ALEX - J. ALEXANDER SECURITIES, INC.          Page  of 6         May 2001    April 2001    Year-to-Date       Volume  Rank  %    Volume  Rank  %    Volume  Rank  %    
  --------------------------------------------------------------------------------   Total Share Volume  37,291,732   
  --------------------------------------------------------------------------------   BMII  BLAGMAN MEDIA INTL INC 4,943,600   3   10        5,000   15   <1        4,948,600   5   7    TELIE   2,773,200   2   24        9,593,000   1   20        21,705,000   1   25    TTRIF  THERMO TECH TECH INC 2,650,000   19   <1        120,000   21   <1        2,915,000   24   <1    TTLN  TOTAL ENTERTAINMENT INC 2,088,810   3   13        233,800   2   16        3,117,210   3   13    TLYX  TELYNX INC 1,293,332   12   <1        30,000   19   <1        1,363,332   20   <1    XDSL  MPHASE TECHNOLOGIES INC 1,241,600   2   20        75,000   7   4        1,478,110   4   9    ARET  AMERIRESOURCE TECHNOLGIES INC 1,136,779   10   1        826,000   10   2        4,051,384   11   1    ECNC  ECONNECT 925,000   12   1   -  -  -        1,206,000   18   <1    GLCP  GREENLAND CORP CL A 883,300   6   8        870,000   3   9        4,002,800   5   7    TEXN  21ST CENTURY TECHS 774,400   5   5        635,200   7   5        1,419,600   5   5    UNDY  UNIDYN CORP 718,700   2   15        125,000   2   14        1,204,131   3   12    MPTV  MPTV INC 700,000   16   <1        9,996   21   <1        1,919,996   21   <1    NRES  NATIONAL RESIDENTIAL PROPERTIE 640,000   13   <1        225,000   13   <1        1,205,000   15   <1    PHXU  PHOENIX INTL INDUSTRIES NEW 599,000   2   12        626,100   4   9        4,308,200   3   10    MRTO  MERCHANTONLINE.COM INC 564,875   6   9        159,800   11   2        764,675   10   3    CLRT  CELERITY SYSTEMS INC 513,100   14   1   -  -  -        513,100   20   <1    VCSY  VERTICAL COMPUTER SYSTEMS NEW 494,526   14   <1        415,679   18   <1        1,380,220   18   <1    MHTX  MANHATTAN SCIENTIFICS INC 477,000   4   6        264,000   10   5        1,438,500   7   5    PDEN  PET QUARTERS INC 472,300   7   5        594,500   3   14        1,555,800   6   7    OBTVE   420,000   1   72        75,000   3   11        1,405,025   4   8    ICOA  ICOA INC 397,000   5   7   -  -  -        397,000   5   7    COTV  CONNECTIVCORP 379,500   2   23        90,500   3   4        485,000   2   12    CGPNE   377,832   7   1        43,834   18   <1        3,078,216   8   2    MYNG  GOLDEN EAGLE INTL INC 362,577   6   7        1,342,024   2   25        4,112,501   2   19    AIPN  AMERICAN INTL PETRO CP 345,011   14   <1        78,213   16   <1        528,424   19   <1    IVGG  IVG CORP 336,050   1   25        18,700   14   1        354,750   6   5    AQCI  AQUATIC CELLULOSE INTL CORP 321,166   5   11        406,500   7   5        1,514,166   6   6    TWIC  2-INFINITY INC 320,000   3   10        254,000   4   5        999,729   6   4    PSOF  PRISM SOFTWARE CORP 313,000   1   24   -  -  -        648,000   4   13    AMCI  AMERICAN MILLENNIUM CORP INC 237,800   4   9   -  -  -        237,800   9   3    CTDH  CTD HOLDINGS INC 234,300   2   17   -  -  -        234,300   2   15    ISNQ  INSYNQ INC 227,875   10   2        627,000   5   7        908,375   7   3    MDCH  MEDITECH PHARMACEUTICALS 225,000   6   6        10,000   13   <1        709,600   8   3    HQNTE   217,000   3   12        