PAGE 3

Market Statistics
Update &  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
Date
8046 AKZOY Akzo Nobel NV ADR 2/1 19980701
25303 ADI_C Alberta Diamondfields Inc 1/2 19980703
1052 ALL Allstate Insurance 2/1 19980702
7015 APC Anadarko Petroleum 2/1 19980702
4057 ARDNA Arden Group Inc Class A 4/1 19980716
8126 AROW Arrow Bancorp 11/10 19980730
15408 ARWM Arrow-Magnolia Int'l 11/10 19980710
5683 BBV Banco Bilbao Vizcaya S A 3/1 19980714
7752 STD Banco De Santander Soc An 2/1 19980706
18707 BKISY Bankinter Sa Spons ADR 2/1 19980720
10137 BBDA_T Bombardier Inc Cl A 2/1 19980708
26046 BBDA_M Bombardier Inc Cl A 2/1 19980708
10138 BBDB_T Bombardier Inc Cl B 2/1 19980708
26047 BBDB_M Bombardier Inc Cl B 2/1 19980708
3123 CHP C&D Technologies Inc 2/1 19980727
31481 CFFI C&F Financial Cp 2/1 19980721
27286 CEV_V Cabo Mining Cp 1/5 19980708
2369 CAFI Camco Financial 3/2 19980724
4955 KRE Capital Re Cp 2/1 19980701
4781 CACB Cascade Bancorp 3/2 19980707
31024 CDMI Casdim Int'l Systems Inc 1/8 19980702
9864 CEBC Centennial Bancorp 21/20 19980729
4864 CTI Chart Industries Inc 3/2 19980701
3128 CCU Clear Channel Inc 2/1 19980729
1715 CNBF CNB Financial Cp 2/1 19980701
5008 CGP Coastal Cp 2/1 19980702
8415 CBH Commerce Bancorp N J 5/4 19980727
3720 CBN Cornerstone Bank 11/10 19980729
3158 DII Decorator Ind Inc 5/4 19980722
5041 DIS Disney (Walt) Productions 3/1 19980710
9750 DMMC DM Management Co 3/2 19980701
31483 DXPED DXP Enterprises Inc 1/2 19980720
27703 ERL_V Earl Resources 1/2 19980717
11291 EGR Earthgrains Co 2/1 19980721
18578 ELNK Earthlink Network Inc 2/1 19980721
2086 ENSW Enterprise Software Inc 1/4 19980715
15441 XCIT Excite Inc 2/1 19980721
4255 FMBN F&M Bancorp 21/20 19980706
8653 TELU Faradyne Electronics Cp 2/1 19980716
2324 FFKT Farmers Capital Bank 2/1 19980702
27967 FIT_V Feathertone Resources Ltd 1/3 19980708
8677 FAF First American Financial Cp 3/1 19980720
12435 FFBZ First Federal Bancorp OH 2/1 19980720
7769 FED First Federal Financial 2/1 19980731
8731 UNTD First United Bancshares Inc 2/1 19980701
5854 FPU Florida Public Utilities Co 2/1 19980702
8644 FMCO FMS Financial Cp 3/1 19980715
3220 FCEA Forest City Enter Cl A 2/1 19980717
3221 FCEB Forest City Enter Cl B 2/1 19980717
4632 GUSHD Fountain Oil 1/2 19980716
6821 GDYS Goody Family Clothing Inc 2/1 19980720
28250 GQ_V Great Quest Metals Ltd 1/4 19980708
15721 GLCP Greenland Cp 1/10 19980702
1884 HRBF Harbor Federal Bancorp 11/10 19980729
11260 HIG Hartford Financial Services Group Inc 2/1 19980716
8966 HMA Health Management Associates Inc 3/2 19980720
5074 HD Home Depot 2/1 19980706
8913 HBAN Huntington Bancshares Inc 11/10 19980713
27621 IMRA_V IMA Exploration Inc 1/4 19980707
8944 IBCP Independent Bank Cp Mich 3/2 19980701
31054 ITNG Integrated Transportation Network Group  1/4 19980708
31062 INTR Interfund Resources Ltd 1/6 19980720
12506 INTG Intergroup Cp 3/2 19980701
31773 IBCX International Barter Cp 2/1 19980728
10069 IGI_T Investors Group Inc 2/1 19980709
26221 IGI_M Investors Group Inc 2/1 19980709
