here's the list, real time, with NETP...hi
Net Chg. % Symbol Money Flow Company Name Last Tot. Vol. +11.59 MCNS 963,284 MEDICONSULT.COM INC 14 7/16 + 518,000 +11.11 NETD 47,936 DATALINK SYSTEMS CORP, CO 3.75000 + 65,600 +6.10 IBM 315,147,525 INTL BUSINESS MACHINES CO 239 1/4 + 6,161,100 +4.62 TNRG -50,661 TIANRONG BUILDING MATERIA .68000 + 457,700 +4.35 HWP 120,810,134 HEWLETT-PACKARD CO 86 7/8 + 3,680,300 +4.28 SPYG 639,242 SPYGLASS INC 19 13/16 - 239,600 +4.24 IMOT 29,519 INTERMOST CORP 5.37500 + 27,000 +3.47 CMGI 17,651,798 CMG INFORMATION SERVICES 248 1/16 + 1,324,900 +2.94 UK 3,692,486 UNION CARBIDE CORP 52 7/16 - 343,200 +2.86 NETS -163,083 NETWORK EVENT THEATER INC 15 3/4 + 87,000 +2.78 USPL 115,616 US PLASTICS LUMBER CO, SH 9 1/4 + 28,000 +2.78 MO 38,451,882 PHILIP MORRIS COS INC, SH 39 5/16 - 3,787,900 +2.48 LOR 3,089,959 LORAL SPACE & COMMUNICATI 20 11/16 + 828,000 +2.13 DELL 9,479,777 DELL COMPUTER CORP 44 7/8 + 15,312,400 +2.06 AMZN 10,676,678 AMAZON.COM INC. 145 7/8 + 2,536,800 +1.74 CSCO -52,454,106 CISCO SYSTEMS INC 120 13/16 + 10,569,800 +1.71 DIS -3,165,026 WALT DISNEY COMPANY 29 11/16 + 3,964,300 +1.44 SUNW 20,570,754 SUN MICROSYSTEMS , COM 66 1/16 + 5,015,000 +1.39 ENDO 57,541 ENDOCARE CORP 4 9/16 + 26,300 +1.31 MRK -25,354,290 MERCK & CO INC 72 1/2 - 2,763,200 +1.23 QCOM -995,528 QUALCOMM INC 118 - 1,877,600 +1.22 TGLO 5,689 THEGLOBE.COM INC 57 1/8 + 103,000 +1.14 T 49,274,785 AT & T CORPORATION 60 13/16 + 5,168,700 +.97 POS 773,020 CATALINA MARKETING CORP 91 1/16 - 37,900 +.95 EK 3,475,608 EASTMAN KODAK CO 79 7/16 + 336,500 +.94 NETP -862,125 NET PERCEPTIONS INC , 26 3/4 + 175,900 +.94 WMT -5,551,407 WAL-MART STORES INC 47 + 3,101,000 +.84 EGRP -2,457,052 E TRADE GROUP INC 113 3/16 + 1,887,200 +.78 MSFT 1,848,771 MICROSOFT CORP REDMOND 81 1/8 - 11,947,700 +.73 QQQ 38,673,280 NASDAQ-100 TR SER I 111 3/4 - 1,838,100 +.55 YHOO 2,732,066 YAHOO INC , COM 170 7/8 - 1,640,400 +.20 LU 43,181,191 LUCENT TECHNOLOGIES INC 62 + 4,383,800 +.11 GE 14,181,373 GENERAL ELECTRIC CO 110 5/16 + 1,454,100 -.06 EMC -10,034,330 EMC CORP MASS , SHS 110 15/16 + 1,910,000 -.11 EPAY -494,188 BOTTOMLINE TECHNOLOGIES 55 15/16 - 52,300 -.28 DPMI -53,847 DUPONT PHOTOMASKS INC 45 1/8 - 2,500 -.34 ADBE -819,321 ADOBE SYSTEMS INC 73 7/16 - 229,600 -.35 IP -2,948,605 INTERNATIONAL PAPER CO 54 1/16 - 647,100 -.37 GNET -3,333,396 GO2NET INC 133 3/16 + 148,500 -.40 ALD -3,050,344 ALLIEDSIGNAL INC 62 - 444,400 -.50 AOL 56,561,424 AMERICA ONLINE INC, SHS 137 3/4 - 7,905,300 -.53 CHV 5,480,495 CHEVRON CORP 94 9/16 + 602,600 -.57 GM -144,492 GENERAL MOTORS CORP , 87 7/8 + 774,200 -.65 DCLK -4,561,253 DOUBLECLICK INC NY 124 3/8 + 593,200 -.66 RNWK -3,935,208 REALNETWORKS INC 93 7/8 + 469,600 -.70 INTC -5,880,606 INTEL CORP, SHS. 62 1/16 - 5,624,900 -.91 ATHM 19,521,417 AT HOME CORPORATION 156 3/4 + 793,200 -1.01 PG 10,976,474 PROCTER & GAMBLE CO 92 - 657,800 -1.13 KO -7,355,670 COCA-COLA CO , COM 65 11/16 + 1,303,000 -1.18 FRTE -104,918 FORTE SOFTWARE INC 5 1/4 - 31,100 -1.19 AA -7,093,317 ALCOA 62 1/8 + 704,100 -1.27 NOVL 300,595 NOVELL INC, SHS 24 3/8 - 1,303,600 -1.46 ZSUN -96,310 ZIASUN TECHNOLOGIES INC 12.68750 + 41,400 -2.17 IINT -65,467 INDUS INTERNATIONAL INC 4 7/32 - 63,700 -2.21 ZDZ -359,503 ZIFF-DAVIS INC , COM 33 1/4 - 108,200 -2.52 PCNTF -1,047,288 PACIFIC INTERNET LTD, SHS 67 3/4 + 195,100 -2.86 MMM -20,477,695 MINNESOTA MINING & MANUFA 91 3/16 - 657,200 -3.52 AWRE -1,375,663 AWARE INC 61 3/4 - 310,700 -4.08 XNET -18,802 XIN NET CORP, SHS 2.93750 - 32,100 -6.17 ORCL 9,503,814 ORACLE CORP , COM 23 3/4 + 32,502,100 |