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Market StatisticsUpdate &  IPO's


Notice:
  The views and information expressed in this document reflect the opinions and experience of the author Robert C. Pelletier.  Neither CSI nor the author undertake or intend to provide tax advice or trading advice in any market or endorse any outside individual or firm.  All recommendations are provided for their informational value only.  Readers should consult competent financial advisors or outside counsel before making any software purchase or investment decision.  CSI does not stand behind or endorse the products of any outside firms.


Copyright (c) 1998 Commodity Systems Inc. (CSI).  All rights are reserved.
 
 
 
 
 
 
 
 

 

Market Statistics and IPO Info
Information from CSI's Data Department


STOCK SPLITS
INITIAL PUBLIC OFFERINGS
ADDITIONS TO STOCKS
CHANGES TO STOCKS
DELETIONS TO STOCKS
ADDITIONS TO COMMODITIES



NOTE:

   This Market Statistics Update may contain inadvertent factual inaccuracies and typographical errors, for which we apologize. CSI expressly disclaims liability for errors or omissions in these materials and expressly disclaims all liability for the use or interpretation of information contained here. The Rules and Regulations of the respective financial exchanges should be consulted as authoritative sources for information and contract specifications.
 




STOCK SPLITS
 
CSI #
Symbol
Name
Split
1st Date
15628 ADDMD Addvantage Media Group 1/4 19981009
9848 ACF Americredit 2/1 19981001
15636 ARXAD Arxa Int'l Energy Inc 1/5 19981026
8136 ATRO Astronics Cp 11/10 19981014
6817 ACAM Autocam Cp 21/20 19981029
27111 CBN-V Bradbury International Equities Ltd 1/10 19981005
8277 CSPI C S P Inc 11/10 19981022
8264 CCB CCB Financial Cp 2/1 19981002
28259 KRX-V Copper Ridge 1/4 19981006
31049 CYOE Coyote Network Systems 21/20 19981019
18047 DVSHU Diversicon Unit 1/4 19981028
25728 DDE-C Dynamic Digital Depth 1/5 19981015
4002 ECSC Eco Science Cp 1/5 19981001
2524 ETHYD Ethical Holdings Ltd 1/10 19981019
4142 FRME First Merchants Cp 3/2 19981026
13220 FNC First National Cp 11/10 19981029
7212 FLT Fleet Financial Group Inc 2/1 19981008
15041 FFIC Flushing Financial Cp 3/2 19981001
3237 JOB Gen Employment Enter 11/10 19981014
6858 GLDFY Gold Fields So Africa ADR 17/2 19981019
2378 GCS Gray Communication System Inc 3/2 19981001
18116 GCSB Gray Communications Systems Cl B 3/2 19981001
3560 HSRCD Halstead Energy Cp 1/2 19981016
7781 SWZ Helvetia Fund Inc, The 2/1 19981016
4175 HIFS Hingham Institute For Savings 3/2 19981006
31120 HCAPD Home Capital Investment Cp 1/5 19981019
6923 HTECD Hydron Tech Inc 1/5 19981019
8944 IBCP Independent Bank Cp MI 21/20 19981001
7300 IEI Indiana Energy Inc 4/3 19981005
12506 INTG Intergroup Cp 3/2 19981013
3310 IGC Interstate General Cl A Ut LP 1/5 19981020
12513 JTWOD J2 Communications 1/3 19981026
11860 JWB John Wiley & Sons Inc Cl B 2/1 19981019
4900 LTC LTC Properties Inc 11/10 19981001
7321 KRB MBNA Cp 3/2 19981002
15826 MMSO Midrange Marketing 1/100 19981026
31874 NBMXD Nat'l Boston Med 1/4 19981029
9373 OFG Oriental Financial Group Inc 4/3 19981016
8499 OXISD Oxis Int'l 1/5 19981021
9396 PVSA Parkvale Finan Cp 5/4 19981015
5989 REXYD Rexam Plc ADR 7/9 19981013
15387 SSOLD Smartserv Online Inc 1/6 19981026
27076 SUH-V Southern Metals 1/7 19981006
9664 SWWC Southwest Water Co 5/4 19981021
17076 SGC-L Stagecoach Holdings PLC 5/1 19981019
25802 ISC-C Syncom Imaging Systems 1/5 19981008
28195 TEW-V Tartan Energy 1/4 19981002
9793 TRST Trustco Bank Cp NY 115/100 19981021
31275 UNBO UNB Cp Ohio 2/1 19981016
31444 UNNL Union National Bancorp 11/10 19981013
12769 UNBJ United Nat'l Bancorp NJ 11/10 19981013
25090 VHS-C Video Headquarters 1/2 19981002
2245 WCBO West Bancorp 11/10 19981002
9949 JWA Wiley John & Sons Inc Class A 2/1 19981019
15341 XYVID Xyvision Inc 1/5 19981021
7741 ZMX Zemex Cp 51/50 19981015