233,200   4   9        1,144,750   5   8    ABTG  AMBIENT CORP 210,000   2   10        269,050   2   17        685,450   4   8    AGNV   210,000   3   19        250,000   1   68        2,788,000   1   46    MYIQ  EDULINK INC 210,000   14   <1        115,013   14   <1        1,782,526   13   <1    ARSN  ARS NETWORKS INC 205,500   1   34        119,000   1   26        558,950   1   26    GTIXE  GRAPHICS TECH INC 205,000   10   <1        150,000   5   7        680,000   11   1    SKGV   200,000   6   8        905,000   5   6        1,521,500   12   1    KWNK  KNOWLEDGE NETWORKS INC NEW 200,000   2   15        135,000   4   7        2,510,200   2   20    BHAS   200,000   11   2   -  -  -        820,503   17   <1    GNLK  GENELINK INC 188,000   1   44   -  -  -        218,000   1   21    AMQT  AMERIQUEST TECHNOLOGIES INC 177,600   3   15        88,000   3   14        334,600   6   6    MFLE   174,668   12   <1        223,000   10   <1        2,112,668   11   <1    EVTV  E-VIDEOTV INC 169,600   4   12        522,500   2   22        1,805,000   2   18    AIMIE   162,500   4   12        399,000   2   21        1,544,600   2   18    COSL  COI SOLUTIONS INC 162,500   1   46        261,000   1   31        1,317,400   1   32    BIOHF  BIOTECH HOLDINGS LTD 161,900   2   16        264,400   1   23        426,300   5   7 
  otcbb.com
  ALEX - J. ALEXANDER SECURITIES, INC.          Page  of 6         May 2001    April 2001    Year-to-Date       Volume  Rank  %    Volume  Rank  %    Volume  Rank  %    
  --------------------------------------------------------------------------------   Total Share Volume  37,291,732   
  --------------------------------------------------------------------------------   AACS  AMERICAN COMM SOLUT 153,200   3   22        166,400   3   8        319,600   3   11    ABRG  AMBRA RESOURCES GROUP INC 145,000   20   <1   -  -  -        366,667   19   <1    BIKO  BICO INC 132,700   30   <1        62,413   23   <1        2,472,844   24   <1    WASTE   126,666   12   1        141,500   9   3        446,666   13   1    BZHM  BIOZHEM COSMECEUTICALS INC 119,400   1   31        23,000   3   9        309,600   2   18    AREE  ARETE INDUSTRIES INC 115,000   18   <1        399,000   12   <1        1,359,000   16   <1    PMII  PARA MAS INTERNET INC 110,000   8   3   -  -  -        110,000   17   <1    NSTG  NORSTAR GROUP INC 107,400   2   16        477,500   2   17        1,306,500   3   13    ZSUN  ZIASUN TECHNOLOGIES INC 106,800   3   10   -  -  -        189,600   6   6    TSET  T S E T INC 106,000   7   6        118,754   6   6        346,950   6   5    MRDG  MIRACOR DIAGNOSTICS INC 104,000   3   13        53,000   1   21        446,320   1   19    LRCM  LEARNCOM INC 100,000   23   <1        50,000   17   <1        1,305,000   15   1    ELNR   100,000   2   26   -  -  -        115,616   2   13    ENDV  ENDOVASC LTD INC 95,000   17   <1   -  -  -        95,000   23   <1    JOES  EAT AT JOE'S LTD 86,000   4   7        116,500   6   7        928,676   4   9    EGBT  EAGLE BUILDING TECH 85,000   3   9   -  -  -        144,917   7   4    AQCB  AQUA CLARA BOTTLING & DIST INC 81,850   11   1        636,900   6   5        2,213,350   7   4    IFUE  INTL FUEL TECH INC 79,400   9   3        18,200   8   2        373,898   7   5    ROYA  ROYAL FINANCE INC 76,600   2   24        38,900   2   22        181,800   1   25    AIGI  ADAIR INTL OIL & GAS INC 