15367 JDAS JDA Software Group Inc 3/2 19980720
1200 JDN JDN Realty Cp 3/2 19980701
16076 KGF_L Kingfisher PLC 2/1 19980703
18842 KNGFY Kingfisher PLC Sp ADR 2/1 19980707
27653 KMA_V Kolyma Goldfield Ltd 1/2 19980727
27029 SLLU_V Lamport Holdings Ltd 1/4 19980721
1753 GLCFD Laser Friendly Inc 1/7 19980710
26652 SFB_M Les Boutiques San Francisco Inc Cl B 2/1 19980702
8336 LSKI Liuski Int'l Inc 2/5 19980701
9124 MAFB MAF Bancorp Inc. 3/2 19980713
2473 MGAS Marcum Natural Gas 1/4 19980707
5359 MAS Masco 2/1 19980713
7376 MDU MDU Resources Group 3/2 19980714
4893 MRIID Medical Resources Inc 1/3 19980727
15360 MSPG Mindspring Enterprises Inc 3/1 19980727
2949 NRVH National RV Holdings Inc 3/2 19980727
9270 NCBC Nat'l Commerce Bancorp 2/1 19980702
4435 BLDG NCI Building Systems Inc 2/1 19980723
25317 NLD_C Netherfield Energy Cp 1/3 19980702
3404 NZ New Mexico & Arizona Land 6/5 19980713
5804 NYT New York Times Class A 2/1 19980702
5917 NOBE Nordstrom Inc 2/1 19980701
1377 FIBRD Osicom Technologies Inc 1/3 19980724
12234 PHHM Palm Harbor Homes 5/4 19980729
15328 PNNB Peninsula Bank San Diego 21/20 19980708
11373 PV Pfeiffer Vacuum Tech ADR 1428/1000 19980721
7483 PIR Pier 1 3/2 19980730
8175 BPOP Popular Inc 2/1 19980702
10170 POW_T Power Corp of Canada 2/1 19980707
27917 POW_V Power Corp of Canada 2/1 19980707
26374 POW_M Power Corp of Canada 2/1 19980707
10182 PWF_T Power Financial Cp 2/1 19980707
26379 PWF_M Power Financial Cp 2/1 19980707
9419 PRGS Progress Software Cp 3/2 19980714
7891 QCBC Quaker City Bancorp 5/4 19980701
5949 RNBO Rainbo Technology Inc 3/2 19980716
5127 RAL Ralston Purina Group 3/1 19980716
27586 RHR_V Ravenhead Recovery 1/3 19980713
15454 RBV Resource Bankshares Cp 2/1 19980716
17579 RRIA_T Rider Resources Inc 2/1 19980702
26415 SFA_M San Francisco Boutiques Inc 2/1 19980702
18994 SAP SAP AG Spn ADR 4/1 19980728
17694 SEN_T Scorpion Energy Cp 1/3 19980728
12933 POOL SCP Pool Cp 3/2 19980727
9854 VSLF Semele Group Inc 1/10 19980701
27845 SLN_V Sloane Petro Inc 1/3 19980710
18038 SLPT Solopoint Inc 1/4 19980708
12686 SABC South Alabama Bancorp 3/2 19980702
5732 SUG Southern Union Co 3/2 19980714
8891 SWS Southwest Securities Group 21/20 19980713
28099 SOG_V Stanford Oil & Gas Ltd 1/2 19980710
9690 STFC State Auto Financial Cp 2/1 19980709
15331 STFAD Strafford Amer Cp 1/15 19980720
9723 SUSQ Susquehanna Bancshares Inc 3/2 19980702
9756 TKLC Tekelec 2/1 19980707
16147 TSCO_L Tesco PLC 3/1 19980706
27994 TLX_V Thundelarra Exploration Ltd 1/10 19980730
7647 TR Tootsie Roll Ind. 2/1 19980714
26474 TSB_M Torstar Cp 2/1 19980703
17744 TSBB_T Torstar Cp Cl B 2/1 19980703
1885 TWR Tower Automotive Inc 2/1 19980716
15334 TOBC Tower Bancorp 2/1 19980731
7063 TG Tredegar Industries Inc 3/1 19980702
1533 TGL Triangle Bancorp 3/2 19980701
10260 TMF_T Trimark Financial Cp 2/1 19980708
26467 TMF_M Trimark Financial Cp 2/1 19980708
18975 UTBCY United Biscuits Holding PLC ADR 8/9 19980721
18258 VTCH Vitech America Inc 11/10 19980709
18984 VLKAY Volkswagen AG ADR Spons 10/1 19980706



