UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Quarter Ended: September 30, 2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.):[ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: The Capital Management Corporation
Address: 9030 Stony Point Parkway, Suite 150
Richmond, Virginia 23235
13F File Number: 28-801-13252
The institutional investment manager filing this report and
the person by whom it is signed hereby represent that the
person signing the report is authorized to submit it, that
all information contained herein is true, correct and complete,
and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts
of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Susan Kidd
Title: Office Manager
Phone: (804) 327-0302
Signature, Place, and Date of Signing:
Susan Kidd Richmond, Virginia November 14, 2000
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this
reporting manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in
this report, and all holdings are reported by other reporting
manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this report
and a portion are reported by other reporting manager(s).)
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 134
Form 13F Information Table Value Total: $156,101,080 (thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and 13F file number(s) of
all
institutional
investment
managers with respect to which this report is filed, other than
the manager
filing this
report.
[If there are no entries in this list, state "NONE" and omit the
column
headings and list
entries.]
No. 13F File Number Name
NONE
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09/30/00 FORM 13F THE CAPITAL MANAGEMENT CORP.9030 STONY POINT PKWY SUITE 150 RICHMOND VA 23235
PAGE 1
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
SHARES OR INVST DISCRET VOTING AUTHORITY
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR (SHARES)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD MGRS (A)SOLE (B)SHARED
(C)NONE
AT&T Corporation COMMON 001957109 439,397 14,958 X ALL 14,958
Abbott Labs COMMON 002824100 1,269,922 26,700 X ALL 26,700
Advanced Energy Industries, Inc. COMMON 007973100 1,940,400 58,800 X ALL 58,800
Alcoa, Inc. COMMON 013817101 570,040 22,520 X ALL 22,520
Allegheny Energy, Inc. COMMON 017361106 237,222 6,212 X ALL 6,212
America Online Inc COMMON 02364J104 438,063 8,150 X ALL 8,150
American Electric Power COMMON 025537101 332,296 8,493 X ALL 8,493
American Express Company COMMON 025816109 546,750 9,000 X ALL 9,000
American Home Products Corp. COMMON 02660910 3,747,272 66,250 X ALL 66,250
AMGEN, Inc. COMMON 031162100 6,089,003 87,200 X ALL 87,200
Analog Devices, Inc. COMMON 032654105 379,789 4,600 X ALL 4,600
Analytical Surveys, Inc. COMMON 032683302 27,200 13,600 X ALL 13,600
Apache Corporation COMMON 037411105 1,259,374 21,300 X ALL 21,300
AptarGroup Inc. COMMON 038336103 1,589,477 66,400 X ALL 66,400
BB & T Corp. COMMON 054937107 1,036,279 34,399 X ALL 34,399
BP Amoco PLC ADR COMMON 055622104 1,119,784 21,128 X ALL 21,128
Bank of America Corporation COMMON 060505104 874,716 16,701 X ALL 16,701
Banc One Corporation COMMON 06423A103 445,617 11,537 X ALL 11,537
