Below is the most recent list Corporate Stock Buybacks.
3Com Corp. (COMS.O) - unknown amount AAON (AAON) - 187,500 shares over next 5 business days ABM Industries (ABM) - 1 mln shares 4% of outstanding ACE*COMM (ACEC) - $200,000 9.28 mln shares outstanding Acme United (ACU) - 150,000 shares 3.51 mln shares outstanding Actuate (ACTU) - $6 mln Adv. Digital Info. (ADIC) - 5% of outstanding AIG (AIG) - 40 mln shrs Akamai Technologies (AKAM) - $20 mln over 6 months Allstate (ALL) - $500 mln through 12/2002 AmeriVest Properties (AMV) - 50,000 shares AmSouth Bank (ASO) - 25 mln shares 7% of outstanding App. Micro Circuits (AMCC) - $200 mln 302 mln shares outstanding Applied Innovation (AINN) - 1.5 mln shares 15.9 mln shares outstanding Applied Micro Circuits Corp. (AMCC) - $200 mln Arch Coal (ACI) - 6 mln shares Ascential Software (ASCL.O) - $350 mln Astoria Fin'l (ASFC) - 5 mln shares 11% of outstanding Atrix Laboratories (ATRX) - $5 mln through 12/2001 AVIDYN (ADYN) - 1 mln shares 4.72 mln shares outstanding Bank One Corp. (ONE.N) - $500 mln Barr Laboratories (BRL) - $100 mln BEA Systems (BEAS) - $100 mln 394 mln shares outstanding Becton, Dickinson (BDX) - 10 mln shares 258.5 mln shares outstanding Berkshire Hills Banc. (BHL) - 346,278 shares 5% of outstanding Berry Petroleum (BRY) - $20 mln 21.1 mln shares outstanding Biovail (BVF) - $120 mln 141.6 mln shares outstanding Borland Software (BORL) - $30 mln 63.43 mln shares outstanding Boston Beer (SAM) - $5 mln expands existing plan Boston Properties (BXP) - $100 mln Bottomline Technologies (EPAY) -Up to $3 million of its common shares. Brookline Bancorp (BRKL) - 5% of outstanding Business Objects (BOBJ) - $50 mln over 2 years Camtek (CAMT) - $3 mln, 22.1 mln shares outstanding Capital Title Group Inc. (CTGI) - authorized the repurchase of up to 1 million shares. Cardinal Health (CAH) - $500 mln, 450 mln shares outstanding Cascade (CAE) - 600,000 shares CBRL Group (CBRL) - 3 mln shares, 55 mln shares outstanding Certegy (CEY) - $100 mln CFS Bancorp (CITZ) - 15% of outstanding equal to 2.3 mln shares Charles & Colvard (CTHR) - 1.3 mln shares 13.45 mln shares outstanding chinadotcom (CHINA) - $20 mln 102.7 mln shares outstanding Churchill Downs (CHDN) - 55,000 shares, 13 mln shares outstanding Cima Labs (CIMA) - $20 mln, 14.7 mln shares outstanding Cisco Systems (CSCO.O) -$3 bln Coach (COH) - $80 mln Compaq Computer Corp. (CPQ.N) - $550 mln Connecticut Banc. (SBMC) - 561,600 shares 5% of outstanding Convergys (CVG) - 5 mln shares 171mln shares outstanding Cotton States Life (CSLI) - 50,000 shares CPB (CPBI) - 3.5% of outstanding equal to 290,000 shares Crossroads Systems (CRDS) - $5 mln Cullen/Frost Bankers (CFR) - 2.6 mln shares 5% of outstanding CVB Fin'l (CVBF) - 1 mln shares expands existing plan Daugherty Resources (NGAS) - 2% of outstanding Designs Inc. (DESI.O) - 1 mln shrs DGSE (DGSE) - 300,000 shares replaces previous plan Dime Comm Bancshares (DCOM) -1,670,484 shares, or 10% of its common stock outstanding Dobson Comm. (DCEL) - $80 mln 33.3 mln shares outstanding Dollar Tree Stores (DLTR) - $100 mln DoubleClick (DCLK) - Up to $100 million of its common shares. Dynacq (DYII) - amt not specified 14.8 mln shares outstanding E*TRADE (ET) - 50 mln shares Echelon (ELON) - 2 mln shares over 2 years Elcom Int'l (ELCO) - 800,000 shares Electronic Arts (ERTS) - 2 mln shares Embarcadero Tech (EMBT) - Up to 250,000 of its common shares. Evergreen Resources (EVG) - 10% of outstanding equal to 1.85 mln shares Evertrust Fin'l Grp (EVRT) - 10% of outstanding expands previous plan EXCO Resources Inc. (EXCO.O) - 1.5 mln