UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Quarter Ended: December 31, 1999
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 February 15, 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).)
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 125
Form 13F Information Table Value Total: $139,730,510 (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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12/31/99 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 V O T I N
G A
U T H O R I T Y
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR
(S H A R E S)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD
MGRS (A)SOLE (B)SHARED (C)NONE
AT&T Corporation COMMON 001957109 929,886 17,628 X ALL
17,628
Abbott Labs COMMON 002824100 1,406,707 43,200 X ALL
43,200
Advanced Energy Industries, Inc. COMMON 007973100 1,633,100 32,100 X ALL
32,100
ALCOA INC COMMON 013817101 700,364 10,050 X ALL
10,050
America Online Inc COMMON 02364J104 362,121 6,353 X ALL
6,353
American Home Products Corp. COMMON 02660910 3,287,324 69,850 X ALL
69,850
AMGEN, Inc. COMMON 031162100 6,104,461 95,850 X ALL
95,850
Analog Devices, Inc. COMMON 032654105 224,400 2,400 X ALL
2,400
Analytical Surveys, Inc. COMMON 032683302 256,700 30,200 X ALL
30,200
Apache Corporation COMMON 037411105 1,146,101 31,400 X ALL
31,400
AptarGroup Inc. COMMON 038336103 1,795,200 81,600 X ALL
81,600
Atlantic Richfield Company COMMON 048825103 204,050 2,650 X ALL
2,650
BB & T Corp. COMMON 054937107 1,030,424 36,637 X ALL
36,637
BP Amoco PLC ADR COMMON 055622104 1,090,911 20,296 X ALL
20,296
Bank of America Corporation COMMON 060505104 861,028 17,776 X ALL
17,776
Banc One Corporation COMMON 06423A103 343,947 11,537 X ALL
11,537
Bed Bath & Beyond COMMON 075896100 481,223 17,700 X ALL
17,700
Bell Atlantic Corp. COMMON 077853109 402,351 6,496 X ALL
6,496
BellSouth Corp. COMMON 079860102 596,108 12,700 X ALL
12,700
Biomet Incorporated COMMON 090613100 1,986,653 49,900 X ALL
49,900
Boeing Company COMMON 097023105 250,321 5,625 X ALL
5,625
Bristol-Myers Squibb COMMON 110122108 2,013,603 30,394 X ALL
30,394
TOTAL 27,106,983
12/31/99 FORM 13F THE CAPITAL MANAGEMENT CORP.
PAGE 2
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ITEM 8:
SHARES OR INVST DISCRET V O T I N
G A
U T H O R I T Y
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR
(S H A R E S)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD
MGRS (A)SOLE (B)SHARED (C)NONE
CCB Financial Corp. COMMON 124875105 330,079 7,588 X ALL
7,588
CUNO, Inc. COMMON 126583103 680,217 29,100 X ALL
29,100
Capital One Financial Corp. COMMON 14040H105 328,000 8,000 X ALL
8,000
Casey's Genl Stores COMMON 147528103 578,535 56,100 X ALL
56,100
Circuit City COMMON 172737108 798,875 20,750 X ALL
20,750
Cisco System Inc. COMMON 17275R102 2,589,455 23,648 X ALL
23,648
Clayton Homes Inc COMMON 184190106 1,362,133 160,250 X ALL
160,250
Conexant Systems Inc COMMON 207142100 545,025 6,450 X ALL
6,450
Corning Incorporated COMMON 219350105 1,766,165 11,450 X ALL
11,450
Dell Computer Corp. COMMON 247025109 340,172 8,850 X ALL
8,850
DENTSPLY Int'l. Inc. COMMON 249030107 1,309,276 52,900 X ALL
52,900
Walt Disney Co. Inc. COMMON 254687106 307,354 8,464 X ALL
8,464
Dominion Resources, Inc. VA COMMON 257470104 491,571 12,524 X ALL
12,524
Dow Chemical Co. COMMON 26054310 224,263 1,925 X ALL
1,925
E. I. duPont deNemours Co., Inc. COMMON 263534109 1,976,500 33,500 X ALL
33,500
Duke Energy Corp COMMON 264399106 277,200 4,800 X ALL
4,800
EMC Corp COMMON 268648102 213,000 2,000 X ALL
2,000
Eastman Kodak Co. COMMON 277461109 272,253 4,400 X ALL
4,400
Electronic Data Systems Corp. COMMON 285661104 687,218 10,181 X ALL
10,181
Emerson Electric Company COMMON 29101110 200,868 3,648 X ALL
3,648
Exxon Mobil Corp. COMMON 30231G102 4,445,898 53,284 X ALL
53,284
Fastenal Co. COMMON 311900104 1,949,066 44,550 X ALL
44,550
TOTAL 21,673,123
12/31/99 FORM 13F THE CAPITAL MANAGEMENT CORP.