INITIAL PUBLIC OFFERINGS


 
CSI #

 
Symbol

 
Name

 
Exchange

 
1st Day

 
Close 8/11
% change*
31734 ABANP ABI Capital Trust Pfd OTC 980709 10 0/0 -3
31763 ACTU Actuate Software Cp OTC 980717 15 5/8 -9
31735 ADGO Adams Golf Inc OTC 980710 8 1/2 -54
34050 ADIAX Advantus Index 500 Fund Cl A OTC 980721 14.38 -11
34051 ADIBX Advantus Index 500 Fund Cl B OTC 980721 14.33 -9
34065 ACIFX Aim Income Fund Cl C OTC 980723 8.58 -1
34066 ASCOX Aim Small-Cap. Opportunities Fund Cl A OTC 980723 9.44 -8
34049 SCPBX Aim Small-Cap. Opportunities Fund Cl B OTC 980723 9.43 -6
11991 AHB Amerus Life Holdings Inc Adj. Conversion NYSE 980722 28 11/16 -10
19003 AU Anglogold Ltd ADS NYSE 980805 21 1/2 +0
31745 ARSCW Aris Cp Wt OTC 980714 6 3/16 -7
31731 BCSB BCSB Bankcorp OTC 980708 11 3/8 -9
34022 BSPBX Bear Stearns S&P Stars Ptfl. Cl B OTC 980708 19.79 -9
31736 BELFB Bel Fuse Inc Cl B OTC 980710 15 11/16 -21
31760 BVEW Bindview Development Cp OTC 980724 13 1/4 -8
33169 BRBI Blue River Bancshares Inc OTC 980624 10 1/8 -17
31764 BCST Broadcast.Com Inc OTC 980717 57 0/0 -15
31750 BWCF BWC Financial Cp (California) OTC 980721 24 3/8 -1
31765 CFNL Cardinal Financial Cp OTC 980717 9 1/2 -9
31782 CACS Carrier Access Cp OTC 980731 18 1/4 +18
31767 CEDC Central European Distribution Cp OTC 980728 6 1/2 -2
31759 CITZ CFS Bancorp Inc OTC 980724 10 5/16 -13
6576 CWF Chartwell Dividend & Income Fund Inc NYSE 980624 15 0/0 -1
11987 VEUAX Chase Vista European Fund Cl A OTC 980723 15.73 -13
11993 CFD Conseco Strategic Income Fund SBI NYSE 980728 15 1/16 +0
31756 CULS Cost-U-Less Inc OTC 980723 5 5/8 -18
31774 CRDT Creditrust Cp OTC 980729 17 0/0 +6
31789 COOL Cyberian Outpost Inc OTC 980731 16 1/16 -30
31790 ECLP Eclipsys Cp OTC 980807 17 0/0 +6
31769 ELBO Electronics Boutique Holdings Cp OTC 980728 10 3/4 -22
31768 EMU Emultek Ltd AMEX 980707 4 9/16 -38
11984 EPD Enterprise Products Partners L.P. NYSE 980728 19 0/0 -13
13310 ENT Equant N.V. NYSE 980721 42 15/16 +0
11984 ENN+A Equity Inns Inc 9 1/2% Cum Pfd. Series NYSE 980708 24 0/0 -1
11989 ESFT ESoft Inc OTC 980804 7 1/4 +0
11995 FCNBP FCNB Capital Trust Pfd OTC 980716 25 1/2 -1
34071 FLCI Firstlink Communications Inc OTC 980728 3 3/8 -35
31778 FLCIW Firstlink Communications Inc Wt OTC 980728 5/16 -55
31749 FLBK Florida Banks Inc OTC 980730 9 1/2 -8
31771 FNBP FNB Cp (VA) OTC 980707 26 0/0 -2
31772 GIGX Giga Information Group Inc OTC 980730 13 0/0 +0