shrs FEI (FEIC) - 2 mln shares 31.98 mln shares outstanding Fifth Third (FITB) - amt not specified Finger Lakes Bancorp (FLBC) - 5% of outstanding First Bancorp of IN (FBEI) - 179,514 shares 10% of outstanding First Data (FDC) - $700 mln expands previous plan First Fin'l Holdings (FFCH) - 600,000 shares 4.5% of outstanding First Security Fed Financial (FSFF) - 6.9 mln shrs FleetBoston Fin'l (FBF) - $4 bln 10% of outstanding Fulton Fin'l (FULT) - 2 mln shares Gabelli Asset Mgmt (GBL) - $6.9 mln in addition to previous plan Gemstar-TV Guide (GMST) - $300 mln Glenayre (GEMS) - 5% of outstanding 65 mln shares outstanding GoAmerica (GOAM) - $1 mln 53.53 mln shares outstanding Gold Banc (GLDB) - 1.75 mln shares 5% of outstanding Golden West Finc'l (GDW) - Up to an additional 10% of its shares outstanding. Goodrich (GR) - $300 mln Great American Banc. (GTPS) - 44,873 shares 5% of outstanding Group 1 Software (GSOF) - $10 mln H&R Block (HRB) - 15 mln shares expands previous plan Hain Celestial Grp (HAIN) - amt not specified 33.8 mln shares outstanding Hastings Entertain. (HAST) - 9% of outstanding HCC Insurance Hldgs. (HCC) - 3 mln shares 5.1% of outstanding Heartland Express (HTLD) - 5 mln shares Hector Communications (HCT) - 250,000 shares 7% of outstanding Hewlett-Packard Co. (HWP.N) - $1.8 bln Imperial Parking (IPK) - $750,000 1.81 mln shares outstanding Innovative Sol'ns (ISSC) - 1 mln shares Insituform Tech (INSUA) - 1 mln shares expands previous plan Integral Systems (ISYS) - Unspecified number of common shares. Integrated Circuit (ICST) - 2 mln shares Integrated Info. Sys.(IISX) - 700,000 shares 5.7 mln shares outstanding Intel (INTC) - 300 mln shares expanding pevious plan Interneuron Pharm. (IPIC) - 1 mln shares 43.3 mln shares outstanding Interwoven Inc.'s (IWOV) - Up to $25 million in common shares. Intimate Brands (IBI) - $50 mln Investors Capital (ICH) - 10% of outstanding Invitrogen (IVGN) - $150 mln 4% of outstanding Invivo (SAFE) - $2 mln 4.4 mln shares outstanding ITXC (ITXC) - $10 mln 45 mln shares outstanding Jaco Electronics (JACO) - 250,000 shares 6.18 mln shares outstanding JNI (JNIC) - $15 mln 27 mln shares outstanding Keane (KEA) - 1.54 mln shares over 12 months K-Swiss (KSWS) - $25 mln in addition to previous plan LaBarge (LB) - 1 mln shares 7% of outstanding Landstar System (LSTR) - 500,000 shares 8.08 mln shares outstanding Large Scale Biology (LSBC) - 1 mln shares 24.6 mln shares outstanding Local Fin'l (LFIN) - 2 mln shares 10% of outstanding MAF Bancorp (MAFB) - 500,000 shares 2.2% of outstanding Magnetek (MAG) - 2.26 mln shares 10% of outstanding Manhattan Asso (MANH) -Up to $10 mln common stock through September 2002. Maverick Tube (MVK) - 3.5% of outstanding equal to 1.2 mln shares Max Re Capital (MXRE) - $15 mln Maxcor Fin'l Grp (MAXF) - 1 mln shares in addition to previous plan Maxim Intgrted Prod. (MXIM) - 10 mln shares during next 5 business days Mercury Interactive (MERQ) - 1 mln shares 83 mln shares outstanding Metris Companies (MXT) - $200 mln through 12/2002 Micromuse (MUSE) - 1.5 mln shares 73.7 mln shares outstanding Mid Atlantic Medical (MME) - $25 mln expands existing plan Mirant (MIR) - 10 mln shares Mobius Mgmt Systems (MOBI) - 1.25 mln shares expands previous plan Moldflow (MFLO) - 500,000 shares Monmouth Real Estate (MNRTA.O) - $1.25 mln Moore Medical (MMD) - $2 mln Morgan Stanley (MWD.N) - $1 bln Multimedia Games (MGAM) - 1 mln shares Nabi (NABI) - $5 mln Nathan's Famous (NATH) - 1 mln shares NetBank (NTBK) - 1 mln shares in addition to previous plan NetScout Systems (NTCT) - 1 mln shares 29.6 mln shares outstanding