Baxter Int'l Inc. COMMON 07181310 646,485 8,100 X ALL 8,100
Bed Bath & Beyond COMMON 075896100 1,014,664 41,600 X ALL 41,600
BellSouth Corp. COMMON 079860102 511,175 12,700 X ALL 12,700
Berkshire Hathaway Class B COMMON 084670207 517,500 250 X ALL 250
Biomet Incorporated COMMON 090613100 3,106,145 88,747 X ALL 88,747
Boeing Company COMMON 097023105 408,253 6,480 X ALL 6,480
TOTAL 28,546,823
09/30/00 FORM 13F THE CAPITAL MANAGEMENT CORP.9030 STONY POINT PKWY SUITE 150 RICHMOND VA 23235
PAGE 2
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
SHARES OR INVST DISCRET VOTING AUTHORITY
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR (SHARES)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD MGRS (A)SOLE (B)SHARED
(C)NONE
Briggs & Stratton Corporation COMMON 109043109 330,859 8,750 X ALL 8,750
Bristol-Myers Squibb COMMON 110122108 2,738,803 47,944 X ALL 47,944
C P & L Holdings, Inc. COMMON 12614C106 254,295 6,100 X ALL 6,100
Capital One Financial Corp. COMMON 14040H105 686,616 9,800 X ALL 9,800
Circuit City COMMON 172737108 353,050 15,350 X ALL 15,350
Cisco System Inc. COMMON 17275R102 2,682,167 48,546 X ALL 48,546
Clayton Homes Inc COMMON 184190106 1,155,750 115,575 X ALL 115,575
Coca Cola Company COMMON 191216100 1,980,645 35,930 X ALL 35,930
Cognex Corporation COMMON 192422103 244,515 6,200 X ALL 6,200
Computer Sciences Corp. COMMON 20536310 1,152,362 15,520 X ALL 15,520
Concord EFS, Inc. COMMON 206197105 1,301,663 36,650 X ALL 36,650
Conexant Systems Inc COMMON 207142100 219,846 5,250 X ALL 5,250
Corning Incorporated COMMON 219350105 6,771,600 22,800 X ALL 22,800
Costco Whsl Corporation COMMON 22160K105 1,139,319 32,610 X ALL 32,610
Dell Computer Corp. COMMON 247025109 238,797 7,750 X ALL 7,750
Delphi Automotive Systems Corp. COMMON 247126105 361,491 23,900 X ALL 23,900
DENTSPLY Int'l. Inc. COMMON 249030107 1,056,864 30,250 X ALL 30,250
Diebond, Inc. COMMON 253651103 1,162,116 43,750 X ALL 43,750
Dominion Resources, Inc. VA COMMON 25746U109 797,839 13,741 X ALL 13,741
E. I. duPont deNemours Co. Inc. COMMON 263534109 921,986 22,250 X ALL 22,250
Duke Energy Corp COMMON 264399106 411,600 4,800 X ALL 4,800
EMC Corporation COMMON 268648102 237,900 2,400 X ALL 2,400
Electronic Data Systems Corp. COMMON 285661104 465,672 11,221 X ALL 11,221
Emerson Electric Company COMMON 29101110 377,076 5,628 X ALL 5,628
TOTAL 27,042,831
09/30/00 FORM 13F THE CAPITAL MANAGEMENT CORP.9030 STONY POINT PKWY SUITE 150 RICHMOND VA 23235
PAGE 3
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
SHARES OR INVST DISCRET VOTING AUTHORITY
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR (SHARES)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD MGRS (A)SOLE (B)SHARED
(C)NONE
Enron Corporation COMMON 29356110 210,300 2,400 X ALL 2,400
Exxon Mobil Corp. COMMON 30231G102 4,856,791 54,494 X ALL 54,494
Fastenal Co. COMMON 311900104 1,962,156 34,050 X ALL 34,050
Freddie Mac (voting shares) COMMON 313400301 294,643 5,450 X ALL 5,450
First Union COMMON 337358105 647,132 20,105 X ALL 20,105
First Virginia Bank COMMON 337477103 677,950 15,905 X ALL 15,905
FleetBoston Financial Corp. COMMON 339030108 296,400 7,600 X ALL 7,600
Ford Motor Company, Inc. COMMON 345370100 325,514 12,860 X ALL 12,860
