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Technology Stocks : Dell Technologies Inc.
DELL 133.35+0.1%Nov 28 9:30 AM EST

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To: Venkie who wrote (120843)4/27/1999 4:04:00 PM
From: arthur pritchard  Read Replies (4) of 176387
 
donnie: money flow summary for the day. thanks for your help while i was away.
notice the two huge chunks which came out of msft and T, at bottom of list. btw I use this for trend info;
like it is good to know the names at the top, and the names at the bottom. As for those in between,
I wouldn't read too much into their particular status.
Notice that money came out of aol.
Have to say, am not happy with Dell not being part of the major shift of money today;
although I have been expecting more of a resurgance of IBM---
I ,of course don't want it to be at the expense of Dell.

Symbol Money Flow Net Chg. % Last Tot. Vol. Company Name
IBM 444,549,845 +1.01 212 - 10,192,200 INTL BUSINESS MACHINES CO
HWP 137,833,044 +.79 80 1/8 - 4,457,800 HEWLETT-PACKARD CO
KO 109,698,517 +3.35 69 3/8 + 4,786,100 COCA-COLA CO
EMC 71,347,715 +.70 116 9/16 + 4,499,800 EMC CORP MASS, SHS
QCOM 59,651,213 -3.10 197 3/16 - 2,708,700 QUALCOMM INC
EGRP 51,206,452 -.31 119 5/8 + 8,701,100 E TRADE GROUP INC
YHOO 47,040,885 -4.03 184 1/2 - 4,959,900 YAHOO INC
IP 41,104,865 -.22 55 11/16 - 3,194,400 INTERNATIONAL PAPER CO
AA 39,369,766 +4.11 55 7/16 - 2,470,300 ALCOA
DELL 37,317,962 -3.63 43 3/16 + 30,862,300 DELL COMPUTER CORP
CHV 36,398,544 +3.67 98 15/16 - 1,351,300 CHEVRON CORP
LU 32,464,253 -2.30 61 1/16 + 8,712,800 LUCENT TECHNOLOGIES INC
AMZN 30,507,256 -.81 205 1/2 - 8,838,400 AMAZON.COM INC
EK 22,080,609 +1.31 77 5/8 - 1,490,400 EASTMAN KODAK CO
GE 16,286,575 -.94 112 7/16 - 4,481,600 GENERAL ELECTRIC CO
PG 16,221,093 -1.25 93 5/8 + 2,060,100 PROCTER & GAMBLE CO
ORCL 14,704,107 -1.96 28 1/8 + 12,923,400 ORACLE CORP
ADBE 13,985,177 +1.66 65 1/16 + 1,019,500 ADOBE SYSTEMS INC
ATHM 8,632,349 -3.89 154 5/16 + 3,070,700 AT HOME CORPORATION, COM
GM 8,606,051 -.63 88 5/16 + 1,022,200 GENERAL MOTORS CORP
LOR 6,570,469 +.71 17 5/8 - 1,655,100 LORAL SPACE & COMMUNICATI
MO 905,587 +.91 34 11/16 - 4,679,900 PHILIP MORRIS COS INC
UK 640,490 +2.59 49 1/2 + 1,646,400 UNION CARBIDE CORP
ZSUN 425,637 +15.15 19.00000 - 231,700 ZIASUN TECHNOLOGIES INC
PCNTF 272,014 -3.51 80 13/16 - 227,200 PACIFIC INTERNET LTD, SHS
DPMI 157,533 +3.16 44 7/8 - 64,200 DUPONT PHOTOMASKS INC
ENDO 120,214 +2.63 4 7/8 - 142,700 ENDOCARE CORP
XNET 51,114 -7.69 3.75000 + 202,500 XIN NET CORP
TNRG -28,457 +8.16 .53000 + 1,237,100 TIANRONG BUILDING MATERIA
FRTE -46,051 -2.49 6 1/8 - 485,200 FORTE SOFTWARE INC
NETD -78,323 +3.57 3.62500 + 126,000 DATALINK SYSTEMS CORP, CO
IMOT -126,150 +1.85 6.87500 + 219,000 INTERMOST CORP
USPL -178,622 -1.34 9 3/16 - 167,100 US PLASTICS LUMBER CO, SH
NETS -186,540 +.46 13 9/16 - 110,200 NETWORK EVENT THEATER INC
MCNS -479,234 -6.00 11 3/4 + 296,000 MEDICONSULT.COM INC
IINT -657,069 -2.78 4 3/8 + 373,200 INDUS INTERNATIONAL INC
MMM -1,595,327 -1.22 80 7/8 + 941,400 MINNESOTA MINING & MANUFA
TGLO -2,092,260 -3.28 59 + 305,700 THEGLOBE.COM INC
POS -2,331,405 -.96 90 3/8 + 141,700 CATALINA MARKETING CORP
ZDZ -2,570,932 -6.58 38 1/8 + 1,189,900 ZIFF-DAVIS INC, COM ZDNET
CMGI -3,244,284 -4.54 268 1/4 + 4,062,400 CMG INFORMATION SERVICES
EPAY -5,796,057 -3.39 57 - 420,800 BOTTOMLINE TECHNOLOGIES
AWRE -7,187,217 +2.36 62 7/16 - 933,000 AWARE INC
NOVL -7,394,467 -3.65 23 1/8 - 3,368,700 NOVELL INC
WMT -10,270,313 -1.35 50 1/4 + 5,915,800 WAL-MART STORES INC
GNET -12,080,708 -3.62 162 7/8 + 613,100 GO2NET INC
RNWK -13,467,467 -7.03 181 1/8 + 1,554,100 REALNETWORKS INC
INTC -14,405,353 -3.30 62 5/16 + 17,727,500 INTEL CORP
DCLK -20,470,676 -13.62 148 1/4 + 8,938,400 DOUBLECLICK INC NY
ALD -22,380,187 +.22 56 1/8 + 2,813,900 ALLIEDSIGNAL INC
SUNW -25,917,840 -2.77 63 5/8 - 10,708,200 SUN MICROSYSTEMS
AOL -31,726,454 -4.32 155 + 35,152,100 AMERICA ONLINE INC
DIS -36,701,163 -6.79 32 5/8 + 10,454,100 WALT DISNEY COMPANY (HOLD
CSCO -50,249,872 -2.13 115 1/8 + 13,565,400 CISCO SYSTEMS INC
MRK -51,731,638 -.51 73 5/8 + 4,766,000 MERCK & CO INC
MSFT -116,656,187 -4.51 84 1/32 - 28,015,400 MICROSOFT CORP REDMOND
T -258,618,994 +.12 53 + 24,594,400 AT & T CORPORATION
QQQ -266,088,730 -2.20 110 11/16 - 8,069,400 NASDAQ-100 TR SER I

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