trying to do briefer version:BY DECREASING PERCENT CHANGE REAL TIME Symbol Last Net Chg. % Tot. Vol. Money Flow Company Name TNRG .47000 + +20.51 1,137,600 70,147 TIANRONG BUILDING MATERIA EGRP 118 1/2 - +13.87 5,786,600 39,452,559 E TRADE GROUP INC FRTE 6 3/16 - +11.24 454,800 1,024,666 FORTE SOFTWARE INC DCLK 163 3/4 + +11.21 2,623,600 33,372,420 DOUBLECLICK INC NY QCOM 208 11/16 + +9.33 2,480,700 22,714,998 QUALCOMM INC PCNTF 80 5/16 - +8.90 264,000 2,880,380 PACIFIC INTERNET LTD, SHS AWRE 59 3/8 + +7.47 417,800 -2,279,577 AWARE INC RNWK 193 1/16 + +7.26 949,700 -2,261,310 REALNETWORKS INC CMGI 276 3/4 - +6.90 1,669,100 26,979,651 CMG INFORMATION SERVICES NETD 3.18750 + +6.25 14,200 9,112 DATALINK SYSTEMS CORP, CO AOL 155 - +5.44 14,382,900 298,470,100 AMERICA ONLINE INC ORCL 28 13/16 + +5.37 11,092,600 18,307,067 ORACLE CORP XNET 4.31250 + +4.55 259,300 111,029 XIN NET CORP MCNS 12 7/16 + +4.19 221,000 672,398 MEDICONSULT.COM INC EMC 115 1/2 - +4.05 2,769,900 30,982,978 EMC CORP MASS, SHS PG 94 + +3.87 2,718,200 81,906,054 PROCTER & GAMBLE CO ATHM 164 5/8 + +3.86 1,820,300 15,458,857 AT HOME CORPORATION, COM DELL 44 9/16 - +3.63 17,314,600 51,326,045 DELL COMPUTER CORP IBM 206 3/8 + +3.32 5,545,100 127,098,119 INTL BUSINESS MACHINES CO INTC 63 3/4 - +3.24 10,083,600 63,805,267 INTEL CORP NETS 14 1/8 + +2.73 50,800 17,954 NETWORK EVENT THEATER INC EK 75 13/16 - +2.54 647,000 16,112,623 EASTMAN KODAK CO POS 92 15/16 + +2.13 74,500 -1,107,182 CATALINA MARKETING CORP LU 62 5/16 - +2.05 5,925,900 37,975,789 LUCENT TECHNOLOGIES INC ZDZ 41 5/8 + +1.99 309,000 1,070,440 ZIFF-DAVIS INC, COM ZDNET QQQ 112 13/16 + +1.98 1,597,300 32,632,902 NASDAQ-100 TR SER I MSFT 87 5/8 + +1.89 12,800,900 26,007,696 MICROSOFT CORP REDMOND YHOO 190 11/16 - +1.60 2,282,300 19,306,118 YAHOO INC ADBE 64 1/2 - +1.57 653,000 965,873 ADOBE SYSTEMS INC GNET 169 + +1.50 347,700 -2,536,245 GO2NET INC DIS 35 - +1.45 3,640,300 36,995,881 WALT DISNEY COMPANY (HOLD IP 55 3/4 + +1.13 1,233,800 25,114,067 INTERNATIONAL PAPER CO MMM 81 11/16 + +1.08 401,700 4,371,412 MINNESOTA MINING & MANUFA HWP 77 15/16 + +1.05 1,637,400 20,459,529 HEWLETT-PACKARD CO SUNW 63 11/16 + +.59 5,690,800 17,173,908 SUN MICROSYSTEMS CSCO 117 7/8 + +.43 7,690,600 21,928,746 CISCO SYSTEMS INC WMT 51 1/8 + +.37 4,551,400 -45,402,864 WAL-MART STORES INC ZSUN 15.43750 + +.00 116,500 1,362,029 ZIASUN TECHNOLOGIES INC IINT 4 13/16 + +.00 67,300 -46,707 INDUS INTERNATIONAL INC KO 66 1/2 + +.00 1,345,200 10,314,462 COCA-COLA CO GM 89 + -.14 838,700 4,920,162 GENERAL MOTORS CORP LOR 17 3/16 - -.36 782,700 6,586,943 LORAL SPACE & COMMUNICATI TGLO 61 + -.41 145,400 -1,697,570 THEGLOBE.COM INC GE 112 1/8 + -.66 2,147,200 -6,038,683 GENERAL ELECTRIC CO ALD 55 3/8 - -.78 377,800 -3,212,679 ALLIEDSIGNAL INC DPMI 46 1/2 - -.80 15,600 160,969 DUPONT PHOTOMASKS INC AA 53 3/8 + -1.16 710,200 4,187,781 ALCOA T 52 3/4 + -1.17 14,293,200 -229,113,651 AT & T CORPORATION MO 34 11/16 - -1.25 4,646,500 -12,790,697 PHILIP MORRIS COS INC AMZN 206 1/8 - -1.90 4,742,000 -21,752,141 AMAZON.COM INC USPL 9 1/8 - -2.01 67,200 -336,192 US PLASTICS LUMBER CO, SH CHV 93 3/4 - -2.22 456,000 -3,473,038 CHEVRON CORP MRK 74 + -2.31 3,795,300 -20,938,746 MERCK & CO INC EPAY 59 1/2 + -2.46 258,400 -1,522,483 BOTTOMLINE TECHNOLOGIES NOVL 23 1/2 + -2.59 2,136,800 2,064,108 NOVELL INC ENDO 4 1/2 - -2.70 67,400 -111,595 ENDOCARE CORP UK 48 15/16 + -5.43 705,000 -3,952,512 UNION CARBIDE CORP IMOT 6.50000 + -11.11 123,200 -157,458 INTERMOST CORP |