Forest Labs Inc. COMMON 345838106 286,720 2,500 X ALL 2,500
Fortune Brands, Inc. COMMON 349631101 212,001 8,000 X ALL 8,000
General Electric COMMON 369604103 7,916,232 137,226 X ALL 137,226
Georgia Pac Corp Timber Group COMMON 373298702 507,944 18,900 X ALL 18,900
Glaxo Wellcome PLS COMMON 37733W105 1,680,171 27,800 X ALL 27,850
HCC Insurance COMMON 404132102 716,019 35,250 X ALL 35,250
Harley-Davidson Inc COMMON 412822108 421,301 8,800 X ALL 8,800
Harte Hanks, Inc. COMMON 416196108 878,815 32,250 X ALL 32,250
Health Management Assoc CL A COMMON 421933102 730,522 35,100 X ALL 35,100
Hewlett Packard Co. COMMON 42823610 829,350 8,550 X ALL 8,550
Home Depot, Inc. COMMON 43707610 766,755 14,450 X ALL 14,450
Indymac Mtg HldgsInc COMMON 456607100 415,365 20,200 X ALL 20,200
INTEL Corporation COMMON 45814010 7,077,770 170,292 X ALL 170,292
International Business Machines COMMON 459200101 451,128 4,010 X ALL 4,010
Interpublic Group COMMON 460690100 647,189 19,000 X ALL 19,000
Johnson & Johnson, Inc. COMMON 478160104 1,323,962 14,094 X ALL 14,094
TOTAL 34,132,130
09/30/00 FORM 13F THE CAPITAL MANAGEMENT CORP.9030 STONY POINT PKWY SUITE 150 RICHMOND VA 23235
PAGE 4
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
SHARES OR INVST DISCRET VOTING AUTHORITY
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR (SHARES)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD MGRS (A)SOLE (B)SHARED
(C)NONE
Kimberly Clark Corporation COMMON 494368103 932,072 16,700 X ALL 16,700
LandAmerica Financial Group COMMON 514936103 242,069 8,475 X ALL 8,475
Eli Lilly & Company COMMON 53245710 755,679 9,315 X ALL 9,315
Littelfuse, Inc. COMMON 537008104 311,719 10,500 X ALL 10,500
Lowes Companies Inc. COMMON 54866110 2,154,858 48,019 X ALL 48,019
Lucent Technologies COMMON 549463107 1,124,308 36,787 X ALL 36,787
Markel Corporporation COMMON 570535104 3,762,641 24,795 X ALL 24,795
Marshall & IIsley Corp. (WI) COMMON 571834100 864,665 17,250 X ALL 17,250
Meditrust Corp COMMON 58501T306 152,865 52,034 X ALL 52,034
Medtronic Inc. COMMON 58505510 1,235,730 23,850 X ALL 23,850
Merck & Company, COMMON 589331107 1,278,094 17,170 X ALL 17,170
Microsoft Corp. COMMON 594918104 612,174 10,150 X ALL 10,150
Minerals Technology, Inc. COMMON 603158106 249,550 5,425 X ALL 5,425
Minnesota Mining & Manufacturing COMMON 604059105 719,890 7,900 X ALL 7,900
MOLEX, Incorporated COMMON 608554101 549,982 10,103 X ALL 10,103
MOLEX, Inc. Cl A COMMON 608554200 941,431 22,719 X ALL 22,719
National Commerce Bankcorp COMMON 635449101 429,207 21,528 X ALL 11,528
Nokia Corp. Sponsored ADR COMMON 654902204 615,106 15,450 X ALL 15,450
Norfolk Southern COMMON 655844108 301,627 20,624 X ALL 20,624
North Fork Bancorporation, Inc. COMMON 659424105 1,038,005 48,000 X ALL 48,000
Nucor Corporation COMMON 67034610 225,944 7,500 X ALL 7,500
Omnicare, INC. COMMON 681904108 405,948 25,175 X ALL 25,175
Oracle Systems Corp. COMMON 68389X105 8,633,679 109,634 X ALL 109,634
Pall Corporation COMMON 69642930 377,761 18,947 X ALL 18,947
TOTAL 27,915,004
09/30/00 FORM 13F THE CAPITAL MANAGEMENT CORP.9030 STONY POINT PKWY SUITE 150 RICHMOND VA 23235
PAGE 5
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