PAGE 3
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ITEM 8:
SHARES OR INVST DISCRET V O T I N
G A
U T H O R I T Y
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR
(S H A R E S)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD
MGRS (A)SOLE (B)SHARED (C)NONE
Freddie Mac COMMON 313400301 539,521 10,750 X ALL
10,750
First Union COMMON 337358105 904,486 27,050 X ALL
27,050
First Virginia Bank COMMON 337477103 719,815 19,005 X ALL
19,005
FleetBoston Financial Corp. COMMON 339030108 289,229 9,200 X ALL
9,200
Ford Motor Company, Inc. COMMON 345370100 373,130 7,500 X ALL
7,500
GTE Corporation COMMON 36232010 473,416 6,463 X ALL
6,463
General Electric COMMON 369604103 6,769,983 50,664 X ALL
50,664
Georgia Pac Corp Timber Group COMMON 373298702 471,709 21,750 X ALL
21,750
Gillette Company COMMON 375766102 652,799 17,350 X ALL
17,350
Glaxo Wellcome PLS COMMON 37733W105 1,769,765 33,550 X ALL
33,550
W. W. Grainger Inc. COMMON 384802104 922,805 19,250 X ALL
19,250
HCC Insurance COMMON 404132102 1,145,548 86,050 X ALL
86,050
Harley-Davidson Inc COMMON 412822108 554,483 7,900 X ALL
7,900
Harte Hanks, Inc. COMMON 416196108 840,584 35,300 X ALL
35,300
Health Management Assoc CL A COMMON 421933102 823,711 59,100 X ALL
59,100
Heartland Express COMMON 422347104 457,188 33,250 X ALL
33,250
Hewlett Packard Co. COMMON 42823610 914,713 8,450 X ALL
8,450
IMAX Corporation COMMON 45245E109 373,175 16,225 X ALL
16,225
Indymac Mtg HldgsInc COMMON 456607100 282,580 25,400 X ALL
25,400
INTEL Corporation COMMON 45814010 8,549,695 86,415 X ALL
86,415
International Business Machines COMMON 459200101 422,061 3,760 X ALL
3,760
Int'l Flavors & Fragrances COMMON 45950610 217,697 6,100 X ALL
6,100
TOTAL 28,468,093
12/31/99 FORM 13F THE CAPITAL MANAGEMENT CORP.
PAGE 4
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ITEM 8:
SHARES OR INVST DISCRET V O T I N
G A
U T H O R I T Y
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR
(S H A R E S)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD
MGRS (A)SOLE (B)SHARED (C)NONE
Johnson & Johnson, Inc. COMMON 478160104 513,708 5,969 X ALL
5,969
Keane, Incorporated COMMON 486665102 670,542 24,950 X ALL
24,950
Estee Lauder COMMON 518439104 250,517 4,900 X ALL
4,900
Eli Lilly & Company COMMON 53245710 1,144,568 17,115 X ALL
17,115
Lowes Companies Inc. COMMON 54866110 1,717,797 38,494 X ALL
38,494
Lucent Technologies COMMON 549463107 1,578,089 28,434 X ALL
28,434
MCI WorldCom Inc. COMMON 55268B106 521,667 11,356 X ALL
11,356
Markel Corporporation COMMON 570535104 4,066,380 24,795 X ALL
24,795
Marshall & IIsley Corp. (WI) COMMON 571834100 545,813 10,650 X ALL
10,650
Meditrust Corp COMMON 58501T306 200,265 55,243 X ALL
55,243
Medtronic Inc. COMMON 58505510 953,888 20,850 X ALL
20,850
Merck & Company, COMMON 589331107 777,882 9,870 X ALL
9,870
Microsoft Corp. COMMON 594918104 440,439 4,500 X ALL
4,500
Minerals Technology, Inc. COMMON 603158106 1,102,193 24,425 X ALL
24,425
Minnesota Mining & Manufacturing COMMON 604059105 851,990 9,100 X ALL
9,100
MOLEX, Incorporated COMMON 608554101 411,274 8,084 X ALL
8,084
MOLEX, Incorporated Class A COMMON 608554200 1,030,586 26,943 X ALL
26,943
Monsanto Company COMMON 61166210 259,088 7,350 X ALL
7,350
Morrison Knudsen COMMON 61844A109 1,240,498 168,200 X ALL
168,200
Noble Drilling COMMON 655042109 205,188 7,000 X ALL
7,000
Norfolk Southern COMMON 655844108 331,177 19,481 X ALL
19,481
Nucor Corporation COMMON 67034610 415,417 8,350 X ALL
8,350
TOTAL 19,228,966
12/31/99 FORM 13F THE CAPITAL MANAGEMENT CORP.
