To: Jim Bishop who wrote (10967 ) 10/4/1999 11:54:00 AM From: SSP Read Replies (3) | Respond to of 150070
OTCBB GROOVERS - DIGG #1 Symbol Last Change Net Chg. % Company Name Tot. Vol. DIGG .73750 +.36250 +96.67 DIGITAL GAS INC, COM NEW 22600 ABUY 2.37500 +.93750 +65.22 AMERINET GROUP.COM INC 76300 GLOW .1500 +.0500 +50.00 GLOBAL GAMES CORP, SHS 762700 SLIC .51000 +.16000 +45.71 SEMICONDUCTOR LASER INTL CORP 183300 IVOC .2100 +.0500 +31.25 IVOICE.COM INC 470200 USTI .22000 +.05000 +29.41 UNITED SYSTEMS TECHNOLOGY INC 1689300 WAMA .01500 +.00300 +25.00 WATERMARC FOOD MANAGEMENT COMPANY 45700 MRTO 2.87500 +.56500 +24.46 MERCHANTONLINE.COM 192100 PHVP .2100 +.0400 +23.53 PHILIP SERVICES CORP 241300 CALVF .08000 +.01500 +23.08 CALEDONIA MINING CORP 98200 NUTK .2500 +.0400 +19.05 NUTEK INC, SHS 102500 SPAZ .35000 +.05000 +16.67 SPATIALIZER AUDIO LABORATORIES INC 613900 DHSM .25000 +.03130 +14.31 DIAGNOSTIC HEALTH SERVICES INC, COM 4900 MCTL .25000 +.03130 +14.31 MICROTEL INTERNATIONAL INC, SHS 38500 TEXN .13000 +.01500 +13.04 21ST CENTURY TECHNOLOGIES INC 276400 NINE 1.37500 +.15630 +12.83 NUMBER NINE VISUAL TECHNOLOGY CORPOR 13000 DMIL .02250 +.00250 +12.50 DEMIL INTERNATIONAL INC 50000 ANTX .56250 +.06250 +12.50 ANTEX BIOLOGICS INCORPORATED 2000 NBET .0950 +.0100 +11.76 NETBET INC, SHS 27500 ARMGA 29/256 +3/256 +11.54 ARM FINANCIAL GROUP INC, CL A 108200 NHLT .07250 +.00750 +11.54 NATIONAL HEALTH & SAFETY CORP, SHS 147500 COHO .62500 +.06250 +11.11 COHO ENERGY INC 17300 CHESE .0500 +.0050 +11.11 252500 SHCC .1550 +.0150 +10.71 SARATOGA INTERNATIONAL HOLDINGS CORP 288600 MIGR .21000 +.02000 +10.53 MIGRATEC INC 15000 GRERF 1/8 +3/256 +10.34 GREENSTONE RESOURCES LTD 12000 NYBS .18750 +.01750 +10.29 NEW YORK BAGEL ENTERPRISES INC 200 VENGF .2200 +.0200 +10.00 VENGOLD INC 236900 BNEZ .04500 +.00400 +9.76 BEN EZRA WEINSTEIN AND CO, COM NEW 504000 TTRIF .06000 +.00500 +9.09 THERMO TECH TECHNOLOGIES INC 910700 IDFR .12000 +.01000 +9.09 I D FOUR LIMITED 97800 MDMI .1250 +.0100 +8.70 MASSIMO DA MILANO INC, SHS 31500 YNOT .06500 +.00500 +8.33 LIGHT ENERGY MANAGEMENT CO 278800 GAAY .07000 +.00500 +7.69 TRIANGLE BROADCASTING INC, COM PAR $ 223200 EDIG 1.47000 +.10000 +7.30 E DIGITAL CORP 315300 ECNC .15000 +.01000 +7.14 ECONNECT 632900 LXXI .50000 +.03130 +6.68 LEXICO RESOURCES INTERNATIONAL INC 24700 HABE .0800 +.0050 +6.67 HABER INC 178000 CDNO .03200 +.00200 +6.67 CONSOLIDATED CAPITAL CORP OF NORTH A 257000 WORC .2450 +.0150 +6.52 WORDCRAFT SYSTEMS INC, SHS 174400 SBET 1.03120 +.06120 +6.31 INTERACTIVE GAMING & COMMUNICATIONS 105600 MRAY .0170 +.0010 +6.25 MURRAY UNITED DEVELOPMENT CORP 423000 NRPI .25500 +.01500 +6.25 NATIONAL REHAB PROPERTIES INC, COM N 785100 STRE .59370 +.03120 +5.55 STAR ENTERTAINMENT GROUP INC 1800 USDI .20000 +.01000 +5.26 U.S.DIGITAL COMMUNICATIONS INC, SHS 116900 LAKO .20000 +.01000 +5.26 LAKOTA TECHNOLOGIES INC 134100 MLTI .10000 +.00500 +5.26 MEDICAL LASER TECHNOLOGIES INC 35000 NYRR .61000 +.03000 +5.17 NEW YORK REGIONAL RAIL CORP, SHS 130700 EPEA .02700 +.00130 +5.06 E'PRIME AEROSPACE CORP 7000 HDOG .00420 +.00020 +5.00 HEAVENLY HOT DOGS INC, SHS 1047000 ORXX .14100 +.00600 +4.44 OREX GOLD MINES CORP 789600 SYCD 1.37000 +.05750 +4.38 SYCONET.COM INC 53100 AIGI .12000 +.00500 +4.35 ADAIR INTL OIL 308200 VCRI .1250 +.0050 +4.17 VENCOR INC (NEW) 206300 MRTI .02500 +.00100 +4.17 METAL RECOVERY TECHNOLOGIES INC 51000 RADO .43750 +.01750 +4.17 ALLIANCE BROADCASTING GROUP INC, COM 4200 GPGI .1300 +.0050 +4.00 GLOBAL PLATINUM & GOLD INC, SHS 10000 PLHYA .14000 +.00500 +3.70 PLANET HOLLYWOOD INTL INC, CL A 721700 MMIC .32000 +.01000 +3.23 MULTI-MEDIA INDUSTRIES CORP, SHS 221700 AREE .0098 +.0003 +3.16 ARETE INDUSTRIES INC 150000 AQCB .17500 +.00500 +2.94 AQUA CLARA BOTTLING & DISTRIBUTION I 38400 OKOK .03600 +.00100 +2.86 OKLAHOMA ENERGY CORP, SHS 188000 LOCH .1350 +.0030 +2.27 LOCH HARRIS INC, SHS 214400 STRU .1150 +.0025 +2.22 STRUTHERS INC, COM NEW 380200 MGCN 1.15000 +.02500 +2.22 MEGACHAIN.COM LTD 37200 TSIG .07150 +.00150 +2.14 TELESERVICES INTERNATIONAL GROUP INC 2869900 PCBM .25500 +.00500 +2.00 PINNACLE BUSINESS MANAGEMENT INC 259900 TRNT 3.50000 +.06250 +1.82 TRANSNET CORP 13700 NVXE 1.13000 +.02000 +1.80 NEW VISUAL ENTERTAINMENT INCORPORATE 312200 DNTK .7000 +.0100 +1.45 DAUPHIN TECHNOLOGY INC 120100 EMBU .76000 +.01000 +1.33 EMB CORP, SHS 76500 KAHI .0900 +.0010 +1.12 KAIRE HOLDINGS INC 2018500 MPTV .01820 +.00020 +1.11 MPTV INC 4007500 FASC .0580 +.0005 +.87 FIRST AMERICAN SCIENTIFIC CORP, SHS 141400 CECS .09370 +.00070 +.75 CHOICES ENTERTAINMENT CORP 1000