS REPORT
028-07432
000112242
801-13252
N
Pamela Simms
Operations Manager
8042704000
Pamela Simms, Operations Manager
GLEN ALLEN
VA
02-01-2024
0
71
509063141
false
INFORMATION TABLE
2
Form13F_InfoTable.xml
INFORMATION TABLE FOR CAPITAL MANAGEMENT CORP /VA (7105)
ACCO BRANDS CORP
COM
00081T108
3821493
628535
SH
SOLE
609835
0
18700
ACME UTD CORP
COM
004816104
24841583
579598
SH
SOLE
568923
0
10675
AGNICO EAGLE MINES LTD
COM
008474108
15612921
284648
SH
SOLE
278098
0
6550
ALPHABET INC
CAP STK CL A
02079K305
4393670
31453
SH
SOLE
31003
0
450
ALTRIA GROUP INC
COM
02209S103
10045938
249032
SH
SOLE
246132
0
2900
AMAZON COM INC
COM
023135106
276531
1820
SH
SOLE
1820
0
0
ANIKA THERAPEUTICS INC
COM
035255108
8056400
355534
SH
SOLE
351134
0
4400
APPLE INC
COM
037833100
876076
4550
SH
SOLE
4550
0
0
BRISTOL-MYERS SQUIBB CO
COM
110122108
9393721
183078
SH
SOLE
178203
0
4875
CARRIER GLOBAL CORPORATION
COM
14448C104
7008957
122001
SH
SOLE
119701
0
2300
CHOICE HOTELS INTL INC
COM
169905106
226600
2000
SH
SOLE
2000
0
0
CITIGROUP INC
COM NEW
172967424
10736094
208711
SH
SOLE
205261
0
3450
CNX RES CORP
COM
12653C108
14725660
736283
SH
SOLE
729283
0
7000
CONAGRA BRANDS INC
COM
205887102
6947757
242420
SH
SOLE
238220
0
4200
CRAWFORD & CO
CL A
224633206
2000658
151795
SH
SOLE
147195
0
4600
CRAWFORD & CO
CL B
224633107
2521222
192754
SH
SOLE
187404
0
5350
DOMINION ENERGY INC
COM
25746U109
293092
6236
SH
SOLE
6236
0
0
ECOLAB INC
COM
278865100
246549
1243
SH
SOLE
1243
0
0
ELEVANCE HEALTH INC
COM
036752103
358386
760
SH
SOLE
760
0
0
ENERSYS
COM
29275Y102
5345933
52951
SH
SOLE
52251
0
700
EXELIXIS INC
COM
30161Q104
9394364
391595
SH
SOLE
385595
0
6000
EXTRA SPACE STORAGE INC
COM
30225T102
1418921
8850
SH
SOLE
8850
0
0
EXXON MOBIL CORP
COM
30231G102
202395
2024
SH
SOLE
2024
0
0
FASTENAL CO
COM
311900104
6528946
100802
SH
SOLE
99182
0
1620
GOLDMAN SACHS GROUP INC
COM
38141G104
13890212
36006
SH
SOLE
35116
0
890
GRAY TELEVISION INC
COM
389375106
27730152
3094883
SH
SOLE
3051183
0
43700
INTERDIGITAL INC
COM
45867G101
25794952
237654
SH
SOLE
234529
0
3125
INTERPUBLIC GROUP COS INC
COM
460690100
4982534
152651
SH
SOLE
149551
0
3100
ISHARES TR
MSCI INDIA SM CP
46429B614
362908
5200
SH
SOLE
5200
0
0
J P MORGAN EXCHANGE TRADED F
ULTRA SHRT INC
46641Q837
2310550
45999
SH
SOLE
45999
0
0
J P MORGAN EXCHANGE TRADED F
ULTRA SHT MUNCPL
46641Q654
4582126
90306
SH
SOLE
76556
0
13750
KINDER MORGAN INC DEL
COM
49456B101
11776682
667612
SH
SOLE
658012
0
9600
LIBERTY MEDIA CORP DEL
COM LBTY SRM S A
531229813
1840797
64050
SH
SOLE
60650
0
3400
LIVENT CORP
COM
53814L108
8959038
498278
SH
SOLE
491278
0
7000
LOWES COS INC