Noble Affiliates (NBL) - $50 mln 56.59 mln shares outstanding North Fork Bancorp. (NFB) - 5 mln shares 5% of outstanding Nutrition 21 (NXXI) - 250,000 shares NY Community Bancorp (NYCB) - 2.25 mln shares in addition to previous plan Openwave Systems (OPWV) - 5 mln shares 172 mln shares outstanding OTG Software (OTGS) - 1 mln shares, 31.5 mln shares outstanding Oxboro Medical (OMED) - 10% of outstanding equal to 175,000 shares PacificNet.com (PACT) - $100,000 8.2 mln shares outstanding Paradyne Networks (PDYN) - $1 mln 33 mln shares outstanding Party City (PCTY) - $15 mln Paulson Capital (PLCC) - 300,000 shares 3.198 mln shares outstanding PECO II (PIII) - 1 mln shares 4.5% of outstanding PepsiCo Inc. (PEP.N) - $2 bln PetroCorp (PEX) - 1 mln shares 12.8 mln shares outstanding Pharmacopeia (PCOP) - $16 mln 23.74 mln shares outstanding PharmaNetics (PHAR) - $1 mln 9.3 mln shares outstanding Phila. Consol. Hldg. (PHLY) - $15 mln in addition to previous plan Philadelphia Consolidated (PHLY) - $15 mln Phoenix (PNX) - 6 mln shares 106.4 mln shares outstanding Pittsburgh Financial (PHFC.O) - 76,000 shrs Pittsburgh Fin'l (PHFC) - 76,600 shares 5% of outstanding Pomery Computer Res. (PMRY) - 100,000 shares <1% of outstanding Port Fin'l (PORT) - 321,025 shares 5% of outstanding Protective Life (PL) - $75 mln Quanta Serv (PWR) - accelerated rate allowing buy back of up to $75 mln common shares. Rare Hospitality (RARE) - $15 mln Real Estate Opportunities Inc. (RLEO.OB) - 600,000 shrs Red Hat (RHAT) - 10% of outstanding over 1 year Reinsurance Group (RGA) - $25 million common shares. Reliant Resources (RRI) - 10 mln shares over 18 months Sanders Morris Harris (SMHG) - 500,000 shares Sanmina (SANM) - 5% of outstanding SBS Technologies (SBSE) - 1 mln shares Seacoast Bank. of FL(SBCFA) - 250,000 shares 5% of outstanding Security Asset Cap. (SCYA) - $3 mln over 12 months SEI Investments (SEIC) - $50 mln expanding existing plan SFBC Int'l (SFCC) - 500,000 shares Shaw Group (SGR) - $100 mln approx. 3.4 mln shares Siebel Systems (SEBL) - $500 mln SilverStream Software (SSSW) - $10 mln over 1 year Solectron (SLR) - $200 mln 658.3 mln shares outstanding South Fin'l Grp (TSFG) - 1 mln share 7% of outstanding including existing plan Southwest Banc. TX (SWBT) - 1 mln shares 32.8 mln shares outstanding SpectRx (SPRX) - $1 mln 10.4 mln shares outstanding Spherix (SPEX) - $1 mln Sport-Haley (SPOR) - 300,000 shares expands existing plan SportsLine.com (SPLN) - 6 mln shares SRS Labs Inc.'s (SRSL) - 250,000 common shares over the next six months. St. Francis Capital (STFR) - 460,000 shares 5% of outstanding Starbucks (SBUX) - $60 mln 381.3 mln shares outstanding Stellent (STEL) - $20 mln of 23.8 mln shares outstanding Sunrise Assted Living (SRZ) - $50 mln expanding existing plan Symmetricom (SYMM) - 2 mln shares expands previous plan Synergy Brands (SYBR) - Amount not specified of 4 mln shares outstanding TAB Products (TBP) - 10% of outstanding 5.2 mln shares outstanding Teekay Shipping (TK) - 2 mln shares TeleTech Holdings (TTEC) - 10% of outstanding 77 mln shares outstanding TranSwitch (TXCC) - 10% of outstanding 84 mln shares outstanding U.S. Laboratories (USLB) -$1.5 mln United Auto Grp (UAG) - 3 mln shares United PanAm Fin'l (UPFC) - 140,000 shares prior to 9/21/01 Verity (VRTY.O) - $50 mln Vialta Inc. (VLTA.OB) - 10 mln shrs Vignette (VIGN) - $50 mln over 6 months Vincinity (VCNT) - $5 mln 28.5 mln shares outstanding Vixel (VIXL) - $1 mln through 12/2001 Waypoint Fin'l (WYPT) - 5% of outstanding approx. 1.96 mln shares Webster Fin'l (WBST) - 2.5 mln shares 5% of outstanding |