money flow sequence: notice the money leaving aol, at bottom of list.
Symbol Money Flow Net Chg. % Last Tot. Vol. Company Name AA 99,838,693 +7.34 59 7/16 - 3,355,100 ALCOA LU 83,943,093 +1.02 61 3/4 + 5,344,900 LUCENT TECHNOLOGIES INC IBM 74,712,660 -1.95 207 7/8 + 3,512,800 INTL BUSINESS MACHINES CO T 61,350,545 +1.77 53 15/16 - 9,564,100 AT & T CORPORATION AMZN 52,617,119 -4.13 197 3/8 - 4,567,200 AMAZON.COM INC HWP 50,325,452 -.16 80 + 1,601,500 HEWLETT-PACKARD CO YHOO 43,433,620 -3.83 177 7/16 + 2,435,700 YAHOO INC GM 27,044,354 +1.48 89 13/16 + 846,900 GENERAL MOTORS CORP GE 26,697,861 -.78 111 5/8 + 2,249,800 GENERAL ELECTRIC CO CHV 26,594,382 +3.66 102 9/16 - 1,009,900 CHEVRON CORP IP 21,311,070 +1.35 56 1/2 - 1,587,600 INTERNATIONAL PAPER CO QQQ 20,909,033 -1.91 109 5/16 - 2,175,100 NASDAQ-100 TR SER I DIS 18,192,943 -1.92 31 7/8 + 7,043,400 WALT DISNEY COMPANY (HOLD WMT 14,363,368 -.37 50 9/16 + 3,637,800 WAL-MART STORES INC CSCO 12,292,706 -1.79 113 - 5,563,000 CISCO SYSTEMS INC KO 10,885,723 -1.62 68 5/16 + 1,893,300 COCA-COLA CO UK 10,061,722 +3.27 51 1/4 + 950,100 UNION CARBIDE CORP MMM 9,155,695 +2.09 82 1/2 + 603,700 MINNESOTA MINING & MANUFA PG 3,943,703 -.87 92 3/4 - 1,091,600 PROCTER & GAMBLE CO INTC 3,472,249 +.40 62 1/2 + 8,735,500 INTEL CORP SPYG 2,499,349 +3.82 18 11/16 - 732,300 SPYGLASS INC QCOM 2,069,580 -1.14 194 13/16 + 1,072,100 QUALCOMM INC LOR 1,454,131 +.00 17 11/16 + 463,700 LORAL SPACE & COMMUNICATI EK 1,163,047 -.24 77 7/16 + 532,700 EASTMAN KODAK CO ADBE 1,111,620 +1.92 66 1/4 - 566,900 ADOBE SYSTEMS INC AWRE 536,778 -2.20 61 1/8 - 409,000 AWARE INC ZSUN 322,666 +18.42 22.50000 + 337,200 ZIASUN TECHNOLOGIES INC PCNTF 218,850 -.77 80 1/4 - 110,500 PACIFIC INTERNET LTD, SHS IINT 39,908 +1.43 4 7/16 + 54,700 INDUS INTERNATIONAL INC TNRG 15,790 +11.54 .58000 + 714,200 TIANRONG BUILDING MATERIA NETD 10,250 +.00 3.62500 - 6,300 DATALINK SYSTEMS CORP, CO XNET -53,669 +.00 3.75000 - 164,600 XIN NET CORP ENDO -56,186 +.00 4 7/8 + 33,800 ENDOCARE CORP NETS -148,165 +1.37 13 7/8 - 50,600 NETWORK EVENT THEATER INC IMOT -157,811 -.91 6.81250 - 88,400 INTERMOST CORP DPMI -158,142 -1.95 44 - 35,600 DUPONT PHOTOMASKS INC ZDZ -158,757 -3.28 36 13/16 + 329,000 ZIFF-DAVIS INC, COM ZDNET FRTE -159,928 -4.85 6 1/8 + 96,900 FORTE SOFTWARE INC MCNS -275,865 -4.26 11 1/4 + 158,000 MEDICONSULT.COM INC USPL -330,923 -6.12 8 5/8 - 117,300 US PLASTICS LUMBER CO, SH TGLO -523,798 -3.08 57 1/16 + 100,300 THEGLOBE.COM INC GNET -662,758 -5.37 154 1/8 - 249,100 GO2NET INC EPAY -972,861 -3.51 55 - 131,700 BOTTOMLINE TECHNOLOGIES ALD -1,645,485 +4.24 58 3/8 - 1,557,200 ALLIEDSIGNAL INC ATHM -1,666,195 -2.71 150 1/16 + 1,455,500 AT HOME CORPORATION, COM POS -1,970,222 -.48 89 15/16 + 50,500 CATALINA MARKETING CORP DELL -3,149,733 -1.59 42 1/2 + 11,059,900 DELL COMPUTER CORP NOVL -3,267,842 -2.16 22 11/16 - 1,481,600 NOVELL INC RNWK -4,525,798 +3.80 188 - 1,385,700 REALNETWORKS INC ORCL -5,017,274 -.67 27 7/8 + 5,287,500 ORACLE CORP MO -5,034,760 +.54 34 15/16 - 2,946,600 PHILIP MORRIS COS INC EMC -8,773,552 -2.63 113 5/16 + 2,053,000 EMC CORP MASS, SHS SUNW -13,495,655 -1.38 62 3/4 + 4,108,000 SUN MICROSYSTEMS DCLK -13,567,350 -6.65 138 5/8 - 3,309,000 DOUBLECLICK INC NY MRK -13,963,217 -2.38 71 13/16 + 3,843,500 MERCK & CO INC MSFT -20,753,468 -.60 83 1/2 + 14,521,800 MICROSOFT CORP REDMOND CMGI -23,316,076 -2.56 261 1/4 - 1,888,700 CMG INFORMATION SERVICES EGRP -27,831,305 -6.07 112 3/16 - 5,144,600 E TRADE GROUP INC AOL -354,371,708 -2.29 149 1/2 - 21,069,100 AMERICA ONLINE INC |