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Technology Stocks : Dell Technologies Inc.
DELL 132.08-0.8%Dec 1 3:59 PM EST

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To: edamo who wrote (120816)4/27/1999 12:25:00 PM
From: arthur pritchard  Read Replies (1) of 176387
 
the following is sorted by the money flow column. I am experimenting with this. I am trying to see whether I am able to print out this post so it is readable. This is real time, showing that alot of money went into, for example, ibm this morning.
Symbol Last Net Chg. % Tot. Vol. Money Flow Company Name
IBM 209 + -.42 6,375,600 231,903,897 INTL BUSINESS MACHINES CO
HWP 79 1/8 + -.47 2,979,600 102,381,741 HEWLETT-PACKARD CO
EGRP 119 + -.83 6,386,800 43,051,887 E TRADE GROUP INC
KO 68 7/16 + +1.96 2,493,200 34,199,191 COCA-COLA CO
AA 55 3/4 + +4.69 1,489,400 32,847,863 ALCOA
QCOM 196 5/8 + -3.38 1,761,500 32,489,942 QUALCOMM INC
AMZN 210 - +1.36 5,452,600 27,555,797 AMAZON.COM INC
LU 61 5/16 + -1.90 4,665,200 26,410,540 LUCENT TECHNOLOGIES INC
EMC 115 9/16 + -.16 2,774,300 24,660,259 EMC CORP MASS, SHS
IP 55 3/4 - -.11 1,618,300 22,023,312 INTERNATIONAL PAPER CO
GE 112 5/8 + -.77 2,493,500 15,047,173 GENERAL ELECTRIC CO
MO 34 13/16 - +1.27 2,421,300 13,208,138 PHILIP MORRIS COS INC
CHV 97 3/4 + +2.42 649,300 12,884,440 CHEVRON CORP
EK 77 1/8 - +.65 818,700 12,146,999 EASTMAN KODAK CO
INTC 62 7/8 - -2.42 11,737,000 10,654,064 INTEL CORP
ADBE 64 1/2 + +.78 487,300 8,131,959 ADOBE SYSTEMS INC
LOR 17 11/16 + +1.07 873,300 5,723,463 LORAL SPACE & COMMUNICATI
GM 88 1/8 - -.84 593,900 5,349,164 GENERAL MOTORS CORP
YHOO 185 1/2 + -3.51 2,852,600 1,234,755 YAHOO INC
DCLK 149 - -13.18 5,812,400 1,198,209 DOUBLECLICK INC NY
MMM 81 7/16 - -.53 621,500 888,797 MINNESOTA MINING & MANUFA
ZSUN 18.75000 + +13.64 165,300 253,247 ZIASUN TECHNOLOGIES INC
MCNS 12 1/2 + +.00 129,500 198,736 MEDICONSULT.COM INC
XNET 3.93750 + -3.08 155,000 91,019 XIN NET CORP
ENDO 4 7/8 + +2.63 51,300 69,867 ENDOCARE CORP
NETD 3.87500 + +10.71 60,700 26,276 DATALINK SYSTEMS CORP, CO
TNRG .56000 - +14.29 740,100 2,409 TIANRONG BUILDING MATERIA
UK 50 1/16 + +3.76 911,100 -45,550 UNION CARBIDE CORP
IMOT 6.81250 - +.93 127,200 -49,425 INTERMOST CORP
IINT 4 7/16 - -1.39 56,800 -81,208 INDUS INTERNATIONAL INC
NETS 13 1/2 - +.00 36,200 -146,511 NETWORK EVENT THEATER INC
USPL 9 1/4 - -.67 60,400 -285,298 US PLASTICS LUMBER CO, SH
DPMI 43 - -1.15 41,500 -339,276 DUPONT PHOTOMASKS INC
