SI
SI
discoversearch

We've detected that you're using an ad content blocking browser plug-in or feature. Ads provide a critical source of revenue to the continued operation of Silicon Investor.  We ask that you disable ad blocking while on Silicon Investor in the best interests of our community.  If you are not using an ad blocker but are still receiving this message, make sure your browser's tracking protection is set to the 'standard' level.
Technology Stocks : Dell Technologies Inc. -- Ignore unavailable to you. Want to Upgrade?


To: TigerPaw who wrote (127443)5/20/1999 6:30:00 PM
From: arthur pritchard  Read Replies (1) | Respond to of 176387
 
tiger:here is money flow summary, for today...
I find it interesting...
for example, look at qualcom...

Net Chg. % Symbol Money Flow Company Name Last Tot. Vol.
+1.78 PG 83,082,811 PROCTER & GAMBLE CO 96 11/16S + 2,263,000
+2.48 MRK 79,848,596 MERCK & CO INC 72 1/4S + 4,944,100
-.42 DIS 36,966,108 WALT DISNEY COMPANY 29 13/16S + 5,328,000
-1.38 MO 35,442,532 PHILIP MORRIS COS INC, SH 40 3/16S + 6,452,200
-1.06 SCH 34,535,243 CHARLES SCHWAB CORP , 116 3/4S - 1,687,700
+.20 HWP 34,283,654 HEWLETT-PACKARD CO 94S - 4,896,600
-3.35 INTC 29,200,779 INTEL CORP, SHS. 57 11/16 - 21,309,500
-4.03 ORCL 25,861,372 ORACLE CORP , COM 25 5/16 - 20,673,300
+1.50 IP 25,530,822 INTERNATIONAL PAPER CO 54 13/16S + 1,551,900
-1.09 QCOM 23,581,233 QUALCOMM INC 102 1/4 + 2,539,100
-1.10 MSFT 17,562,920 MICROSOFT CORP REDMOND 78 7/16 - 21,193,100
-1.22 ALD 16,486,410 ALLIEDSIGNAL INC 60 13/16S - 1,579,900
+1.83 CHV 13,481,207 CHEVRON CORP 93 3/4S + 1,163,000
-3.17 EMC 10,653,919 EMC CORP MASS , SHS 103S - 2,517,700
+.91 UK 8,093,950 UNION CARBIDE CORP 55 5/8S - 1,124,900
-.50 NOVL 7,325,995 NOVELL INC, SHS 24 3/4 + 3,698,300
-1.67 LU 5,428,372 LUCENT TECHNOLOGIES INC 59S + 6,155,700
+3.05 ADBE 3,880,524 ADOBE SYSTEMS INC 80 1/4 - 1,403,500
-6.27 AMZN 3,804,529 AMAZON.COM INC. 130 13/16 + 3,447,000
+.55 GM 3,723,167 GENERAL MOTORS CORP , 80 1/8S + 2,202,000
+.07 MMM 3,365,639 MINNESOTA MINING & MANUFA 89 7/16S + 624,300
+.00 LOR 3,215,853 LORAL SPACE & COMMUNICATI 19 3/8S + 704,400
-9.85 PCNTF 2,405,257 PACIFIC INTERNET LTD, SHS 51 1/2 + 633,400
-.51 NETP 1,901,363 NET PERCEPTIONS INC , 24 3/8 - 406,800
+1.96 HNCS 1,375,192 HNC SOFTWARE INC 26 + 612,500
+.47 USWB 1,352,628 USWEB CORP, SHS 26 1/2 - 1,589,400
-6.58 ATHM 1,254,711 AT HOME CORPORATION 136 3/4 - 2,190,400