SHARES OR INVST DISCRET VOTING AUTHORITY
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR (SHARES)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD MGRS (A)SOLE (B)SHARED
(C)NONE
Pepsico Inc. COMMON 713448108 2,196,270 47,745 X ALL 47,745
Perceptron Inc. COMMON 71361F100 128,463 39,525 X ALL 39,525
Pfizer, Inc. COMMON 717081103 5,305,954 118,074 X ALL 118,074
Pharmacia Corp.(Fmrly Monsanto) COMMON 71713U102 382,192 6,350 X ALL 6,350
Philip Morris Cos. COMMON 718154107 3,925,146 133,338 X ALL 133,338
Post Properties (REIT) COMMON 737464107 290,779 6,675 X ALL 6,675
RPM, Incorporated COMMON 749685103 96,900 10,692 X ALL 10,692
Reliant Energy (Houston Ind.) COMMON 75952J108 511,550 11,000 X ALL 11,000
Robert Half International COMMON 770323103 1,054,510 30,400 X ALL 30,400
Royal Dutch Petroleum Co. COMMON 780257804 779,189 13,000 X ALL 13,000
SBC Communications, Inc. COMMON 78387G103 267,100 5,342 X ALL 5,342
SPSS INC. COMMON 78462K102 481,287 17,950 X ALL 17,950
Schering Plough Corporation COMMON 806605101 279,000 6,000 X ALL 6,000
Schlumberger LTD. COMMON 806857108 931,368 11,315 X ALL 11,315
ServiceMaster Co., Inc. COMMON 81760N109 576,329 58,362 X ALL 58,362
Southern Company COMMON 842587107 381,142 11,750 X ALL 11,750
Southwest Airlines COMMON 844741108 242,500 10,000 X ALL 10,000
Sprint Corporation COMMON 852061100 965,119 32,925 X ALL 32,925
Sun Microsystems, Inc. COMMON 866810104 373,601 3,200 X ALL 3,200
Suntrust Banks, Inc. COMMON 86791410 1,101,455 22,112 X ALL 22,112
Texaco, Inc. COMMON 881694103 703,185 13,394 X ALL 13,394
Texas Instruments, Inc. COMMON 882508104 313,798 6,650 X ALL 6,650
Thermo Electron Corporation COMMON 883556102 212,446 8,171 X ALL 8,171
Tootsie Roll COMMON 890516107 535,529 13,644 X ALL 13,644
TOTAL 22,034,762
09/30/00 FORM 13F THE CAPITAL MANAGEMENT CORP.9030 STONY POINT PKWY SUITE 150 RICHMOND VA 23235
PAGE 6
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
SHARES OR INVST DISCRET VOTING AUTHORITY
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR (SHARES)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD MGRS (A)SOLE (B)SHARED
(C)NONE
United Dominion Realty Trust COMMON 910197102 238,971 21,974 X ALL 21,974
United Parcel Service Class B COMMON 911312106 1,775,827 31,500 X ALL 31,500
Verizon Communications COMMON 92343V104 708,841 14,634 X ALL 14,634
Vodafone Airtouch PLC COMMON 92857T107 7,260,584 196,232 X ALL 196,232
Wachovia Corporation COMMON 92977110 1,100,646 19,416 X ALL 19,416
Washington Group Int'l, Inc. COMMON 938862109 1,055,118 92,250 X ALL 92,250
Washington Mutual COMMON 939322103 1,222,246 30,700 X ALL 30,700
Washington Real Estate Inv. Tr. COMMON 939653101 215,672 10,750 X ALL 10,750
Westvaco Corp. COMMON 961548104 265,541 9,950 X ALL 9,950
WORLDCOM INC GA COMMON 98157D106 258,066 8,496 X ALL 8,496
Wm. Wrigley Jr. Co. COMMON 982526105 805,290 10,755 X ALL 10,755
X-Rite Inc. COMMON 983857103 386,750 44,200 X ALL 44,200
XCEL Energy, Inc. COMMON 98389B100 365,750 13,300 X ALL 13,300
XEROX Corporation COMMON 984121103 770,228 51,135 X ALL 51,135
TOTAL 16,429,530
GRAND TOTAL 156,101,080
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