ed: more money flow real time... glad you are giving so much here...
Net Chg. % Symbol Money Flow Company Name Last Tot. Vol. -.79 IBM 83,748,887 INTL BUSINESS MACHINES CO 236 5/8 - 1,807,000 +1.90 DIS 38,226,182 WALT DISNEY COMPANY (HOLD 30 1/8 + 6,154,200 +3.27 ORCL 34,923,437 ORACLE CORP , COM 25 5/8 - 6,645,900 +2.22 GE 28,522,204 GENERAL ELECTRIC CO 106 9/16 - 1,775,800 -.27 CSCO 25,202,189 CISCO SYSTEMS INC 115 7/8 + 4,338,100 +1.54 SCH 22,600,434 CHARLES SCHWAB CORP , 119 9/16 - 972,700 +.95 EMC 19,471,195 EMC CORP MASS , SHS 106 3/8 + 1,297,400 +2.97 AMZN 18,744,980 AMAZON.COM INC , COM 136 9/16 - 2,554,400 -1.06 INTC 17,009,628 INTEL CORP, SHS. 58 5/16 - 7,947,300 +.95 LU 15,788,652 LUCENT TECHNOLOGIES INC 59 5/8 - 2,178,100 +3.70 IP 15,154,489 INTERNATIONAL PAPER CO 54 5/16 - 1,385,500 +.48 MSFT 13,085,180 MICROSOFT CORP REDMOND 79 1/16 + 7,298,300 +.82 AA 13,041,309 ALCOA 61 3/4 + 995,000 +.88 CHV 12,283,340 CHEVRON CORP 93 7/16 + 655,200 +1.39 YHOO 12,073,507 YAHOO INC , COM 159 + 2,052,700 -.73 KO 11,979,881 COCA-COLA CO , COM 68 1/4 + 1,280,000 +2.28 AOL 11,418,111 AMERICA ONLINE INC, SHS 137 1/8 + 7,805,300 +.96 MO 9,848,348 PHILIP MORRIS COS INC, SH 39 9/16 + 2,387,200 +2.24 CMGI 7,898,776 CMG INFORMATION SERVICES 244 13/16 + 1,397,100 -.73 PG 7,101,637 PROCTER & GAMBLE CO 93 3/16 + 688,000 +.76 ADBE 6,969,004 ADOBE SYSTEMS INC 75 + 395,900 -1.00 NITE 6,463,964 KNIGHT/TRIMARK GROUP INC, 71 + 1,132,300 -1.66 ATHM 6,414,913 AT HOME CORPORATION , 147 3/4 + 535,000 +.93 EK 6,049,682 EASTMAN KODAK CO 74 13/16 + 525,100 -1.76 HWP 5,456,810 HEWLETT-PACKARD CO 94 5/16 + 3,399,400 +2.14 MMM 5,011,403 MINNESOTA MINING & MANUFA 89 3/8 - 312,000 +.00 NOVL 3,778,053 NOVELL INC, SHS 24 7/8 + 1,700,200 +.98 MRK 1,672,058 MERCK & CO INC 71 - 1,886,100 +1.04 POS 1,109,789 CATALINA MARKETING CORP 91 1/2 + 16,500 +1.70 DCLK 972,137 DOUBLECLICK INC NY 119 3/4 + 420,600 +4.52 SPYG 911,671 SPYGLASS INC 20 1/4 + 198,900 +6.49 IINT 735,901 INDUS INTERNATIONAL INC 5 1/8 + 446,000 +2.68 LOR 722,770 LORAL SPACE & COMMUNICATI 19 3/16 - 363,000 +2.62 CNF 244,646 CNF TRANSPORTATION INC 44 1/8 - 68,700 -.50 ZSUN 147,628 ZIASUN TECHNOLOGIES INC 12.43750 - 17,000 +4.35 IMOT 59,339 INTERMOST CORP 6.00000 + 17,700 +.00 FRTE 51,988 FORTE SOFTWARE INC 5 3/4 - 61,700 +.00 XNET -6,610 XIN NET CORP, SHS 2.93750 - 20,300 -2.86 ENDO -27,801 ENDOCARE CORP 4 1/4 - 12,400 +.00 USPL -35,073 US PLASTICS LUMBER CO, SH 9 + 60,000 -11.63 TNRG -39,608 TIANRONG BUILDING MATERIA .38000 - 396,500 +3.46 MCNS -45,273 MEDICONSULT.COM INC 14 15/16 + 120,200 -.77 NETD -47,837 DATALINK SYSTEMS CORP, CO 4.03120 + 29,800 +.00 EPAY -99,221 BOTTOMLINE TECHNOLOGIES 52 3/8 - 35,300 +1.29 NETS -133,899 NETWORK EVENT THEATER INC 14 11/16 + 24,800 +7.51 DPMI -169,173 DUPONT PHOTOMASKS INC 44 3/4 + 48,600 +.72 HNCS -402,603 HNC SOFTWARE INC 26 3/16 + 154,600 -2.04 NETP -413,286 NET PERCEPTIONS INC , 24 - 68,100 +1.25 PCNTF -539,399 PACIFIC INTERNET LTD, SHS 60 5/8 - 101,100 +.65 AWRE -543,560 AWARE INC 58 1/8 + 90,500 -1.46 ZDZ -685,384 ZIFF-DAVIS INC , COM 29 9/16 + 151,100 -1.25 FDX -866,399 FDX CORPORATION 59 1/4 - 484,000 -1.78 USWB -932,721 USWEB CORP, SHS 27 9/16 - 492,000 -.40 GNET -1,761,962 GO2NET INC 124 1/2 + 132,700 -.20 ALD -2,230,607 ALLIEDSIGNAL INC 60 15/16 + 694,800 -5.96 MSGI -2,665,379 MARKETING SERVICES GROUP 35 1/2 + 562,600 +1.66 EGRP -2,731,449 E TRADE GROUP INC 112 7/8 - 1,362,500 -.23 UK -4,450,922 UNION CARBIDE CORP 54 15/16 + 469,800 -7.06 TGLO -5,844,981 THEGLOBE.COM INC 20 9/16 - 7,254,800 +.35 WCOM -6,062,641 MCI WORLDCOM INC, SHS 89 3/16 - 2,089,400 -2.50 RNWK -7,212,298 REALNETWORKS INC 90 1/16 + 1,187,300 -1.37 SUNW -8,279,814 SUN MICROSYSTEMS , COM 62 15/16 - 2,412,000 -1.08 WMT -8,697,851 WAL-MART STORES INC 45 15/16 - 2,043,100 -.12 QQQ -13,168,297 NASDAQ-100 TR SER I 108 1/8 - 1,753,400 -9.65 DELL -16,765,799 DELL COMPUTER CORP 39 13/16 + 35,139,400 -3.09 QCOM -18,387,266 QUALCOMM INC 100 - 2,673,500 -1.16 T -36,024,259 AT & T CORPORATION 58 7/16 - 3,997,800 -1.47 GM -54,727,721 GENERAL MOTORS CORP , 79 13/16 - 1,158,100 |