-1.45 GE 823,963 GENERAL ELECTRIC CO 106 7/16S + 4,150,100
+1.87 CNF 750,664 CNF TRANSPORTATION INC 44 1/4S + 131,200
+6.84 NETS 610,519 NETWORK EVENT THEATER INC 15 5/8 + 257,500
+.41 BRCM 410,255 BROADCOM CORPORATION IRV 99 7/8 - 2,676,700
+.76 ZSUN 208,225 ZIASUN TECHNOLOGIES INC 12.46870 - 46,000
-5.70 IMOT 40,873 INTERMOST CORP 5.68750 - 93,300
+10.57 NETD 37,913 DATALINK SYSTEMS CORP, CO 4.25000 + 63,300
-.73 KO -18,836 COCA-COLA CO , COM 67 15/16S - 2,060,800
-6.38 XNET -48,678 XIN NET CORP, SHS 2.75000 - 68,000
+8.85 MCNS -124,864 MEDICONSULT.COM INC 17 11/16 - 1,713,200
-17.76 TNRG -138,829 TIANRONG BUILDING MATERIA .31250 + 2,420,100
-4.26 FRTE -147,777 FORTE SOFTWARE INC 5 5/8 - 54,700
-7.95 IINT -203,652 INDUS INTERNATIONAL INC 5 1/16 - 805,700
+1.93 POS -353,296 CATALINA MARKETING CORP 92 3/8S - 47,600
+2.17 USPL -380,849 US PLASTICS LUMBER CO, SH 8 13/16 - 147,000
-4.85 SPYG -564,847 SPYGLASS INC 19 5/8 + 305,200
-6.82 DPMI -822,666 DUPONT PHOTOMASKS INC 41 - 50,300
-1.18 GNET -1,519,211 GO2NET INC 119 7/8 + 509,300
-5.00 AWRE -1,823,067 AWARE INC 57 - 524,300
-5.45 EPAY -2,102,739 BOTTOMLINE TECHNOLOGIES 48 3/4 + 151,300
-9.17 MSGI -3,043,619 MARKETING SERVICES GROUP 31 9/16 - 703,100
-3.12 TGLO -5,509,454 THEGLOBE.COM INC 19 7/16 + 2,484,600
-1.98 WCOM -7,149,000 MCI WORLDCOM INC, SHS 86 3/4 + 6,491,000
-4.27 YHOO -7,161,618 YAHOO INC , COM 151 1/2 + 2,642,500
-8.79 ZDZ -7,266,282 ZIFF-DAVIS INC , COM 25 15/16S - 882,000
-8.47 RNWK -7,950,954 REALNETWORKS INC 83 1/16 + 1,357,000
-4.86 DCLK -11,271,261 DOUBLECLICK INC NY 113 3/4 - 723,700
+1.51 EK -11,335,202 EASTMAN KODAK CO 75 9/16S + 1,269,300
-2.50 CMGI -11,874,816 CMG INFORMATION SERVICES 238 1/2 - 1,738,000
-7.42 NITE -12,911,042 KNIGHT/TRIMARK GROUP INC, 64 11/32 - 3,427,500
-3.48 FDX -13,316,603 FDX CORPORATION 57 3/16S - 1,323,600
-4.41 AA -13,654,072 ALCOA 58 5/16S - 1,746,700
-3.72 AOL -17,867,984 AMERICA ONLINE INC, SHS 129 1/2S + 15,117,500
-5.40 EGRP -19,375,368 E TRADE GROUP INC 108 3/8 - 2,772,100
+1.17 T -21,016,927 AT & T CORPORATION 59 1/4S + 8,758,700
-3.97 SUNW -21,982,378 SUN MICROSYSTEMS , COM 61 15/16 - 8,532,700
-1.55 CSCO -23,294,355 CISCO SYSTEMS INC 114 3/4 - 9,611,100
-2.75 QQQ -58,162,169 NASDAQ-100 TR SER I 106 47/64S - 2,998,600
-1.27 IBM -80,602,180 INTL BUSINESS MACHINES CO 232 7/8S + 3,220,900
-2.60 WMT -83,034,805 WAL-MART STORES INC 44 1/2S - 7,103,400
-3.92 DELL -146,817,950 DELL COMPUTER CORP 38 1/4 - 29,250,600