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To: stockman_scott who wrote (124743)5/14/1999 3:11:00 PM
From: arthur pritchard  Respond to of 176387
 
scott: money flow, by % gain, including netp. Now netp is permanently on there. forgot to "save" the work yesterday...

Net Chg. % Symbol Money Flow Company Name Last Tot. Vol.
+5.63 USPL 52,737 US PLASTICS LUMBER CO, SH 9 3/8 + 195,200
+5.00 NETD 22,241 DATALINK SYSTEMS CORP, CO 3.93750 - 214,500
+4.89 ORCL 8,279,684 ORACLE CORP , COM 24 1/8 + 35,062,200
+3.92 UK 25,892,616 UNION CARBIDE CORP 54 5/8 + 1,396,300
+3.64 FRTE 81,557 FORTE SOFTWARE INC 5 11/32 + 81,600
+3.30 IMOT -15,058 INTERMOST CORP 5.87500 + 127,200
+2.33 NOVL 9,058,106 NOVELL INC, SHS 24 11/16 + 2,938,700
+1.29 IP 13,001,933 INTERNATIONAL PAPER CO 54 1/16 + 1,878,400
+1.21 AA 6,706,970 ALCOA 62 3/4 + 1,508,900
+.92 ATHM -5,669,049 AT HOME CORPORATION 150 11/16 - 3,749,500
+.75 GNET 939,804 GO2NET INC 126 + 416,100
+.46 CHV -1,858,059 CHEVRON CORP 94 7/8 + 941,400
+.34 PG 32,822,484 PROCTER & GAMBLE CO 92 5/16 + 1,559,300
+.17 ADBE 11,113,475 ADOBE SYSTEMS INC 73 9/16 - 963,900
+.00 IINT 5,736 INDUS INTERNATIONAL INC 4 1/4 - 56,300
+.00 ENDO 36,264 ENDOCARE CORP 4 1/4 - 15,900
-.10 KO 28,415,309 COCA-COLA CO , COM 65 11/16 + 2,549,300
-.64 DIS -9,837,472 WALT DISNEY COMPANY 29 3/16 + 6,539,900
-.79 MO 3,335,550 PHILIP MORRIS COS INC, SH 39 1/16 - 4,728,200
-.86 AWRE 493,858 AWARE INC 57 1/2 + 585,200
-.95 POS -1,085,370 CATALINA MARKETING CORP 91 - 77,800
-1.03 MMM 4,397,532 MINNESOTA MINING & MANUFA 90 + 933,300
-1.31 ALD 2,929,258 ALLIEDSIGNAL INC 61 1/8 + 1,081,200
-1.49 TNRG -79,313 TIANRONG BUILDING MATERIA .66000 + 1,215,500
-1.60 WMT 5,229,646 WAL-MART STORES INC 46 1/4 - 5,061,000
-1.65 CSCO -103,218,680 CISCO SYSTEMS INC 115 3/4 + 15,110,500
-1.72 QQQ -195,950,534 NASDAQ-100 TR SER I 107 + 5,128,300
-1.79 QCOM -29,127,314 QUALCOMM INC 113 + 2,293,800
-1.80 MRK -9,407,609 MERCK & CO INC 71 11/16 - 3,250,300
-1.80 MCNS -11,860 MEDICONSULT.COM INC 13 5/8 + 387,200
-1.87 HWP 17,512,471 HEWLETT-PACKARD CO 85 3/8 + 3,755,100
-1.89 EMC 11,819,116 EMC CORP MASS , SHS 103 11/16 + 3,714,600
-1.90 EK 4,476,235 EASTMAN KODAK CO 77 9/16 + 621,500
-2.12 EPAY -1,028,539 BOTTOMLINE TECHNOLOGIES 52 + 178,400
-2.21 MSFT -160,577,388 MICROSOFT CORP REDMOND 77 3/8 + 32,942,100
-2.26 T -36,988,552 AT & T CORPORATION 59 9/16 - 9,860,500
-2.30 SUNW -12,595,087 SUN MICROSYSTEMS , COM 63 11/16 + 7,788,200
-2.42 ZSUN 71,784 ZIASUN TECHNOLOGIES INC 12.62500 + 113,000
-2.46 NETS 720,967 NETWORK EVENT THEATER INC 14 7/8 + 141,300
-2.65 DPMI -262,512 DUPONT PHOTOMASKS INC 43 11/16 + 13,500
-2.81 YHOO 5,813,243 YAHOO INC , COM 155 7/8 + 5,051,000
-2.83 GM -86,897,478 GENERAL MOTORS CORP , 83 9/16 + 2,677,200
-2.85 IBM 66,137,305 INTL BUSINESS MACHINES CO 239 - 7,788,900
-2.94 AMZN -8,090,991 AMAZON.COM INC. 132 + 4,564,100
-3.06 XNET -39,562 XIN NET CORP, SHS 2.96870 + 87,800
-3.23 SPYG -140,977 SPYGLASS INC 18 3/4 - 335,400
-3.26 GE -47,698,098 GENERAL ELECTRIC CO 105 3/4 - 4,981,000
-3.32 NETP 248,013 NET PERCEPTIONS INC , 25 1/2 + 133,100
-3.33 INTC -11,091,803 INTEL CORP, SHS. 58 1/16 - 19,197,300
-3.56 DCLK -6,750,636 DOUBLECLICK INC NY 118 1/2 + 1,530,000
-3.57 RNWK -4,069,058 REALNETWORKS INC 87 3/4 - 1,301,200
-3.69 LU -12,869,395 LUCENT TECHNOLOGIES INC 58 3/4 - 6,956,400
-3.83 CMGI -8,550,010 CMG INFORMATION SERVICES 228 15/16 - 2,162,800
-4.42 EGRP -4,870,601 E TRADE GROUP INC 106 3/4 + 3,977,300
-4.52 ZDZ 501,601 ZIFF-DAVIS INC , COM 30 3/8 - 332,300
-4.62 DELL 3,944,793 DELL COMPUTER CORP 41 1/4 + 19,485,100
-5.00 AOL -75,848,925 AMERICA ONLINE INC, SHS 126 + 18,727,900
-5.22 TGLO -1,683,264 THEGLOBE.COM INC 52 1/4 - 369,200
-5.45 LOR -9,212,774 LORAL SPACE & COMMUNICATI 19 1/2 + 1,326,000
-5.52 PCNTF -1,830,329 PACIFIC INTERNET LTD, SHS 62 - 242,600