31729 GVG Global Vacation Group Inc NYSE 980811 13 7/8 -7
11988 VINT Golden State Vintners Inc Cl B OTC 980722 11 3/8 -36
31757 HDOGX Hennessy Leveraged Dogs Fund  OTC 980730 10.02 +0
34052 HTBK Heritage Commerce Cp OTC 980720 20 0/0 +37
31800 HSTD Homestead Bancorp Inc OTC 980720 8 1/2 -10
31779 HCAR Hometown Auto Retailers Inc Cl A OTC 980730 8 11/32 -5
31761 CAFE Host America Cp OTC 980723 5 1/8 -9
31762 CAFEW Host America Cp Wt OTC 980727 1 1/16 -22
11999 HDII Hypertension Diagnostics Inc OTC 980807 4 0/0 +8
31780 HDIIU Hypertension Diagnostics Inc Un OTC 980723 4 3/4 +7
31799 HDIIW Hypertension Diagnostics Inc Wt OTC 980807 7/8 -7
31742 ICOGF ICO Global Communications (Holdings) Ltd OTC 980731 12 0/0 +0
31783 IDGB IDG Books Worldwide Inc Cl A OTC 980728 15 1/2 -7
15733 INDYY Independent Energy Holdings Plc ADS OTC 980724 8 0/0 -2
31708 IHI Information Holdings Inc NYSE 980807 12 7/16 +2
19005 IMGK Interactive Magic Inc OTC 980722 9 1/2 +7
31741 ICUB International Integration Inc OTC 980623 17 1/8 -3
34057 IVTCX Ivy Global Science & Technology Fund Cl C OTC 980724 18.41 -7
34072 KASP Kasper A.S.L. Ltd OTC 980807 12 1/4 +4
34073 KVLAX Kemper Value Fund Cl A OTC 980722 22.79 -13
31781 NITE Knight/Trimark Group Inc OTC 980708 16 11/16 +11
31801 LEV Leviathan Gas Pipeline Partners LP NYSE 980806 27 1/2 +6
34056 MSMAX Mainstay Funds/Small-Cap. Growth Fund Cl A OTC 980707 9.85 -13
19001 MXTR Maxtor Cp OTC 980731 8 3/4 +22
34055 MHBBX Mentor Funds/Mentor High Income Ptfl. Cl B OTC 980721 11.82 -2
19003 MHIRX Mentor Funds/Mentor High Income Ptfl. Cl Bl OTC 980722 11.82 -2
31755 INTRX Mentor Funds/Mentor Perpetual International Ptfl. Cl Bl OTC 980723 14.67 -9
15832 MHX Meristar Hospitality Cp NYSE 980803 20 1/2 -5
34048 MILM Millennium Electronics Inc OTC 980716 1 3/4 -57
34047 MIIGX Montgomery Insl. International Growth Fund OTC 980724 9.50 -9
31732 NSV National Equipment Services Inc NYSE 980714 12 1/2 -16
31737 NRI NationsRent Inc NYSE 980810 8 11/16 +0
31784 NTOL Natrol Inc OTC 980722 14 0/0 -17
31748 NESI Network Systems International Inc OTC 980710 5 1/4 -19
34019 NFBBX New England Bullseye Fund Cl B OTC 980724 11.09 -5
11982 NOPT Northeast Optic Network Inc OTC 980731 9 0/0 -21
34074 NCX Nova Cp NYSE 980706 13 11/16 -36
19007 ONTBX One Group/Treasury & Agency Bond Fund Cl B OTC 980708 10.11 +0
34058 PIERX Payden & Rygel International Equity Fund Cl R OTC 980723 11.40 -9
