Our Team
We are employee-owners and accomplished professionals.
The Capital Management Corporation
SEC-registered investment advisor since 1964
GIPS® compliant composites
Boutique fiduciary providing personal service
$750M+ assets under management
Rigorous & prudent investment process
Invest our own wealth in CMC portfolios
Investment Committee

Timothy C. Call, CFA
President and Chief Investment Officer
Tim Call is the Chief Investment Officer and President of CMC. As CIO, he is responsible for overseeing the investment process and chairing both the investment committee and risk management committee. Over his 25+ year investment career, he has served as CIO, director of equity research, and research analyst. He has assisted foundations and endowments in determining appropriate investment strategy, asset allocation, and spending policy. He is quoted by the financial press and has been a guest on CNBC and Fox Business.
He has a BA in Economics and Mathematics from the University of Virginia and received his MBA from Duke University. He is also a member of the CFA Society of Virginia.

Mark W. Livesay, CFA
Vice President & Portfolio Manager
Mark Livesay is Portfolio Manager and Vice President of CMC and brings 20-years of investment experience working for large institutional investment firms. As portfolio manager, he is responsible for developing and implementing investment ideas. He is a member of both the investment committee and risk management committee.
He has a BA in Economics from the University of Virginia and is a member of the CFA Society of Virginia.

Scott Davila
Vice President of Marketing, Client Relations & Business Development
Scott Davila is Vice President of marketing, client relations and business development for Capital Management Corporation. Before joining the firm, Scott tallied 30 years of marketing and client relations experiences for Padilla, one of the largest marketing and public relations agencies in the country. While there he held many leadership positions, including SVP of Padilla’s Connection Strategy. He served as the lead strategist for numerous Fortune 500 companies, including financial institutions. Before his career at Padilla, Scott worked specifically in the financial services industry at Signet Bank and then as fixed income trader at Craigie Incorporated.
He has a BA in Economics from Virginia Military Institute and a Series 65 certification.

Joseph J. Opiekun, CFA
Junior Portfolio Manager
Joseph J. Opiekun is a Junior Portfolio Manager responsible for supporting investor research, trading and portfolio management. Joey received a BS in Finance and a BA in English from the University of Mary Washington (UMW) where he was the President and founder of the UMW’s Investment Club. Joey is a member of the CFA Society of Virginia.
Client Service Team

Pamela C. Simms, CFP
Vice President & Chief Compliance Officer
Pam Simms is Director of Operations and Chief Compliance Officer for CMC. She brings over 30 years of investment experience encompassing managing investment trading, client relations, and accounting. She chairs CMC’s compliance committee.
She is a graduate of the College of William & Mary.

Sarah Pond
Client Relations & Administration
Sarah Pond joined CMC in 2025 as the Client Relations Administrator. She brings over 25 years of customer service experience working as the Director of Operations in both the early education field and the recruiting industry. Sarah joins us with a BS from Virginia Commonwealth University and a Financial Paraplanner certification from Kaplan College of Financial Planning.

Tracy L. Leeper
Client Relations & Trading Manager
Tracy Leeper began her career in 2000 with Wells Fargo Advisors as a Trade Coordinator. She was with Wells Fargo for ten years prior to joining CMC. Tracy focuses on CMC’s trading activities and the portfolio accounting system. She has a BS in Finance from Virginia Tech and a Series 65 certification.

Kenneth L. Walker
Client Relations Manager
Ken Walker is the former President and Managing Director of CMC and currently serves as a Client Relations Manager. He has served as president of a subsidiary of one of the nation’s largest mutual fund companies. He has served as an independent fund director for a global insurance company. He is a former director of a national Fintech company. He has written books on investments and been quoted in investment trade publications over his career. He has been a director for numerous museums, hospitals, university, and religious civic organizations. He has over 40-years of investment industry experience.
He has a BSBA and MBA from the University of Richmond.
Our Accolades
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60 years of outstanding customer service and history of success.
