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
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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
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-------------------------------------------------------------------------------- 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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-------------------------------------------------------------------------------- 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
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-------------------------------------------------------------------------------- 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 %
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-------------------------------------------------------------------------------- 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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