To: Jim Bishop who wrote (3662 ) 7/14/1999 10:57:00 AM From: SSP Read Replies (1) | Respond to of 150070
ADVT is a mommo pos, Symbol Last Net Chg. % Company Name ADVT .0600 +200.00 ADVANTAGE LIFE PRODS INC (FORMERLY * MGHC .25000 +66.67 MILLENNIUM GROUP HOLDINGS INC, COM N YESS .20500 +57.69 YES ENTERTAINMENT CORP CCGI .68000 +44.68 COMTECH CONSOLIDATION GROUP INC NEV QPRC .03700 +32.14 QUEST PRODUCTS CORPORATION IBUI .13000 +30.00 INTERNET BUSINESS INTERNATIONAL INC DMEC .17000 +21.43 DIAMOND ENTERTAINMENT, COM NEW AREE .0240 +20.00 ARETE INDUSTRIES INC SYCD .52000 +18.18 SYCONET.COM INC ENZH .0140 +16.67 ENZYME OF AMERICA HOLDING CORP CLSI .0230 +15.00 CLANCY SYSTEMS INTERNATIONAL INC EBID 5.50000 +14.29 ACUBID.COM INC DRYD .04000 +14.29 DRY DAIRY INTERNATIONAL INC INNF .85000 +13.33 INNOFONE.COM INC IDCN .06500 +12.07 INDOCAN RESOURCES INC BXTRR .1000 +11.11 BAXTER INTL INC, CONTINGENT PMT RT MPTV .02650 +10.42 MPTV INC FFAC .0110 +10.00 FIRST FIDELITY ACCEPTANCE CORP MZEI .1650 +10.00 MEDIZONE INTERNATIONAL INC CNES .96000 +9.71 CONECTISYS CORP, COM NEW PAYP .12000 +9.09 PAY POP INC, COM NEW PCES .12000 +9.09 PACE HEALTH MANAGEMENT SYSTEMS INC DIET .2500 +8.70 SUREQUEST SYSTEMS INC BNEZ .1600 +8.47 BEN EZRA WEINSTEIN AND CO, COM NEW ANTS 1.31250 +7.70 ANTS SOFTWARE.COM BISN .0290 +7.41 BIOSONICS INC FTET 2.125000 +7.32 FIRST ENTERTAINMENT HOLDING CORP, CO PREV .075000 +7.14 PREVENTCO INC SATX 2.25000 +7.14 SATELLITE CONTROL TECHNOLOGIES INC IMTI .0425 +6.25 IMAGYN MEDICAL TECHNOLOGIES INC NIAR .0170 +6.25 NORTH AMERICAN RESORTS INC, COM NEW HVAR .175000 +6.06 HAVANA REPUBLIC INC WESTON FL IBIZ 1.71870 +5.77 IBIZ TECHNOLOGY CORP AVIT 2.40620 +5.48 AVITAR INC (DEL) MHTX 1.58000 +5.33 MANHATTAN SCNTFC IMNI 1.03000 +5.10 INTERACTIVE MULTIMEDIA NETWORK INC CAOL 1.06000 +4.95 CATHAYONLINE IINN .12000 +4.35 INTL INTERNET INC AUMY .0250 +4.17 AUNT MYRA'S INC GSIC .13000 +4.00 GENERAL STORE INTERNATIONAL CORP CHES .13500 +3.85 CHESTER HOLDINGS LTD, COM NEW JNNE .60000 +3.45 JONES NAUGHTON ENTERTAINMENT INC CDNO .07500 +3.45 CONSOLIDATED CAPITAL CORP OF NORTH A TLTG 11.50000 +3.37 TELTRAN INTL GROUP LTD, COM NEW UTDL 2.31250 +2.78 UNITED LEISURE CORP GCDV 7.31250 +2.63 GRACE DEVELOPMENT INC ARET .0500 +2.04 AMERIRESOURCE TECHNOLOGIES INC BICO .11000 +1.85 BIOCONTROL TECHNOLOGY INC IMDS .29500 +1.72 IMAGING DIAGNOSTIC SYSTEMS IJNT 4.15620 +1.53 IJNT INTERNATIONAL INC LZMCF 1.42000 +1.43 LASERMEDIA COMMUNICATIONS CORP XDSL 9.37500 +1.35 M-PHASE TECHNOLOGIES INC EVDS .38000 +1.33 ENVIRONMENTAL DIGITAL SERVICES INC CASG .40500 +1.25 CANADIAN AEROSPACE GROUP INTL I LOCH .0910 +1.11 LOCH HARRIS INC, COM NEW DYGN .63000 +.80 DYNAGEN INC, COM NEW IHWY 10.43750 +.60 INFORMATION HIGHWAY.COM INC HRCT 1.90000 +.53 HARTCOURT COMPANIES INC, COM NEW EDIG 2.06000 +.49 E DIGITAL CORP