3750 PDR Pendaries Petroleum Ltd AMEX 980624 2 1/8 -44
34060 PME Penton Media Inc NYSE 980810 16 1/2 +0
11983 PFBAX Pimco Balanced Fund Cl A OTC 980722 11.50 -8
31752 PFOAX Pimco Foreign Bond Fund Cl A OTC 980722 10.94 -2
34023 PGBIX Pimco Global Bond Fund Ii/Insl. Cl OTC 980722 10.05 +0
3750 PIACX Pimco International Developed Fund Cl C OTC 980722 13.25 -10
33171 PSTIX Pimco Structured Emerging Markets Fund/Insl. Cl OTC 980722 9.09 -14
34061 PNBF PNB Financial Group OTC 980624 34.39 +5
34070 POSIF Point of Sale Ltd OTC 980710 6 0/0 -12
34059 PLLBX Principal Small-Cap. Fund Cl B OTC 980724 8.92 -9
19006 PSBI PSB Bancorp Inc OTC 980717 8 1/8 -12
34062 RWKS Railworks Cp OTC 980730 11 5/8 +0
34064 RBCAA Republic Bancorp Inc Cl A OTC 980722 15 1/2 +8
31738 RIEBX Riverfront Income Equity Fund Cl B OTC 980721 11.18 -9
6514 ASB Salomon Smith Barney Holdings Inc AMEX 980730 14.75 -1
19002 SWRX Softworks Inc OTC 980804 6 7/8 +2
31753 SO+B Southern Co Capital Trust Iv 7 1/8% Toprs NYSE 980721 24 7/8 +0
34020 CTMCX Stein Roe Advisor Tax-Managed Growth Fund Cl C OTC 980707 13.05 -9
34054 SRLFX Stein Roe Large Company Focus Fund OTC 980708 9.22 -11
34067 SYNM Syntroleum Cp OTC 980810 16 0/0 -12
11990 TBFC Telebanc Financial Cp OTC 980722 23 1/2 +30
11994 TBH Telecomunicacoes Brasileiras A.S - Relebras ADS NYSE 980728 98 3/8 -16
34021 TAHYX Third Avenue High-Yield Fund OTC 980708 9.63 -4
31792 THTL Thistle Group Holdings Co OTC 980714 9 3/8 -7
34025 TWNE Towne Services Inc OTC 980730 7 1/8 -12
13298 TFN Transnational Financial Cp AMEX 980624 7 5/8 +4
31803 TRD Tribune Co Decs 2001 NYSE 980731 25 1/2 -8
31754 TWTR Tweeter Home Entertainment Group Inc OTC 980716 17 0/0 -15
34053 SEPSX Uam Funds/Sirach Special Equity Ptfl./Insl. Service Cl OTC 980715 11.51 -15
3751 UFBS Union Financial Bancshares Inc OTC 980707 17 1/2 +1
31746 UNSRA Uniserve Cp Cl A OTC 980805 4 7/8 +4
31788 UNSRW Uniserve Cp Wt OTC 980805 1 11/32 +11
11994 UCFC United Community Financial Cp OTC 980709 15 3/8 -1
11998 USU Usec Inc NYSE 980723 13 5/8 -5
31733 VVR Van Kampen American Capital Senior Income Trust NYSE 980624 10 1/8 +0
6513 VDC VDC Cp AMEX 980709 5.75 -26
31730 WBPRP Westernbank Puerto Rico Pfd A OTC 980805 26 1/4 +4
 * The % Change indicates the percent change in price between the high/low average on the first trading day and the August 11th closing price.



