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To: Rich Young who wrote (129367)5/27/1999 2:46:00 PM
From: arthur pritchard  Read Replies (1) | Respond to of 176387
 
hi rich: new money flow:

Net Chg. % Symbol Money Flow Company Name Last Tot. Vol.
+.21 QQQ 361,211,772 NASDAQ-100 TRUST 102 11/16 + 8,906,100
-2.64 AMZN 46,116,595 AMAZON.COM INC. 117 3/4 + 5,566,600
-1.54 HWP 38,313,645 HEWLETT-PACKARD CO 92 1/16 - 2,406,500
-.93 CMGI 29,575,466 CMG INFORMATION SERVICES 199 3/8 + 5,783,400
+1.86 NITE 29,054,733 KNIGHT/TRIMARK GROUP INC, 54 7/8 - 4,896,400
-1.55 LU 22,240,220 LUCENT TECHNOLOGIES INC 55 11/16 - 5,175,900
-2.43 GM 21,978,101 GENERAL MOTORS CORPORATIO 82 13/16 - 1,904,200
-1.15 IP 18,841,226 INTERNATIONAL PAPER CO 53 9/16 + 1,220,000
+.59 ADBE 13,102,023 ADOBE SYSTEMS INC 74 + 1,191,000
-2.95 UK 13,049,810 UNION CARBIDE CORP 51 3/8 - 941,500
-2.07 SCH 12,344,161 CHARLES SCHWAB CORP , 106 1/2 + 2,679,300
-2.84 YHOO 11,984,139 YAHOO INC. 136 7/8 + 6,164,700
-.91 KO 9,530,190 COCA-COLA CO , COM 67 7/8 + 2,426,300
-4.24 QCOM 7,133,210 QUALCOMM INC 94 5/8 - 2,700,800
-2.28 AA 5,824,537 ALCOA 56 5/16 + 1,754,400
-.74 LOR 2,553,525 LORAL SPACE & COMMUNICATI 16 13/16 + 968,100
-1.66 CHV 2,080,018 CHEVRON CORP 92 1/2 - 736,200
-2.69 POS 1,202,611 CATALINA MARKETING CORP 85 15/16 + 66,600
-2.49 DCLK 973,903 DOUBLECLICK INC NY 88 - 2,041,500
+6.88 MSGI 767,924 MARKETING SERVICES GROUP 27 3/16 + 357,100
-1.50 USWB 766,957 USWEB CORP, SHS 24 11/16 + 884,600
-3.64 GNET 662,833 GO2NET INC 97 9/16 - 617,000
+3.29 DPMI 613,402 DUPONT PHOTOMASKS INC 39 1/4 + 30,500
+6.29 WIND 507,624 WIND RIVER SYSTEMS INC 21 1/8 + 482,800
+5.61 ZDZ 374,657 ZIFF-DAVIS INC , COM 21 3/16 + 327,100
-1.62 HNCS 259,578 HNC SOFTWARE INC 26 1/2 - 155,800
-1.86 AWRE 213,050 AWARE INC 52 7/8 - 228,100
-4.08 MMM 137,442 MINNESOTA MINING & MANUFA 85 3/16 + 982,400
-5.00 NETD 22,118 DATALINK SYSTEMS CORP, CO 4.75000 + 47,600
+1.66 TNRG 2,446 TIANRONG BUILDING MATERIA .27000 - 333,200
-1.40 USPL -2,606 US PLASTICS LUMBER CO, SH 8 13/16 + 40,600
-3.95 XNET -10,805 XIN NET CORP, SHS 2.28120 + 37,900
-3.90 IMOT -61,115 INTERMOST CORP 4.62500 + 25,200
-3.31 NETP -98,823 NET PERCEPTIONS INC , 16 7/16 + 120,400
-4.55 IINT -138,806 INDUS INTERNATIONAL INC 3 15/16 + 102,700
-7.53 ZSUN -158,534 ZIASUN TECHNOLOGIES INC 8.43750 + 309,900
-1.12 FRTE -243,162 FORTE SOFTWARE INC 5 1/2 - 71,400
-5.91 NETS -316,175 NETWORK EVENT THEATER INC 13 15/16 - 105,400
-4.26 TGLO -333,410 THEGLOBE.COM INC 16 7/8 - 462,700
+.00 MCNS -465,149 MEDICONSULT.COM INC 13 5/8 + 176,600
-3.39 FDX -642,457 FDX CORPORATION 53 7/16 + 1,095,900
-5.28 EPAY -675,975 BOTTOMLINE TECHNOLOGIES 38 1/8 - 150,300
-4.75 SPYG -764,206 SPYGLASS INC 18 13/16 - 202,900
+2.03 PCNTF -1,431,987 PACIFIC INTERNET LTD, SHS 44 + 405,000
+1.87 ORCL -2,285,271 ORACLE CORPORATION 23 7/8 + 9,939,800
+.56 BRCM -2,554,939 BROADCOM CORPORATION IRV 100 1/8 - 2,323,600
-1.34 RNWK -2,630,003 REALNETWORKS INC 69 1/4 + 3,167,000
-1.16 CNF -3,540,270 CNF TRANSPORTATION INC 42 9/16 + 182,600
-.98 PG -4,621,024 PROCTER & GAMBLE CO 94 13/16 + 1,754,500
-1.83 EMC -5,844,822 EMC CORP MASS , SHS 100 9/16 - 2,671,200
-1.04 DIS -7,084,816 WALT DISNEY COMPANY 29 11/16 + 3,283,700
-4.89 EGRP -10,525,799 E TRADE GROUP INC 42 9/16 + 7,277,900
-.50 ATHM -11,623,606 AT HOME CORPORATION 124 + 2,841,200
-2.65 NOVL -18,923,236 NOVELL INC, SHS 23 + 5,121,100
+4.11 INTC -19,376,391 INTEL CORPORATION 53 13/16 - 20,431,800
-1.26 CSCO -24,904,801 CISCO SYSTEMS INC 107 3/4 + 10,026,700
-2.18 AOL -29,362,530 AMERICA ONLINE INC 117 11/16 - 16,222,400
-3.29 SUNW -32,707,409 SUN MICROSYSTEMS 58 13/16 + 8,200,300
-1.11 MO -39,981,398 PHILIP MORRIS COS INC, SH 39 1/16 + 3,786,300
-1.70 EK -44,427,635 EASTMAN KODAK CO 68 1/2 - 1,481,900
-1.31 T -48,631,185 AT & T CORPORATION 56 1/2 + 15,744,400
-4.21 ALD -52,899,841 ALLIEDSIGNAL INC 56 13/16 + 2,268,300
-1.70 GE -57,020,252 GENERAL ELECTRIC CO 101 3/8 - 3,821,700
-1.23 WCOM -59,486,712 MCI WORLDCOM INC. 85 - 5,252,100
-3.20 WMT -60,203,869 WAL-MART STORES INC 41 9/16 + 5,630,600
+.00 MSFT -63,555,560 MICROSOFT CORPORATION 78 1/2 - 22,395,500
-.37 MRK -96,570,644 MERCK & CO INC 67 1/16 - 5,855,900
-1.08 DELL -99,486,284 DELL COMPUTER CORP 34 3/16 - 23,487,300
-3.02 IBM -125,726,079 INTL BUSINESS MACHINES CO 114 9/16 - 8,051,200