INITIAL PUBLIC OFFERINGS

 
CSI #
Symbol
Name
Exch.
1st Day
Close 11/10
% chg*
31893 AVEN Ave Inc OTC 981105 5/16 +42
31887 BIPRY Biper S.A. De C.V. ADS OTC 981030 10 0/0 +25
19062 CCJ+ Cameco Cp 8 3/4% Pfd. Secs. 2047 NYSE 981030 23 7/8 -1
31890 CLPA Cell Pathways Inc OTC 981104 18 1/8 +6
31882 CHCOP City Holding Capital Trust II OTC 981030 25 1/4 +0
31898 CBBO Columbia Bancorp (OR) OTC 981106 9 0/0 -2
19054 COC Conoco Inc NYSE 981022 25 1/8 +1
19055 DCX Daimlerchrysler AG NYSE 981001 44 11/16 -1
19067 GMK Gruma S.A. De C.V. ADS NYSE 981106 9 5/8 +0
19024 IPP International Paper Capital Trust III 7 7/8% Cap. Secs. NYSE 981014 25 9/16 -1
31894 LXXN Lexon Inc OTC 981105 2 11/16 +2
31900 MRYP Merry Land Properties Inc OTC 981106 5 1/8 +5
19063 NCX+ Nova Chemicals Ltd 9 1/2% Pfd. Secs. 2047 NYSE 981030 25 1/8 +0
31899 RKNG Rockingham Heritage Bank OTC 981106 11 7/8 +7
19060 KSB Salomon Smith Barney Holdings Inc S&P 500 Equity Linked Notes NYSE 981029 10 0/0 -1
19064 SPP Sappi Ltd ADS NYSE 981102 42 0/0 +2
31891 SECAY Societe Europeenne De Communication Sa Cl A ADS OTC 981104 24 1/16 +1
31892 SECBY Societe Europeenne De Communication Sa Cl B ADS OTC 981104 23 3/4 +1
31886 SFFS Sound Federal Bancorp OTC 981030 9 15/16 +0
31895 SNTLR Superior National Ins Group Inc Rt OTC 981105 1/4 -39
19061 TRP+ TransCanada Pipelines Ltd 8 1/4% Pfd. Secs. 2047 NYSE 981030 25 1/2 -1
31897 UCBH UCBH Holdings Inc OTC 981105 14 1/2 +5
13327 VOO Vornado Operating Co AMEX 981019 6 1/4 -20
* The percent-change value represents the difference in price between the first trading day and the November 10, 1998 high/low average.

  



