0001420506-24-001174.txt : 20240725
0001420506-24-001174.hdr.sgml : 20240725
20240725134458
ACCESSION NUMBER: 0001420506-24-001174
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20240630
FILED AS OF DATE: 20240725
DATE AS OF CHANGE: 20240725
EFFECTIVENESS DATE: 20240725
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: 241141060
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
06-30-2024
06-30-2024
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
07-25-2024
0
75
499210987
false
INFORMATION TABLE
2
Form13F_InfoTable.xml
INFORMATION TABLE FOR CAPITAL MANAGEMENT CORP /VA (7562)
ACCO BRANDS CORP
COM
00081T108
14505540
3086285
SH
SOLE
3069985
0
16300
ACME UTD CORP
COM
004816104
18883557
538453
SH
SOLE
533278
0
5175
AGNICO EAGLE MINES LTD
COM
008474108
14548727
222458
SH
SOLE
219758
0
2700
ALPHABET INC
CAP STK CL A
02079K305
6991828
38385
SH
SOLE
38035
0
350
ALTRIA GROUP INC
COM
02209S103
7187138
157786
SH
SOLE
156686
0
1100
AMAZON COM INC
COM
023135106
301470
1560
SH
SOLE
1560
0
0
ANIKA THERAPEUTICS INC
COM
035255108
8323945
328620
SH
SOLE
325020
0
3600
APPLE INC
COM
037833100
839391
3985
SH
SOLE
3985
0
0
ARCADIUM LITHIUM PLC
COM SHS
G0508H110
7355658
2189184
SH
SOLE
2155184
0
34000
BRISTOL-MYERS SQUIBB CO
COM
110122108
8608163
207276
SH
SOLE
203826
0
3450
CARRIER GLOBAL CORPORATION
COM
14448C104
7051461
111786
SH
SOLE
110886
0
900
CHOICE HOTELS INTL INC
COM
169905106
238000
2000
SH
SOLE
2000
0
0
CITIGROUP INC
COM NEW
172967424
7856285
123799
SH
SOLE
123099
0
700
CME GROUP INC
COM
12572Q105
6501955
33072
SH
SOLE
32972
0
100
CNX RES CORP
COM
12653C108
11672043
480331
SH
SOLE
475831
0
4500
CONAGRA BRANDS INC
COM
205887102
6879772
242075
SH
SOLE
240475
0
1600
CRAWFORD & CO
CL A
224633206
7005830
810860
SH
SOLE
800160
0
10700
CRAWFORD & CO
CL B
224633107
3899460
486824
SH
SOLE
480324
0
6500
DOMINION ENERGY INC
COM
25746U109
305564
6236
SH
SOLE
6236
0
0
ECOLAB INC
COM
278865100
295834
1243
SH
SOLE
1243
0
0
ELEVANCE HEALTH INC
COM
036752103
411814
760
SH
SOLE
760
0
0
EXELIXIS INC
COM
30161Q104
7638002
339920
SH
SOLE
335720
0
4200
EXTRA SPACE STORAGE INC
COM
30225T102
1375379
8850
SH
SOLE
8850
0
0
EXXON MOBIL CORP
COM
30231G102
248470
2158
SH
SOLE
2158
0
0
FASTENAL CO
COM
311900104
5562094
88512
SH
SOLE
88092
0
420
GOLDMAN SACHS GROUP INC
COM
38141G104
13500151
29846
SH
SOLE
29496
0
350
GRAY TELEVISION INC
COM
389375106
22033851
4237279
SH
SOLE
4196129
0
41150
HARMONY BIOSCIENCES HLDGS IN
COM
413197104
7242007
240040
SH
SOLE
236640
0
3400
INTERDIGITAL INC
COM
45867G101
24864448
213319
SH
SOLE
211519
0
1800
INTERPUBLIC GROUP COS INC
COM
460690100
4229284
145386
SH
SOLE
144136
0
1250
ISHARES TR
MSCI INDIA SM CP
46429B614
420576
5200
SH
SOLE
5200
0
0
J P MORGAN EXCHANGE TRADED F
ULTRA SHRT INC
46641Q837
2436813
48282
SH
SOLE
48282
0
0
J P MORGAN EXCHANGE TRADED F
ULTRA SHT MUNCPL
46641Q654
4028696
79391
SH
SOLE
76391
0
3000