COM
548661107
10537743
47350
SH
SOLE
46500
0
850
MARSH & MCLENNAN COS INC
COM
571748102
299363
1580
SH
SOLE
1580
0
0
MASTECH DIGITAL INC
COM
57633B100
7266537
862190
SH
SOLE
847690
0
14500
MASTERCARD INCORPORATED
CL A
57636Q104
11329077
26562
SH
SOLE
26362
0
200
MOELIS & CO
CL A
60786M105
12265917
218527
SH
SOLE
215402
0
3125
MOLSON COORS BEVERAGE CO
CL B
60871R209
10545014
172276
SH
SOLE
168651
0
3625
NEXSTAR MEDIA GROUP INC
COMMON STOCK
65336K103
23016857
146838
SH
SOLE
144533
0
2305
NORFOLK SOUTHN CORP
COM
655844108
200923
850
SH
SOLE
850
0
0
ONEOK INC NEW
COM
682680103
15769430
224572
SH
SOLE
221012
0
3560
PEPSICO INC
COM
713448108
274971
1619
SH
SOLE
1619
0
0
PITNEY BOWES INC
COM
724479100
18525408
4210320
SH
SOLE
4173320
0
37000
PRINCIPAL FINANCIAL GROUP IN
COM
74251V102
8130867
103354
SH
SOLE
100994
0
2360
PRUDENTIAL FINL INC
COM
744320102
10408196
100359
SH
SOLE
99134
0
1225
QUALCOMM INC
COM
747525103
16163683
111759
SH
SOLE
109884
0
1875
RTX CORPORATION
COM
75513E101
234919
2792
SH
SOLE
2792
0
0
SANFILIPPO JOHN B & SON INC
COM
800422107
1029988
9996
SH
SOLE
9646
0
350
SENSATA TECHNOLOGIES HLDG PL
SHS
G8060N102
7051438
187688
SH
SOLE
183638
0
4050
SERVICE PPTYS TR
COM SH BEN INT
81761L102
27697863
3243310
SH
SOLE
3201860
0
41450
SILVERCREST ASSET MGMT GROUP
CL A
828359109
226610
13330
SH
SOLE
13330
0
0
SINCLAIR INC
CL A
829242106
19127783
1467980
SH
SOLE
1441780
0
26200
TEXTAINER GROUP HOLDINGS LTD
SHS
G8766E109
3457284
70270
SH
SOLE
69820
0
450
TOLL BROTHERS INC
COM
889478103
10243589
99656
SH
SOLE
98656
0
1000
UDR INC
COM
902653104
287405
7506
SH
SOLE
7506
0
0
UNITED PARCEL SERVICE INC
CL B
911312106
6861810
43642
SH
SOLE
42842
0
800
VANGUARD SPECIALIZED FUNDS
DIV APP ETF
921908844
749760
4400
SH
SOLE
4400
0
0
VANGUARD WORLD FD
ESG US STK ETF
921910733
696641
8190
SH
SOLE
2660
0
5530
VANGUARD WORLD FDS
COMM SRVC ETF
92204A884
323742
2750
SH
SOLE
2750
0
0
VANGUARD WORLD FDS
FINANCIALS ETF
92204A405
206201
2235
SH
SOLE
2235
0
0
VISA INC
COM CL A
92826C839
10159116
39021
SH
SOLE
38196
0
825
WALGREENS BOOTS ALLIANCE INC
COM
931427108
10867591
416223
SH
SOLE
411023
0
5200
WISDOMTREE INC
COM
97717P104
8342177
1203777
SH
SOLE
1194127
0
9650
WISDOMTREE TR
EM MKTS QTLY DIV
97717W323
221367
9006
SH
SOLE
9006
0
0
WISDOMTREE TR
EURO QTLY DIV GR
97717X610
334215
10500
SH
SOLE
10500
0
0
WISDOMTREE TR
FLOATNG RAT TREA
97717Y527
7766299
154584
SH
SOLE
146034
0
8550
WISDOMTREE TR
US MIDCAP FUND
97717W570
251024
4374
SH
SOLE
4374
0
0
WISDOMTREE TR
US S CAP QTY DIV
97717X651
426960
9000
SH
SOLE
9000
0
0
WISDOMTREE TR
US SMALLCAP FUND
97717W562
261555
5250
SH
SOLE
5250
0
0