About Us

We are a firm with a depth of experience. All of our managing partners have held prior chief executive experience positions at other major regional or national investment companies. Two hold the Chartered Financial Analyst (CFA) designation; two have Masters of Business (MBA) advanced degrees.

 

Our Managing Partners

Timothy Colin Call, CFA

Timothy C. Call began his career in 1990 with the Dalkon Shield Claimants Trust. In 1995, he joined Lowe Brockenbrough & Company as a research analyst, rising to Director of Research in 2001. Tim joined CMC in 2006 from Beacon Trust Company, where he served as Chief Investment Officer. Tim serves as Chief Investment Officer and Chairman of the Investment Policy Group. He is a member of The Richmond Society of Financial Analysts.

M. Scott McFadden, Jr., CFA

M. Scott McFadden, Jr., began his career in 1972 with South Carolina National Bank and subsequently became president of the bank’s investment subsidiary. In 1980, he joined Wheat Investment Advisors as a Vice President and Senior Portfolio Manager. In 1985, he became a Vice President with Capitoline Investment Services and was a member of their Policy and Strategy Group. Scott joined CMC in 1991 as a Portfolio Manager and member of the Investment Policy Group. He is a member of The Richmond Society of Financial Analysts.

Preston S. Smith

Preston S. Smith began his career in 1980 at Wheat First Securities. In 1993, he co-founded Tredegar Trust Company in Richmond, VA and served as the Executive Vice President and Chief Financial Officer. In 1997, he joined Lowe Brockenbrough & Company as a Vice President. Preston joined CMC in June of 2006 as Director of Private Client Group and Servicing.

Kenneth L. Walker

Kenneth L. Walker began his career in the Trust Department of First & Merchants National Bank (now Bank of America) in 1974. Subsequently, he spent almost ten years with United Virginia Bank and its investment subsidiary, Capitoline Investment Services (now SunTrust Bank) before joining T. Rowe Price in 1988 as President of one of its operating subsidiaries. Ken joined CMC in 2002 as Managing Partner and Compliance Officer and is a member of the Investment Policy Group. He is a member of The Richmond Society of Financial Analysts.
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