This list is sequenced by the "money flow column". Many times money flows into a stock even tho the price goes DOWN, so this can be an interesting exhibit. Thank you so much for suggesting the fixed font option on the edit screen. if you have a minute, would you mind telling me what the heck this really does? it certainly helped. 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 |