PAGE 5
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ITEM 8:
SHARES OR INVST DISCRET V O T I N
G A
U T H O R I T Y
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR
(S H A R E S)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD
MGRS (A)SOLE (B)SHARED (C)NONE
Omnicare, INC. COMMON 681904108 824,678 78,075 X ALL
78,075
Oracle Systems Corp. COMMON 68389X105 3,552,458 71,116 X ALL
71,116
Pall Corporation COMMON 69642930 398,496 21,613 X ALL
21,613
Pepsico Inc. COMMON 713448108 1,719,912 50,400 X ALL
50,400
Perceptron Inc. COMMON 71361F100 408,800 102,200 X ALL
102,200
Pfizer, Inc. COMMON 717081103 5,180,823 143,166 X ALL
143,166
Philip Morris Cos. COMMON 718154107 2,544,447 121,888 X ALL
121,888
Quintiles Transnational Corp. COMMON 748767100 423,004 16,000 X ALL
16,000
Reliant Energy (Houston Ind.) COMMON 75952J108 264,626 11,600 X ALL
11,600
Right Mgmnt Consultants Corp. COMMON 766573109 455,000 36,400 X ALL
36,400
Robert Half International COMMON 770323103 1,251,461 32,400 X ALL
32,400
Rockwell Int'l Corporation COMMON 773903109 427,637 8,650 X ALL
8,650
Royal Dutch Petroleum Co. COMMON 780257804 836,952 15,200 X ALL
15,200
SBC Communications, Inc. COMMON 78387G103 456,279 10,642 X ALL
10,642
SPSS INC. COMMON 78462K102 724,045 28,050 X ALL
28,050
Schering Plough Corporation COMMON 806605101 219,376 5,000 X ALL
5,000
Schlumberger LTD. COMMON 806857108 712,297 11,665 X ALL
11,665
ServiceMaster Co., Inc. COMMON 81760N109 973,423 68,012 X ALL
68,012
Southwest Airlines COMMON 844741108 223,126 14,000 X ALL
14,000
Sprint Corporation COMMON 852061100 497,613 7,700 X ALL
7,700
Sprint Corp PCS COMMON 852061506 443,552 4,030 X ALL
4,030
Sterling Commerce, Inc. COMMON 859205106 764,680 27,310 X ALL
27,310
TOTAL 23,302,685
12/31/99 FORM 13F THE CAPITAL MANAGEMENT CORP.
PAGE 6
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ITEM 8:
SHARES OR INVST DISCRET V O T I N
G A
U T H O R I T Y
TITLE CUSIP FAIR MARKET PRINCIPAL SOLE OTHR
(S H A R E S)
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT SHRD
MGRS (A)SOLE (B)SHARED (C)NONE
Sun Microsystems, Inc. COMMON 866810104 235,688 3,000 X ALL
3,000
Suntrust Banks, Inc. COMMON 86791410 1,385,663 23,264 X ALL
23,264
Texaco, Inc. COMMON 881694103 761,085 14,394 X ALL
14,394
Thermo Electron Corporation COMMON 883556102 250,530 14,471 X ALL
14,471
Timken Roller COMMON 887389104 445,333 27,300 X ALL
27,300
Tootsie Roll COMMON 890516107 392,460 12,459 X ALL
12,459
United Dominion Realty Trust COMMON 910197102 216,796 22,524 X ALL
22,524
Vodafone Airtouch PLC COMMON 92857T107 11,107,040 198,340 X ALL
198,340
Wachovia Corporation COMMON 92977110 1,152,228 17,986 X ALL
17,986
Washington Mutual COMMON 939322103 1,035,310 40,800 X ALL
40,800
Washington Real Estate Inv. Tr. COMMON 939653101 293,725 18,950 X ALL
18,950
Westvaco Corp. COMMON 961548104 303,186 11,050 X ALL
11,050
Wm. Wrigley Jr. Co. COMMON 982526105 554,190 7,105 X ALL
7,105
X-Rite Inc. COMMON 983857103 540,086 64,250 X ALL
64,250
XEROX Corporation COMMON 984121103 1,277,040 61,175 X ALL
61,175
TOTAL 19,950,360
GRAND TOTAL 139,730,210
</TABLE>