ADDITIONS TO STOCK FACT SHEET
 

CSI #
Symbol
Name
Exchange
none      
 



CHANGES TO STOCK FACT SHEET

  
5879 AWT Air & Water Technologies Cp Cl A - New symbol: AAI; New name: Aqua Alliance Inc.
6949 APSO Apple South Inc - New symbol: AVDO; New name: Avado Brands Inc.
18442 IQIQ Applied Intelligence Group Inc - New symbol: IQIQ; New name: The Vialink Co.
3089 BOM Bowmar Instrument Cp - New symbol: WHT; New name: White Electronic Designs Cp.
11774 BOM+ Bowmar Instrument Cp $3.00 Sr. Cum. Conv. Pfd. - New symbol: WHT+; New name: White Electronic Designs Cp $3.00 Sr. Cum. Conv. Pfd.
31337 CAWW Culturalaccess Worldwide Inc - New symbol: AWWC; New name: Access Worldwide Communications Inc.
7142 DDL DDL Electronics Inc - New symbol: SMK; New name: Smtek International Inc.
2524 ETHCY Ethical Holdings Ltd. ADR - New symbol: ETHYD.
2613 FSRVF Firstservice Cp - New symbol: FSRV.
12441 FKCM Franklin Consolidated Mining Co - New symbol: WCMC; New name: WCM Capital Inc.
13298 GBT GST Global Telecommunications Inc - New Name: Global Light Telecommunications Inc.
3560 HSNRC Halstead Energy Cp - New symbol: HSRCD.
18264 ICCA Interamericas Communications Cp - New symbol: FCLX; New name: Firstcom Cp.
8978 IPPIF IPL Energy Inc - New symbol: ENBRF; New name: Enbridge Inc.
9761 KKRO Koo Koo Roo Inc - New symbol: KKRE; New name: Koo Koo Roo Enterprises Inc.
15745 LBOR Labor Ready Inc - New symbol: LRW; New exchange: NYSE.
4072 LAMN La-Man Cp - New symbol: DTEK; New name: Display Technologies Inc.
11746 MN Marketspan Cp - New symbol: KSE; New name: Keyspan Energy.
4017 MBRK Meadowbrook Rehabilitation Group Inc Cl A - New symbol: CAMB; New name: Cambio Inc Cl A.
18682 NECSY Netcom Systems AB ADR - New name: Netcom AB ADS.
4727 NCTI Noise Cancellation Technologies Inc - New name: NCT Group Inc.
15863 PVAT Paravant Computer Systems Inc - New name: Paravant Inc.
29835 PVTR Pivot Rules Inc - New symbol: BFLY; New name: Bluefly Inc.
1450 ALRM Protection One Inc - New symbol: POI; New exchange: NYSE
2841 RWAY Rent-Way Inc - New symbol: RWY; New exchange: NYSE.
29827 SEFC Second National Financial Cp - New symbol: VCFC; New name: Virginia Commonwealth Financial Cp.
19021 RTB Telecomunicacoes Brasileiras S.A. - New name: Curtis International Ltd.; New exchange: OTC.
5068 TRV Travelers Group Inc - New symbol: CCI; New name: Citigroup Inc
9903 WTDI WTTD Industries Inc - New symbol: TRES; New name: Treesource Industries Inc.
15845 ZVX Zevex International Inc - New symbol: ZVXI; New exchange: OTC.
 
 



