The Ball is ready to fall on Trav techstocks.com
  Buyer Beware!!!  otcbb.com TRAV - PATTERSON TRAVIS, INC.          Page  of 2         October 1999    September 1999    Year-to-Date       Volume  Rank  %    Volume  Rank  %    Volume  Rank  %    
  --------------------------------------------------------------------------------   Total Share Volume  3,549,343   
  --------------------------------------------------------------------------------   OSCR  ONE STOP.COM INC 1,294,400   1   26        46,500   8   5        2,281,200   2   24    MPEH  MPEL HOLDINGS CORP 575,000   1   30        5,000   12   <1        584,000   7   4    KSRC  KENDALL SQUARE RESEARCH CORP 280,000   1   65   -  -  -        405,000   4   13    PLCO  PLAY CO TOYS & ENTERTAINMNT CP 214,013   1   31        47,000   5   8        948,173   2   16    NIGI  NIGHTWING GROUP INC 200,000   10   3   -  -  -        1,973,600   9   3    MSOF  MULTI SOFT INC NEW 110,000   1   41   -  -  -        476,600   1   25    CLSI  CLANCY SYS INTL INC 80,000   12   <1   -  -  -        80,000   26   <1    PLCOP  PLAY CO TOYS & ENT PFD E 73,300   2   23        56,300   2   26        425,100   3   13    CXCX  CARDXX INC 70,000   1   77        81,868   1   58        314,218   1   27    AENG  ADVANCED ENGINE TECHNLGS INC 67,900   2   15        84,885   1   34        1,038,662   3   21    LBTI  LIFELINE BIOTECHNOLOGIES 45,000   5   3   -  -  -        510,500   4   7    MGCN  MEGACHAIN.COM LTD 33,600   12   1        23,000   15   <1        785,200   9   2    MULT  MULTI SOLUTIONS INC 30,000   4   15   -  -  -        268,000   12   3    EPEA  E-PRIME AEROSPACE CORP 30,000   28   <1   -  -  -        30,000   31   <1    AFTI  ABSOLUTEFUTURE.COM 26,410   13   <1   -  -  -        26,410   19   <1    NPCT  NANOPIERCE TECHNLGS INC 25,000   9   2        4,000   10   <1        60,000   21   <1    TFRY  TASTY FRIES INC NEW 25,000   10   1   -  -  -        75,000   18   <1    MDTK  E.MEDSOFT.COM 24,500   9   3        12,800   11   1        380,286   10   4    UTTC  UNITED TEXTILES & TOYS CORP 21,700   2   22   -  -  -        40,151   2   15    IMTL  INTL MERCANTILE CORP 20,000   9   2   -  -  -        20,000   14   <1    CHAI  LIFE MEDICAL SCIENCES INC 19,600   6   5        4,800   10   1        81,290   12   1    MMCI  MULTIMEDIA CONCEPTS INTL INC 18,700   5   10   -  -  -        293,940   2   17    RHCS  RED HOT CONCEPTS INC 15,543   3   12        2,615   2   4        72,818   3   16    CHRM  S W LAM INC 15,000   5   5        5,000   4   7        78,500   8   4    MDJT  MEDJET INC 11,800   4   9        17,955   2   23        90,580   4   9    SKCO  SAGEMARK COS LTD THE 10,840   1   31        7,739   2   25        7,018,749   1   28    BEAH  BEECHPORT CAPITAL CORP 10,475   1   39   -  -  -        28,667   1   27    MMTS  MULTI-MEDIA TUT SVCS INC 10,000   4   11        14,400   4   11        267,100   5   8    ADTI  ADVANCE DISPLAY TECH INC 10,000   2   24   -  -  -        932,377   1   71    LMTI  LASER MASTER INTL INC 10,000   6   4   -  -  -        552,512   2   18    FUTO  FUTUREONE INC 10,000   9   2   -  -  -        10,000   20   <1    VALH  VALUE HOLDINGS INC 10,000   16   <1   -  -  -        10,000   36   <1    THOE  TAHOE PACIFIC CORP 9,000   9   <1   -  -  -        9,000   18   <1    ATSM  ATS MONEY SYSTEMS INC. 8,000   4   11   -  -  -        8,000   16   <1    WEBQ  WEBQUEST INTERNATIONAL INC 7,700   5   7   -  -  -        131,740   1   27    COGE  COMPARE GENERIKS INC 7,000   6   3        9,000   5   4        159,900   5   6    CREB  CHAMPION PARTS INC 7,000   4   9        5,000   9   3        12,000   10   1    MDJTW  MEDJET INC WT 8-07-99 5,500   2   21        300   1   99        16,050   1   24    DYGN  DYNAGEN INC. 5,000   17   <1        27,500   14   <1        320,350   18   <1    RISKA  RISK GEORGE INDS INC CL-A 4,622   4   9        4,500   6   4        100,796   4   9    CSNO  CASINOBUILDERS.COM INC 4,000   10   <1        8,000   12   <1        588,100   3   13    INTK  INOTEK TECHNOLOGIES INC 2,600   6   7   -  -  -        47,200   11   1    FANT  FINANTRA CAPITAL INC 2,500   17   <1        37,000   6   4        40,000   14   1    CBQI  CBQ INC 2,500   9   1   -  -  -        116,420   7   5    MPSS  MPEG SUPER SITE INC 2,500   17   <1   -  -  -        4,124   17   <1    BOWG  SUITE 101.COM INC 2,000   15   <1        11,500   9   2        1,470,296   4   9    HPWR  HEALTH POWER INC 2,000   8   1        8,000   2   20        10,000   9   3    DYNIU  DYNAMIC INTL LTD UTS 6/12/99 1,900   2   24   -  -  -        66,295   2   35   
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