KINDER MORGAN INC DEL
COM
49456B101
10808075
543939
SH
SOLE
540739
0
3200
LOWES COS INC
COM
548661107
8620206
39101
SH
SOLE
38816
0
285
MARSH & MCLENNAN COS INC
COM
571748102
332938
1580
SH
SOLE
1580
0
0
MASTECH DIGITAL INC
COM
57633B100
6675750
890100
SH
SOLE
875600
0
14500
MASTERCARD INCORPORATED
CL A
57636Q104
11158823
25294
SH
SOLE
25144
0
150
MOELIS & CO
CL A
60786M105
10632532
186995
SH
SOLE
185470
0
1525
MOLSON COORS BEVERAGE CO
CL B
60871R209
11850049
233131
SH
SOLE
231831
0
1300
NEXSTAR MEDIA GROUP INC
COMMON STOCK
65336K103
26235722
158037
SH
SOLE
156537
0
1500
ONEOK INC NEW
COM
682680103
16228187
198997
SH
SOLE
197487
0
1510
ORACLE CORP
COM
68389X105
218860
1550
SH
SOLE
1550
0
0
PEPSICO INC
COM
713448108
267022
1619
SH
SOLE
1619
0
0
PITNEY BOWES INC
COM
724479100
21127730
4159002
SH
SOLE
4125502
0
33500
PRINCIPAL FINANCIAL GROUP IN
COM
74251V102
9241684
117803
SH
SOLE
117093
0
710
PRUDENTIAL FINL INC
COM
744320102
8406584
71735
SH
SOLE
71260
0
475
QUALCOMM INC
COM
747525103
15827012
79461
SH
SOLE
78786
0
675
RTX CORPORATION
COM
75513E101
280289
2792
SH
SOLE
2792
0
0
SANFILIPPO JOHN B & SON INC
COM
800422107
378574
3896
SH
SOLE
3896
0
0
SENSATA TECHNOLOGIES HLDG PL
SHS
G8060N102
8429875
225458
SH
SOLE
222608
0
2850
SERVICE PPTYS TR
COM SH BEN INT
81761L102
24263979
4720619
SH
SOLE
4675619
0
45000
SINCLAIR INC
CL A
829242106
23441129
1758524
SH
SOLE
1740224
0
18300
TEGNA INC
COM
87901J105
7766504
557138
SH
SOLE
553213
0
3925
TOLL BROTHERS INC
COM
889478103
3487075
30275
SH
SOLE
30275
0
0
UDR INC
COM
902653104
308872
7506
SH
SOLE
7506
0
0
UNITED PARCEL SERVICE INC
CL B
911312106
4745529
34677
SH
SOLE
34427
0
250
VANGUARD SPECIALIZED FUNDS
DIV APP ETF
921908844
803220
4400
SH
SOLE
4400
0
0
VANGUARD WORLD FD
COMM SRVC ETF
92204A884
380050
2750
SH
SOLE
2750
0
0
VANGUARD WORLD FD
ESG US STK ETF
921910733
265222
2745
SH
SOLE
275
0
2470
VANGUARD WORLD FD
FINANCIALS ETF
92204A405
223232
2235
SH
SOLE
2235
0
0
VEREN INC
COM NEW
92340V107
12798438
1626231
SH
SOLE
1616231
0
10000
VISA INC
COM CL A
92826C839
9143666
34837
SH
SOLE
34582
0
255
WILLIAMS COS INC
COM
969457100
233750
5500
SH
SOLE
5500
0
0
WISDOMTREE INC
COM
97717P104
392733
39630
SH
SOLE
39630
0
0
WISDOMTREE TR
US QTLY DIV GRT
97717X669
210735
2700
SH
SOLE
2700
0
0
WISDOMTREE TR
EM MKTS QTLY DIV
97717W323
237668
9006
SH
SOLE
9006
0
0
WISDOMTREE TR
EMG MKTS SMCAP
97717W281
205760
4000
SH
SOLE
4000
0
0
WISDOMTREE TR
EURO QTLY DIV GR
97717X610
336593
10500
SH
SOLE
10500
0
0
WISDOMTREE TR
FLOATNG RAT TREA
97717Y527
8617398
171286
SH
SOLE
168786
0
2500
WISDOMTREE TR
JAPN HEDGE EQT
97717W851
253845
2250
SH
SOLE
2250
0
0
WISDOMTREE TR
US LARGECAP FUND
97717W588
207896
3655
SH
SOLE
3655
0
0
WISDOMTREE TR
US MIDCAP FUND
97717W570
253294
4383
SH
SOLE
4383
0
0
WISDOMTREE TR
US S CAP QTY DIV
97717X651
423990
9000
SH
SOLE
9000
0
0
WISDOMTREE TR
US SMALLCAP FUND
97717W562
247291
5247
SH
SOLE
5247
0
0