75,000   18   <1        47,500   15   <1        273,200   15   <1    NCTI  NCT GROUP INC 75,000   27   <1        10,000   24   <1        199,000   31   <1    APVAF  APIVA.COM WEB CORPORATION 70,000   3   16        2,010,000   1   79        2,443,500   1   37    DMEC  DIAMOND ENTERTMNT CP 70,000   8   1   -  -  -        85,000   14   <1    ENTI  ENTERTAINMENT INTL LTD 66,000   2   21        30,000   6   3        1,199,282   3   16    GRAD  COLLEGE BND STDNT AL 65,000   3   8        159,500   2   14        353,250   3   11    TSER   65,000   10   <1        20,000   13   <1        307,000   15   <1    WTER  WATER CHEF INC 65,000   19   <1        10,000   18   <1        150,000   18   <1    ASPQ  ASPI EUROPE INC 62,700   4   4        1,020,327   1   34        1,214,127   3   18    BTLY  BENTLEY COMM CORP 60,300   4   10        204,000   1   23        1,191,072   2   16    MJXC  MAJESTIC CO'S LTD (THE) 60,000   16   <1        95,013   15   <1        210,013   20   <1    INZSE   60,000   1   25        13,185   4   6        113,185   5   11    PUNK  INTERNET ADVISORY CORP (THE) 60,000   2   19   -  -  -        127,000   8   5    GVLT  GREENVOLT POWER CORP 58,500   13   1   -  -  -        93,400   14   1    TIDEE   58,300   14   1   -  -  -        64,800   19   <1    BHASE   55,000   11   2   -  -  -        820,503   17   <1    CDKX  CDKNET.COM INC 54,000   2   11        15,000   9   1        207,000   7   4    QPRC  QUEST PRODUCTS CORP 53,987   12   1        5,013   16   <1        274,026   14   <1    LPTI  LONGPORT INC 52,800   6   8        46,400   4   9        284,885   6   10    EVGLE   52,000   1   62   -  -  -        77,000   1   35    CNES  CONECTISYS CORP 50,500   7   5   -  -  -        65,500   15   <1    IGNE  IGENE BIOTECH INC 50,000   5   4        37,000   3   15        232,154   7   2    CNGG  CAMBRIDGE ENERGY CORP 50,000   10   1        4,000   10   <1        81,000   10   1    GRLZ  BOYSTOYS .COM INC 50,000   1   33   -  -  -        171,000   2   13    SHPH  SHAMAN PHARM INC NEW 45,000   14   1        620,000   3   14        2,969,124   6   6    ACCR  ACCESS POWER INC 44,500   15   <1   -  -  -        119,513   20   <1    MODG  MODERNGROOVE ENT INC 40,500   6   8   -  -  -        40,500   10   2    NOREE   40,000   2   11        55,000   12   2        220,000   14   2    PNRR  PINNACLE RES INC 40,000   7   2        31,000   2   17        118,000   5   4    MOOR  CHADMORE WIRELESS GROUP INC 40,000   8   4        15,000   16   <1        125,500   15   1   
  --------------------------------------------------------------------------------  ALEX - J. ALEXANDER SECURITIES, INC.          Page  of 6         May 2001    April 2001    Year-to-Date       Volume  Rank  %    Volume  Rank  %    Volume  Rank  %    
  --------------------------------------------------------------------------------   Total Share Volume  37,291,732   
  --------------------------------------------------------------------------------   SEVU  SEAVIEW VIDEO TECHNOLOGY INC 37,500   15   <1        6,000   18   <1        55,000   23   <1    GSFT  GLOBAL SEAFOOD TECH INC 37,000   11   2        1,000   19   <1        142,760   15   <1    OXIR  OXIR INVESTMENTS INC 36,000   1   50   -  -  -        36,000   2   23    EMFP  EMERGENCY FILTRATION PRODUCTS 35,100   1   25        20,000   3   8        323,500   1   22    MMHD   33,800   4   15        8,000   5   8        83,440   3   