freeus: real time money flow...shows a bunch of money just jumped into dell...last few minutes...
Net Chg. % Symbol Money Flow Company Name Last Tot. Vol. +8.03 HWP 349,460,446 HEWLETT-PACKARD CO 95 7/8 - 14,321,100 -.47 MSFT 165,504,361 MICROSOFT CORP REDMOND 78 3/4 - 30,680,200 -.09 AOL 135,137,415 AMERICA ONLINE INC, SHS 136 - 21,949,800 -1.05 LU 113,505,936 LUCENT TECHNOLOGIES INC 58 7/8 - 7,386,300 +1.73 DELL 101,587,691 DELL COMPUTER CORP 44 + 35,553,700 -.03 IBM 98,135,648 INTL BUSINESS MACHINES CO 237 7/16 + 4,144,200 -2.13 NITE 62,862,873 KNIGHT/TRIMARK GROUP INC, 71 3/4 + 4,703,000 +2.42 KO 61,208,373 COCA-COLA CO , COM 68 3/4 - 4,939,500 +3.28 SCH 60,688,195 CHARLES SCHWAB CORP , 117 15/16 - 3,255,700 +2.43 EMC 50,417,862 EMC CORP MASS , SHS 105 1/4 - 3,963,700 -2.62 CHV 47,373,110 CHEVRON CORP 92 3/4 - 1,942,800 +.00 WCOM 37,645,136 MCI WORLDCOM INC, SHS 88 5/8 - 7,431,600 -3.63 AMZN 36,124,143 AMAZON.COM INC. 132 5/8 + 5,986,300 -.71 IP 32,162,279 INTERNATIONAL PAPER CO 52 5/8 + 1,895,000 +.10 DCLK 31,078,510 DOUBLECLICK INC NY 120 + 2,332,000 -.56 QQQ 28,971,229 NASDAQ-100 TR SER I 108 1/8 - 4,440,600 +1.50 WMT 24,438,409 WAL-MART STORES INC 46 3/8 - 6,233,300 +1.02 EGRP 22,017,941 E TRADE GROUP INC 111 - 4,567,500 +.34 UK 21,610,498 UNION CARBIDE CORP 55 1/16 - 1,445,600 -.27 PG 20,526,811 PROCTER & GAMBLE CO 93 7/8 + 1,694,700 -5.29 QCOM 19,028,615 QUALCOMM INC 103 - 3,787,500 -2.97 CMGI 16,372,068 CMG INFORMATION SERVICES 241 - 6,102,700 +1.53 ORCL 16,088,301 ORACLE CORP , COM 24 7/8 + 9,783,600 +1.56 ALD 14,117,607 ALLIEDSIGNAL INC 61 3/16 + 1,567,300 +1.10 ADBE 11,297,052 ADOBE SYSTEMS INC 74 7/16 - 877,100 -1.12 MMM 11,292,105 MINNESOTA MINING & MANUFA 88 1/4 + 876,700 -1.16 INTC 8,083,417 INTEL CORP, SHS. 58 3/4 - 15,208,300 -3.32 YHOO 7,202,399 YAHOO INC , COM 156 7/16 + 4,605,500 +.00 NOVL 6,287,420 NOVELL INC, SHS 24 15/16 + 2,740,700 +.21 FDX 2,148,168 FDX CORPORATION 59 15/16 + 964,000 +2.13 PCNTF 1,791,805 PACIFIC INTERNET LTD, SHS 60 + 284,000 +2.82 EPAY 1,699,973 BOTTOMLINE TECHNOLOGIES 52 7/16 + 100,600 -.15 DPMI 1,240,969 DUPONT PHOTOMASKS INC 41 5/8 + 52,000 +2.87 AWRE 1,105,112 AWARE INC 58 1/4 - 270,000 +.84 POS 1,013,563 CATALINA MARKETING CORP 90 9/16 + 21,700 +1.64 SPYG 975,546 SPYGLASS INC 19 3/8 + 247,900 +5.73 RNWK 776,129 REALNETWORKS INC 91 5/8 - 2,636,700 +1.32 MCNS 445,055 MEDICONSULT.COM INC 14 7/16 + 255,400 +.48 HNCS 439,350 HNC SOFTWARE INC 26 + 114,900 -.99 ZSUN 357,494 ZIASUN TECHNOLOGIES INC 12.50000 + 57,100 -.77 NETP 217,544 NET PERCEPTIONS INC , 24 1/4 + 377,300 +5.11 USPL 211,107 US PLASTICS LUMBER CO, SH 9 + 79,100 +8.57 IINT 187,159 INDUS INTERNATIONAL INC 4 3/4 - 239,600 +3.45 FRTE 77,683 FORTE SOFTWARE INC 5 5/8 - 88,600 +4.55 XNET 29,012 XIN NET CORP, SHS 2.87500 - 79,800 -16.00 TNRG 21,759 TIANRONG BUILDING MATERIA .42000 - 3,511,600 -4.23 ENDO 11,459 ENDOCARE CORP 4 1/4 - 26,100 +1.56 NETD -24,219 DATALINK SYSTEMS CORP, CO 4.06250 + 50,400 -5.05 IMOT -275,621 INTERMOST CORP 5.87500 - 110,400 -.42 ZDZ -320,982 ZIFF-DAVIS INC , COM 29 3/4 + 251,300 +.33 LOR -474,186 LORAL SPACE & COMMUNICATI 18 13/16 + 1,596,200 -3.33 NETS -612,012 NETWORK EVENT THEATER INC 14 1/2 - 164,900 -9.60 TGLO -1,153,113 THEGLOBE.COM INC 22 3/8 - 1,935,400 +1.81 USWB -1,625,151 USWEB CORP, SHS 28 1/8 - 2,171,800 -2.06 GNET -3,116,559 GO2NET INC 124 3/4 - 234,400 -4.09 MSGI -5,828,699 MARKETING SERVICES GROUP 38 1/16 - 697,600 -1.01 CNF -5,836,683 CNF TRANSPORTATION INC 43 + 530,800 -.74 ATHM -7,279,345 AT HOME CORPORATION 150 1/8 + 1,220,600 -2.09 MRK -8,145,576 MERCK & CO INC 70 7/16 + 4,797,900 -3.17 AA -8,222,002 ALCOA 61 1/8 + 1,337,600 +1.94 DIS -12,321,893 WALT DISNEY COMPANY 29 9/16 - 8,128,700 -.48 CSCO -13,487,790 CISCO SYSTEMS INC 115 7/8 + 9,129,000 -.87 SUNW -18,602,774 SUN MICROSYSTEMS , COM 64 3/16 + 7,083,600
-.84 T -21,032,788 AT & T CORPORATION 59 1/8 + 7,319,200 +.54 GM -38,933,153 GENERAL MOTORS CORP , 80 3/4 - 3,287,400 -3.50 EK -48,180,532 EASTMAN KODAK CO 74 1/16 - 2,119,200 -1.41 GE -53,867,742 GENERAL ELECTRIC CO 104 3/4 - 4,831,200 -.63 MO -57,320,495 PHILIP MORRIS COS INC, SH 39 1/8 - 6,220,700 |