david: dell has gone into the negative area, re money flow. r/t...
Net Chg. % Symbol Money Flow Last Tot. Vol. Company Name +.98 IBM 87,777,285 207 + 2,624,600 INTL BUSINESS MACHINES CO -7.41 CMGI 37,476,608 232 + 2,244,400 CMG INFORMATION SERVICES +1.55 MMM 23,862,222 85 13/16 + 1,120,900 MINNESOTA MINING & MANUFA +1.77 EGRP 17,638,666 108 1/16 - 4,987,900 E TRADE GROUP INC +1.08 MO 14,418,766 34 15/16 + 2,523,500 PHILIP MORRIS COS INC +.57 GM 11,287,811 88 13/16 + 499,400 GENERAL MOTORS CORP -4.14 IP 11,037,478 55 + 1,439,400 INTERNATIONAL PAPER CO +.18 KO 10,797,774 68 1/16 + 1,186,900 COCA-COLA CO -.33 EK 9,846,316 75 7/16 + 387,500 EASTMAN KODAK CO +.00 ALD 9,749,353 59 1/16 + 755,500 ALLIEDSIGNAL INC -1.44 LU 9,540,772 59 13/16 + 3,391,100 LUCENT TECHNOLOGIES INC -.85 UK 8,920,185 51 1/4 + 594,500 UNION CARBIDE CORP +1.61 AA 7,319,497 63 - 4,075,000 ALCOA +.68 PG 5,760,627 93 + 820,100 PROCTER & GAMBLE CO +1.42 LOR 4,634,794 17 7/8 - 381,300 LORAL SPACE & COMMUNICATI -2.24 PCNTF 3,132,059 76 3/8 - 113,500 PACIFIC INTERNET LTD, SHS -5.29 SUNW 2,125,401 58 3/16 - 5,068,200 SUN MICROSYSTEMS +1.12 RNWK 1,891,555 186 1/16 + 946,100 REALNETWORKS INC -3.28 NETS 244,636 14 3/4 - 78,100 NETWORK EVENT THEATER INC +1.04 FRTE 217,338 6 1/16 - 106,200 FORTE SOFTWARE INC +5.63 USPL 131,871 9 3/8 - 117,900 US PLASTICS LUMBER CO, SH +5.13 ENDO 68,689 5 1/8 + 38,400 ENDOCARE CORP -4.02 MCNS 36,843 10 7/16 - 132,900 MEDICONSULT.COM INC +.00 NETD -13,600 3.50000 - 4,800 DATALINK SYSTEMS CORP, CO -8.06 XNET -13,997 3.56250 - 105,100 XIN NET CORP -3.70 IMOT -21,553 6.50000 - 29,800 INTERMOST CORP -7.02 TNRG -30,147 .53000 - 402,800 TIANRONG BUILDING MATERIA +.00 IINT -67,033 4 1/2 + 46,600 INDUS INTERNATIONAL INC -2.50 DPMI -113,862 43 7/8 + 7,000 DUPONT PHOTOMASKS INC +2.26 ZSUN -130,592 22.62500 - 108,300 ZIASUN TECHNOLOGIES INC -1.16 ADBE -211,515 64 + 319,100 ADOBE SYSTEMS INC -1.45 POS -330,051 89 3/16 - 12,000 CATALINA MARKETING CORP -2.04 SPYG -457,780 18 + 175,100 SPYGLASS INC -2.29 EPAY -556,468 53 3/8 + 85,500 BOTTOMLINE TECHNOLOGIES -2.73 NOVL -826,814 21 45/64 - 1,420,600 NOVELL INC +2.03 QCOM -871,028 194 5/16 - 1,241,000 QUALCOMM INC -4.13 TGLO -1,457,131 55 1/8 - 63,200 THEGLOBE.COM INC -2.07 ZDZ -1,615,759 35 1/2 + 218,800 ZIFF-DAVIS INC, COM ZDNET -8.37 AWRE -2,591,062 52 - 453,600 AWARE INC -2.55 DELL -4,073,014 40 9/16 - 6,947,100 DELL COMPUTER CORP -5.95 GNET -5,758,092 141 1/4 - 366,400 GO2NET INC -1.50 HWP -5,809,721 78 1/8 + 1,135,700 HEWLETT-PACKARD CO -.91 CHV -6,654,593 101 15/16 + 660,700 CHEVRON CORP -2.80 CSCO -6,875,870 108 5/8 + 6,478,900 CISCO SYSTEMS INC -1.23 INTC -8,434,383 60 7/16 + 7,137,400 INTEL CORP -1.79 GE -13,095,969 109 1/2 + 1,893,500 GENERAL ELECTRIC CO -2.77 DCLK -13,715,731 131 3/4 - 2,352,500 DOUBLECLICK INC NY -.92 ORCL -14,386,388 27 1/16 - 5,212,600 ORACLE CORP -6.08 ATHM -14,390,153 135 1/4 + 1,481,700 AT HOME CORPORATION, COM -1.77 MRK -27,549,530 69 1/2 - 3,440,700 MERCK & CO INC -4.23 DIS -28,538,793 31 1/8 + 2,819,200 WALT DISNEY COMPANY -5.04 YHOO -36,292,157 164 3/4 + 3,669,600 YAHOO INC -3.81 WMT -42,120,869 47 5/16 + 3,741,500 WAL-MART STORES INC -3.68 EMC -46,825,587 106 3/16 + 1,997,700 EMC CORP MASS, SHS -1.27 T -46,910,351 53 1/2 - 5,599,100 AT & T CORPORATION -14.18 AMZN -54,891,223 166 1/16 - 12,473,500 AMAZON.COM INC -1.67 MSFT -104,149,607 80 3/4 + 11,951,300 MICROSOFT CORP REDMOND -2.26 QQQ -112,285,119 105 3/16 - 4,053,100 NASDAQ-100 TR SER I -8.35 AOL -462,600,213 131 1/16 + 18,123,600 AMERICA ONLINE INC |