14    MDPA  METROP HLTH NTWKS 32,000   14   1        36,100   16   1        68,100   17   <1    FONX  FONIX CORP 30,900   24   <1        25,000   20   <1        123,400   27   <1    NUTK  NUTEK INC 30,000   8   1        35,000   9   1        117,400   12   1    FFAX  FREFAX INC 30,000   6   5   -  -  -        55,000   11   1    ATLI  AMERICAN IR TECH INC 30,000   6   3   -  -  -        30,000   9   2    MAHT  MALAHAT ENERGY CORP 28,500   4   11   -  -  -        28,500   4   11    OGNI  ORIGIN INVESTMENT GROUP 28,000   4   17   -  -  -        28,190   9   3    TIGIE   27,500   19   <1        161,850   16   1        231,850   18   <1    NVEI  NEW VISUAL ENTERTMNT INC NEW 27,300   7   2        1,500   20   <1        632,412   4   7    QPDC  QUALITY PRODUCTS INC 27,200   2   36        130,500   1   86        227,225   1   58    LDSR  LANDSTAR INC 27,100   7   2        2,900   9   1        48,000   15   1    TRKR  TRACKER CORP OF AMERICA 27,000   14   <1        65,000   14   <1        518,869   15   1    ZNET  CYBERNET INTERNT SVCS INTL INC 26,000   4   8        16,000   5   8        54,000   6   8    OKOKE  OKLAHOMA ENERGY CORP 25,000   16   <1        60,000   11   1        385,013   14   1    DMDI  DIAMOND INTERNATIONAL GRP INC 25,000   10   2        7,490   11   <1        307,400   8   4    NAXOF  NAXOS RESOURCES LTD 25,000   9   1   -  -  -        185,200   8   3    PAXM  PREMIER AXIUM ASP 24,500   16   <1   -  -  -        24,500   21   <1    PNWK  PATH 1 NETWK TECHNOLOGIES INC 24,300   1   34        159,027   1   33        289,280   2   18    BENGB  BENGUET CORPORATION CL B 24,000   9   1        86,000   5   13        191,000   6   5    VALH  VALUE HOLDINGS INC 23,000   14   <1        25,000   16   <1        108,005   17   <1    JUNM  JUNUM INC 23,000   10   3   -  -  -        49,950   13   2    HQNT  H QUOTIENT INC 22,500   3   12        233,200   4   9        1,144,750   5   8    BSYI  BIOSYNTECH INC 22,300   5   7        47,600   3   14        214,050   4   7    IMDS  IMAGING DIAGNOSTIC SYSTEM INC 21,500   20   <1        500   23   <1        45,500   28   <1    SENS  SENTEX SENSING TECH 21,474   7   1        48,974   7   5        257,641   7   3    RAMV  RAM VENTURE HLDGS CORP 20,000   2   16        106,000   2   22        350,670   2   18    EONE  EVOLVE ONE INC 20,000   16   <1        70,000   13   <1        247,000   19   <1    FDNIE   20,000   6   1        67,500   6   3        130,000   13   <1    SFAD  SAFE TECHNOLGS INTL INC 20,000   15   <1        35,000   15   <1        190,000   20   <1    FLNTE   20,000   13   <1        25,000   17   <1        45,000   18   <1    QDXCE   20,000   5   4        15,000   6   1        75,000   9   <1    IBUI  INTERNET BUSNSS INTL INC 20,000   21   <1        10,000   22   <1        73,500   26   <1    ARCS  ARC WIRELESS SOLUTIONS INC 20,000   15   <1   -  -  -        73,000   19   <1    GOPL  GEO PETROLEUM INC 20,000   2   13   -  -  -        57,200   8   3    ABSH  ADVANCED BUSINESS SCIENCES INC 20,000   9   4   -  -  -        30,000   10   2    ADGI  AMERICAN DIVERSIFIED GROUP INC 20,000   19   <1   -  -  -        20,000   23   <1    NMXS  NMXS.COM INC 20,000   17   <1   -  -  -        20,000   17   <1    NEWY  NEW SYSTEMS INC 19,300   1   22        50,500   2   23        78,800   2   17    ASCS  ASCONI CORP 18,610   7   3   -  -  -        18,610   20   <1    UMDA  UNCOMMON MEDIA GRP 18,500   11   1        500   16   <1        29,600   13   <1    SCYA  SECURITY ASSET CAPITAL CORP 18,400   10   1        62,000   7   2        107,900   8   2    ASAP  ACCESSPOINT CORP 18,200   4   3        3,000   9   1        99,400   7   4    KWINE   18,000   9   2        526,600   3   15        1,335,100   2   15    IPII  IMPERIAL INDS INC 17,400   3   16        20,000   4   9        47,400   4   6   