DELETIONS TO STOCK FACT SHEET

  
12508 ISOL 1mage Software Inc
12303 ADSO Adaptive Solutions Inc
12005 AIDA Aid Auto Stores Inc
29393 AIDAW Aid Auto Stores Inc Wt
9452 ALFC Allied Life Financial Cp
18001 ADSI American Disposal Services Inc
15951 AMTK American Materials & Technologies Cp
29450 ACTIW Applied Computer Technology Inc Wt
2667 AKSEF Arakis Energy Cp
18012 BKLA Bank of Los Angeles (CA)
11285 BEI Berg Electronics Cp
8211 BTL Betzdearborn Inc
13258 BIB Bibb Co
29040 BRLIZ Bio-Reference Laboratories Inc Cl B Wt
12352 CDRM Byron Preiss Multimedia Co
29275 CDRMW Byron Preiss Multimedia Co Wt
1233 CCT Capstone Capital Cp
3368 CGIX Carnegie Group Inc
4761 CMAG Casino Magic Cp
7999 CAYN Cayenne Software Inc
12362 CLXX Cellex Biosciences Inc
18311 CLXXL Cellex Biosciences Inc Exch. Wt
29048 CLXXZ Cellex Biosciences Inc Wt (2000)
9340 CPRO Cellpro Inc
5146 CCI Citicorp
1473 CMCAF Comcast UK Cable Partners Ltd
29864 CNGL Continental Natural Gas Inc
15574 CTIXE Conversion Technologies International Inc
29555 CTIWE Conversion Technologies International Inc Cl A Wt
29556 CTIZE Conversion Technologies International Inc Cl B Wt
2277 LEND Credit Depot Cp
15039 DTSX Digital Transmission Systems Inc
29631 DTSXW Digital Transmission Systems Inc Wt
29219 DIPLW Diplomat Cp Wt
1561 DBCQE Dominion Bridge Cp
7154 DRV Dravo Cp
7987 ELTN Eltron International Inc
1379 ECM Emerging Communications Inc
29132 ENVGU Envirogen Inc Un
2515 ENR Envirotest Systems Cp Cl A
2940 FFPB First Palm Beach Bancorp Inc
2335 ROOF General Roofing Inc
12459 GEOW Geowaste Inc
6590 GFSA Giant Food Inc Cl A
29352 GTAXW Gilman & Ciocia Inc Wt
29264 PUFFW Grand Havana Enterprises Inc Cl A Wt
29265 PUFFZ Grand Havana Enterprises Inc Cl B Wt
8839 GUL Gull Laboratories Inc
1677 HARTQ Heartland Wireless Communications Inc
3279 HHH Helm Capital Group Inc
11842 HI+J Household International Inc Dep. Pfd. (Rep. 1/40 Share Cum
18061 MAXX Imark Technologies Inc
29600 MAXXW Imark Technologies Inc Wt
12202 IMNT Imnet Systems Inc
8948 IACI Industrial Acoustics Co
29881 INVA Innova Cp
2902 INVR Innovir Laboratories Inc
29309 IFTIZ Ionic Fuel Technology Inc Cl B Wt
29839 IONCY Ionica Group Plc ADR
2230 JEWLF IWI Holding Ltd
7392 MDD McDonald & Co Investments Inc
12546 MCMC MCM Cp
9197 MRY Merry Land & Investment Co
9258 MYCO Mycogen Cp
18659 NACT Nact Telecommunications Inc
3400 NLG National Gas & Oil Co
5395 NW+A National Westminster Bank Plc ADS Series A
8394 NEWI New West Eyeworks Inc
5742 NGC Newmont Gold Co
2691 NPPI Norwood Promotional Products Inc
3628 OPTQE Ocean Optique Distributors Inc
1697 PRDQE Paradise Holdings Inc
3441 PNF Penn Traffic Co
3469 PCT Property Capital Trust
29110 PPTIW Protein Polymer Technologies Inc Wt
29149 RSPNW Response USA Inc Cl A Wt
29150 RSPNZ Response USA Inc Cl B Wt
3728 RFP RF Power Products Inc
29445 RICKW Rick's Cabaret International Inc Wt
11931 RN+B RJR Nabisco Holdings Cp Dep. Pfd. Cum. P
4301 SFSL Security First Cp
12165 SEER Seer Technologies Inc
2848 SEPED Seiler Pollution Control Systems Inc
3408 NXA Siem Industries Inc
15253 SWEBF Softquad International Inc
4987 PAY SPS Transaction Services Inc
5996 SRA Stratus Computer Inc
2922 SUMA Summa Four Inc
9732 SNTVQ Sun Television & Appliances Inc
15269 SRMIE Swissray International Inc
29228 SYMBW Symbollon Cp Cl A Wt
29229 SYMBZ Symbollon Cp Cl B Wt
15959 TPACP TCI Pacific Communications Inc Cl A Cum. Exch. Pfd
4464 TLDCF Teledata Communications Ltd
11628 TLS Telstra Cp Ltd ADS Installment Rcpt
9795 TSNG Tseng Labs Inc
29316 CHDXW U.S.-China Industrial Exchange Inc Cl A Wt
4958 WME Waste Management International PLC ADR
15949 WYNE Wayne Bancorp Inc (DE)
15555 WCEC West Coast Entertainment Cp
 
 



ADDITIONS TO COMMODITY FACT SHEET

- None -

  
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