FRTE 6 3/16 + -1.49 311,200 -511,781 FORTE SOFTWARE INC
PCNTF 80 3/8 - -4.03 158,200 -748,921 PACIFIC INTERNET LTD, SHS
POS 91 3/8 + +.14 60,500 -803,864 CATALINA MARKETING CORP
TGLO 59 5/8 + -2.25 183,500 -883,512 THEGLOBE.COM INC
ATHM 155 5/8 - -3.08 1,886,700 -1,857,892 AT HOME CORPORATION, COM
ORCL 27 9/16 - -3.92 8,045,600 -2,578,232 ORACLE CORP
ALD 56 3/8 + +.67 1,545,500 -2,618,255 ALLIEDSIGNAL INC
AWRE 65 + +6.56 638,900 -3,049,100 AWARE INC
EPAY 58 - -1.69 270,800 -3,679,043 BOTTOMLINE TECHNOLOGIES
PG 93 11/16 + -1.19 1,090,600 -3,961,636 PROCTER & GAMBLE CO
ZDZ 37 1/2 + -8.12 626,000 -4,014,308 ZIFF-DAVIS INC, COM ZDNET
DIS 33 3/16 - -5.18 5,751,000 -4,053,031 WALT DISNEY COMPANY (HOLD
NOVL 23 7/16 + -2.34 1,732,900 -4,267,033 NOVELL INC
RNWK 182 - -6.58 1,064,500 -5,487,486 REALNETWORKS INC
WMT 50 5/16 - -1.23 3,355,500 -5,690,769 WAL-MART STORES INC
MRK 74 1/8 + +.17 2,641,900 -5,747,362 MERCK & CO INC
SUNW 63 1/2 - -2.96 6,409,400 -7,835,139 SUN MICROSYSTEMS
DELL 42 5/8 + -4.88 19,308,200 -8,039,443 DELL COMPUTER CORP
CMGI 273 1/16 - -2.82 2,591,100 -8,318,275 CMG INFORMATION SERVICES
GNET 163 5/8 - -3.18 323,900 -8,701,552 GO2NET INC
CSCO 114 9/16 - -2.60 8,552,700 -17,899,677 CISCO SYSTEMS INC
AOL 156 + -3.70 22,861,300 -74,758,123 AMERICA ONLINE INC
T 53 1/2 + +1.06 15,657,200 -86,753,092 AT & T CORPORATION
QQQ 110 5/8 + -2.25 5,326,500 -139,803,603 NASDAQ-100 TR SER I
MSFT 84 11/16 + -3.76 15,559,400 -155,574,740 MICROSOFT CORP REDMOND

Symbol Last Net Chg. % Tot. Vol. Money Flow Company Name
IBM 209 + -.42 6,375,600 231,903,897 INTL BUSINESS MACHINES CO
HWP 79 1/8 + -.47 2,979,600 102,381,741 HEWLETT-PACKARD CO
EGRP 119 + -.83 6,386,800 43,051,887 E TRADE GROUP INC
KO 68 7/16 + +1.96 2,493,200 34,199,191 COCA-COLA CO
AA 55 3/4 + +4.69 1,489,400 32,847,863 ALCOA
QCOM 196 5/8 + -3.38 1,761,500 32,489,942 QUALCOMM INC
AMZN 210 - +1.36 5,452,600 27,555,797 AMAZON.COM INC
LU 61 5/16 + -1.90 4,665,200 26,410,540 LUCENT TECHNOLOGIES INC
EMC 115 9/16 + -.16 2,774,300 24,660,259 EMC CORP MASS, SHS
IP 55 3/4 - -.11 1,618,300 22,023,312 INTERNATIONAL PAPER CO
GE 112 5/8 + -.77 2,493,500 15,047,173 GENERAL ELECTRIC CO
MO 34 13/16 - +1.27 2,421,300 13,208,138 PHILIP MORRIS COS INC
CHV 97 3/4 + +2.42 649,300 12,884,440 CHEVRON CORP
EK 77 1/8 - +.65 818,700 12,146,999 EASTMAN KODAK CO
INTC 62 7/8 - -2.42 11,737,000 10,654,064 INTEL CORP
ADBE 64 1/2 + +.78 487,300 8,131,959 ADOBE SYSTEMS INC