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  --------------------------------------------------------------------------------   Total Share Volume  37,291,732   
  --------------------------------------------------------------------------------   UWIN  NEVADA GOLD & CASINOS INC 15,500   4   6        22,500   2   15        88,208   4   9    AIMI  AFFINITY INTL MKTING 15,000   4   12        399,000   2   21        1,544,600   2   18    NORE  NORAM GAMING & ENTNMT INC 15,000   2   11        55,000   12   2        220,000   14   2    ESWW  ENVNMTL SOLUTNS WRLDWDE INC 15,000   15   <1   -  -  -        15,000   22   <1    NTMM  NT MEDIA CORP CA 14,600   1   46        19,500   2   33        34,100   1   38    ICTT  ICT TECHNOLOGIES INC 14,500   2   44        5,600   2   30        70,500   1   55    ADMD  ADVANCED MED TECH INC 13,700   19   <1        25,000   16   1        188,735   16   1    CNMT  CONMAT TECHS INC 13,100   1   62        74,800   1   53        225,900   1   24    AGTE  AGATE TECH INC 13,100   14   1        10,000   6   4        168,763   6   6    HPIC  HOT PRODUCTS INC.COM 13,000   7   2        15,000   9   1        80,500   12   1    SOCTE   13,000   6   3        6,000   11   1        19,000   14   <1    GLTIE   13,000   12   <1   -  -  -        28,500   22   <1    XMLG  XML GLOBAL TECHNOLOGIES INC 13,000   13   <1   -  -  -        22,500   17   <1    RFIVF  RESOURCE FINANCE & INV LTD 12,720   3   28        17,500   2   31        36,220   3   21    MGXO  MOSSIMO INC 12,400   15   <1        7,001   15   1        49,801   14   <1    HDGC  HALSEY DRUG CO INC 12,200   12   <1        30,500   7   4        122,200   8   3    CHTP  CHARTER PACIFIC BANK AGOURA CA 12,141   9   2   -  -  -        59,641   6   6    UTOU  UNIVERSE2U INC 11,940   12   1   -  -  -        11,940   16   <1    AMEU  AMEUROTECH CORP 11,000   11   1        11,000   19   <1        22,000   19   <1    ELIN  ELINEAR INC 10,616   2   26   -  -  -        115,616   2   13    JYRA  JYRA RESEARCH INC 10,400   5   6        22,000   6   6        94,960   5   8    TEXNE   10,000   5   5        635,200   7   5        1,419,600   5   5    PFERE   10,000   4   5        153,209   2   18        326,709   6   7    MEHO  MERIDIAN HLDNGS INC (CO) 10,000   4   5        36,000   4   14        46,000   7   2    TVCP  TALK VISUAL CORP 10,000   24   <1        15,000   19   <1        157,000   23   <1    TENS  TENSLEEP CORPORATION 10,000   8   1        10,000   9   1        20,000   15   <1    ADVC  ADVANCED COMM TECH INC 10,000   14   <1        7,500   17   <1        68,000   18   <1    DTOX  CITA BIOMEDICAL INC 10,000   8   2        5,000   8   1        166,110   4   7    PWEB  PACIFIC WEBWORKS INC 10,000   12   1        5,000   14   <1        53,900   15   1    DYIGE  DYNAMIC IMAGING GRP 10,000   4   11        5,000   6   4        35,000   13   1    STCEE   10,000   3   22   -  -  -        180,000   1   35    TPWR  TRACKPOWER INC 10,000   16   <1   -  -  -        140,000   16   <1    AMDI  APPLIED MEDICAL DEVICES INC 10,000   11   <1   -  -  -        20,000   15   <1    NAWL  NATUREWELL INC 10,000   15   <1   -  -  -        10,000   17   <1    ONCL  ONECLASS SYNERGY CORP 10,000   9   1   -  -  -        10,000   12   <1    AMNM  AMNIS SYSTEMS INC 10,000   11   2   -  -  -        10,000   14   <1    KMGGE   9,700   8   2   -  -  -        9,700   14   <1    JBRD   9,250   12   <1        15,000   12   <1        64,250   15   <1    EXTS  EXOTICS.COM INC 8,900   5   10        5,600   3   12        19,700   3   12    PNLK  PRO NET LINK CORP 8,700   16   <1        15,000   16   <1        61,700   17   <1    CRLI  CIRCUIT RESEARCH LABS INC 8,700   3   15        7,200   2   23        57,393   3   10    AVDI  ADVNCD TECH INDS INC 8,500   11   <1   -  -  -        8,500   12   <1    FAVE  5TH AVE CHANNEL CORP 8,164   7   2        16,800   8   2        24,964   16   <1    FGWC  5 G WIRELESS COMM 8,000   16   <1   -  -  -        8,000   20   <1    OSWE  OHIO & SOUTHWESTERN ENERGY CO 7,834   7   6        37,000   1   32        89,357   4   11    CAAP  CITIZENS CAPITAL CP 7,500   5   5        32,000   4   7        115,400   3   11    APPI  ADVANCED PLANT PHARMCTCLS 7,500   13   <1        15,000   15   <1        40,000   17   <1    APPIE   7,500   13   <1        15,000   15   <1        40,000   17   <1    TIDE  TIDELANDS OIL & GAS CORP 6,500   14   1   -  -  -        64,800   19   <1   
  --------------------------------------------------------------------------------          Page  of 6         ALEX - J. ALEXANDER SECURITIES, INC.          Page  of 6         May 2001    April 2001    Year-to-Date       Volume  Rank  %    Volume  Rank  %    Volume  Rank  %    
  --------------------------------------------------------------------------------   Total Share Volume  37,291,732   
  --------------------------------------------------------------------------------   LGOV  LARGO VISTA GROUP LTD 6,000   14   <1        12,500   14   <1        107,500   14   <1    VMII  VOICE MOBILITY INTL INC 6,000   8   2        9,500   9   3        93,400   5   6    STEK  SYSTEMONE TECH INC 6,000   4   10   -  -  -        6,000   4   10    SRCM  SOURCE MEDIA INC 5,000   17   <1        80,800   4   9        253,100   7   5    CRRZE   5,000   5   4        17,000   5   6        68,000   6   8    ESNG  ESCAGENETICS CORP 5,000   4   3        5,000   3   12        20,000   6   2    IHWY  INFORMATION HIGHWAY.COM INC 5,000   6   2        3,500   9   2        23,500   15   <1    NAXOE   5,000   9   1   -  -  -        185,200   8   3    STRU  STRUTHERS INC 5,000   17   <1   -  -  -        26,600   19   <1    ADOT  ADVANCED OPTICS ELECTRONCS INC 5,000   16   <1   -  -  -        18,800   23   <1    ASPVE  AMERICAS SPORTS VOICE INC 5,000   6   2   -  -  -        10,000   14   <1    EPAR  EUROPEAN AMERICAN RES INC 5,000   15   <1   -  -  -        10,000   15   <1    MHUT  MEDI-HUT CO INC 5,000   26   <1   -  -  -        8,500   24   <1    TSTA  TURBOSONIC TECHNOLOGIES INC 5,000   5   4   -  -  -        7,000   7   1    EPHO  EPHONE TELECOM INC 5,000   18   <1   -  -  -        6,000   19   <1    SSMR  SUNSHINE MG & REFIN 5,000   8   <1   -  -  -        5,875   9   <1    ALTX  ALTEX INDUSTRIES INC 5,000   8   3   -  -  -        5,000   10   <1    CSOL  CALL-SOLUTIONS INC 5,000   11   <1   -  -  -        5,000   12   <1    CITN  CT HOLDINGS INC 5,000   13   <1   -  -  -        5,000   13   <1    