LOR 17 11/16 + +1.07 873,300 5,723,463 LORAL SPACE & COMMUNICATI
GM 88 1/8 - -.84 593,900 5,349,164 GENERAL MOTORS CORP
YHOO 185 1/2 + -3.51 2,852,600 1,234,755 YAHOO INC
DCLK 149 - -13.18 5,812,400 1,198,209 DOUBLECLICK INC NY
MMM 81 7/16 - -.53 621,500 888,797 MINNESOTA MINING & MANUFA
ZSUN 18.75000 + +13.64 165,300 253,247 ZIASUN TECHNOLOGIES INC
MCNS 12 1/2 + +.00 129,500 198,736 MEDICONSULT.COM INC
XNET 3.93750 + -3.08 155,000 91,019 XIN NET CORP
ENDO 4 7/8 + +2.63 51,300 69,867 ENDOCARE CORP
NETD 3.87500 + +10.71 60,700 26,276 DATALINK SYSTEMS CORP, CO
TNRG .56000 - +14.29 740,100 2,409 TIANRONG BUILDING MATERIA
UK 50 1/16 + +3.76 911,100 -45,550 UNION CARBIDE CORP
IMOT 6.81250 - +.93 127,200 -49,425 INTERMOST CORP
IINT 4 7/16 - -1.39 56,800 -81,208 INDUS INTERNATIONAL INC
NETS 13 1/2 - +.00 36,200 -146,511 NETWORK EVENT THEATER INC
USPL 9 1/4 - -.67 60,400 -285,298 US PLASTICS LUMBER CO, SH
DPMI 43 - -1.15 41,500 -339,276 DUPONT PHOTOMASKS INC
FRTE 6 3/16 + -1.49 311,200 -511,781 FORTE SOFTWARE INC
PCNTF 80 3/8 - -4.03 158,200 -748,921 PACIFIC INTERNET LTD, SHS
POS 91 3/8 + +.14 60,500 -803,864 CATALINA MARKETING CORP
TGLO 59 5/8 + -2.25 183,500 -883,512 THEGLOBE.COM INC
ATHM 155 5/8 - -3.08 1,886,700 -1,857,892 AT HOME CORPORATION, COM
ORCL 27 9/16 - -3.92 8,045,600 -2,578,232 ORACLE CORP
ALD 56 3/8 + +.67 1,545,500 -2,618,255 ALLIEDSIGNAL INC
AWRE 65 + +6.56 638,900 -3,049,100 AWARE INC
EPAY 58 - -1.69 270,800 -3,679,043 BOTTOMLINE TECHNOLOGIES
PG 93 11/16 + -1.19 1,090,600 -3,961,636 PROCTER & GAMBLE CO
ZDZ 37 1/2 + -8.12 626,000 -4,014,308 ZIFF-DAVIS INC, COM ZDNET
DIS 33 3/16 - -5.18 5,751,000 -4,053,031 WALT DISNEY COMPANY (HOLD
NOVL 23 7/16 + -2.34 1,732,900 -4,267,033 NOVELL INC
RNWK 182 - -6.58 1,064,500 -5,487,486 REALNETWORKS INC
WMT 50 5/16 - -1.23 3,355,500 -5,690,769 WAL-MART STORES INC
MRK 74 1/8 + +.17 2,641,900 -5,747,362 MERCK & CO INC
SUNW 63 1/2 - -2.96 6,409,400 -7,835,139 SUN MICROSYSTEMS
DELL 42 5/8 + -4.88 19,308,200 -8,039,443 DELL COMPUTER CORP
CMGI 273 1/16 - -2.82 2,591,100 -8,318,275 CMG INFORMATION SERVICES
GNET 163 5/8 - -3.18 323,900 -8,701,552 GO2NET INC
CSCO 114 9/16 - -2.60 8,552,700 -17,899,677 CISCO SYSTEMS INC
AOL 156 + -3.70 22,861,300 -74,758,123 AMERICA ONLINE INC
T 53 1/2 + +1.06 15,657,200 -86,753,092 AT & T CORPORATION
QQQ 110 5/8 + -2.25 5,326,500 -139,803,603 NASDAQ-100 TR SER I
MSFT 84 11/16 + -3.76 15,559,400 -155,574,740 MICROSOFT CORP REDMOND
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