MRAY  MURRAY UTD DEV CORP 5,000   14   <1   -  -  -        5,000   17   <1    SRUN  STARUNI CORP 5,000   11   <1   -  -  -        5,000   14   <1    VSTF  VANSTAR FILMS INC 5,000   6   1   -  -  -        5,000   7   <1    ENFS  ENTRUST FINL SVCS 5,000   15   <1   -  -  -        5,000   21   <1    PNGR  PANAGRA INTL CORP 4,500   13   <1        1,500   11   <1        6,000   14   <1    CALA  CATALINA LIGHTING 4,500   5   6   -  -  -        4,500   5   6    FIND  FINDEX.COM INC 4,098   9   1   -  -  -        4,598   19   <1    SXCR  SURGICARE INC 4,000   7   1        1,500   8   1        35,500   5   6    PWCL  POWERCOLD CORP 3,300   16   <1        3,200   16   <1        14,500   17   <1    HTHV  5 STARLIVING ONLINE INC 3,000   7   3        73,000   1   29        76,000   2   12    CLPO  CALPROP CORP 3,000   4   1        4,500   1   28        20,800   5   7    PENC  PEN INTERCONNECT INC 3,000   15   <1   -  -  -        319,000   14   <1    AMDD  AMDL INC NEW 2,750   17   <1        3,000   13   <1        17,750   15   <1    TRUY  TREASURY INTL-NEW 2,601   5   6   -  -  -        412,601   7   5    ADVR  ADVANCED VIRAL RESEARCH CORP 2,500   22   <1        30,000   15   <1        79,000   20   <1    CEAT  CONTROLLED ENVNMT AQUACULT TEC 2,500   2   31        850   2   31        7,600   5   8    EDGE  EDGE TECHNOLOGY GROUP INC 2,300   11   1        108,000   1   48        110,300   3   11    OSIN  OPTIMUM SOURCE INTL INC 2,000   16   <1        10,700   12   1        59,500   22   <1    SNMM   2,000   21   <1   -  -  -        23,000   23   <1    EBXX   2,000   17   <1   -  -  -        2,000   20   <1    THEOW  TRANSLATION GP WT 6/2001 2,000   2   36   -  -  -        2,000   7   1    OECI  ORBIT E-COMMERCE INC 1,800   15   <1   -  -  -        1,800   17   <1    MUSD  MERIDIAN USA HOLDINGS INC 1,600   9   <1   -  -  -        1,600   15   <1    WCOL  WORLD COMM ONLINE INC (DEL) 1,500   15   <1        30,360   10   4        74,360   11   2    CDHI  CTI DIVERSIFIED HLDG 1,500   7   <1   -  -  -        1,500   11   <1    MILL  MILLER PETROLEUM INC 1,400   9   3   -  -  -        1,400   15   <1    TMUL  TEMECULA VALLEY BK NA 1,000   3   2        15,760   2   29        36,910   2   23    TAHI  TRANSAMERICAN HLDGS 1,000   2   33        1,000   1   47        4,000   1   47    FWSY  FIRST WESTERN BK SIMI VLY CA 800   6   1   -  -  -        1,076   7   <1    FPDI  FRONT PORCH DIGITAL INC 500   29   <1   -  -  -        7,800   32   <1   
  --------------------------------------------------------------------------------          Page  of 6         ALEX - J. ALEXANDER SECURITIES, INC.          Page  of 6         May 2001    April 2001    Year-to-Date       Volume  Rank  %    Volume  Rank  %    Volume  Rank  %    
  --------------------------------------------------------------------------------   Total Share Volume  37,291,732   
  --------------------------------------------------------------------------------   TALL  IVP TECHNLGY CORP (NEW) 500   14   <1   -  -  -        30,000   19   <1    FPDI  FRONT PORCH DIGITAL INC 500   29   <1   -  -  -        7,800   32   <1    LPHI  LIFE PARTNERS HOLDINGS INC 500   11   <1   -  -  -        1,000   12   <1    FTAB  FIRST AMERN BK ROSEMEAD CALIF 330   9   <1   -  -  -        1,334   12   <1    GRFU  GREEN FUSION CORP 200   10   <1        500   5   4        700   9   <1   
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