ADDITIONS TO STOCK FACT SHEET


 
CSI #
Symbol
Name
Exchange
31775 BIKR Bikers Dream Inc OTC



CHANGES TO STOCK FACT SHEET


 
CSI #
Symbol
Name and Changes
3019 AFN Alfin Inc - New symbol: RPL; New name: Adrien Arpel Inc.
29992 ABIIA American Business Information Inc Cl A - New symbol: IUSAA; New name: Infousa Inc Cl A.
4025 ABIIB American Business Information Inc Cl B - New symbol: IUSAB; New name: Infousa Inc Cl B.
24937 ANEEX Analytic Enhanced Equity Ptfl.|Analytic Funds - New name: PBHG Advisor Enhanced Equity Fund Cl A|PBHG Funds .
14487 ANMFX Analytic Master Fixed-Income Ptfl./Analytic Funds - New name: PBHG Advisor Master Fixed-Income Fund Cl A/PBHG Funds.
14488 ANSGX Analytic Short-Term Government Ptfl - New name: PBHG Advisor Short-Term Government Fund Cl A.
9089 APTS Apertus Technologies Inc - New symbol: CARL; New name: Carleton Cp.
1764 APG Apogee Inc - New symbol: IGR - New name: Integra Inc.
1326 AVTC Applied Voice Technology Inc - New name: AVT Cp.
12326 ATCT ATC Communications Group Inc - New symbol: AGIS; New name: Aegis Communications Group Inc.
18099 APCFY Atlas Pacific Ltd ADR - New symbol: APFYE.
15412 BACU Bacou Usa Inc - New symbol: BAU; New exchange: NYSE.
8203 BELF Bel Fuse Inc - New symbol: BELFA; New name: Bel Fuse Inc Cl A.
8185 BIOX Biomatrix Inc - New symbol: BXM; New exchange: NYSE.
14615 BJBGX BJB Global Income Fund - New name: Julius Baer Global Income Fund .
14616 BJBIX BJB International Equity Fund Cl A - New name: Julius Baer International Equity Fund .
13143 BGN Bogen Communications International Inc - New symbol: BOGN; New exchange: OTC.
33051 BRHZ Bright Horizons Inc - New symbol: BFAM; New name: Bright Horizons Family Solutions Inc.
11712 FMA Canadian Fracmaster Ltd - New name: Fracmaster Ltd.
11689 OPW Championship Auto Racing Teams Inc - New symbol: MPH.
12000 CHSE CHS Electronics Inc - New symbol: HS; New exchange: NYSE.
29971 CNBT Citizens National Bank (Texas) - New name: CNBT Bancshares Inc.
12856 CRLBF Core Laboratories N.V. - New symbol: CLB; New exchange: NYSE.
15382 DPSI Dawson Production Services Inc - New symbol: DPS; New exchange: NYSE.
12396 DCXI DCX Inc - New symbol: ISSS; New name: Integrated Spatial Information Solutions Inc.
4967 EPG El Paso Natural Gas Co - New name: El Paso Energy Cp.
1514 EMMS Emmis Broadcasting Cp Cl A - New name: Emmis Communications Cp Cl A.
1407 ENTR Enteractive Inc - New symbol: CNRS; New name: Cornerstone Internet Solutions Co.
3510 ENET Equalnet Holding Cp - New name: Equalnet Communications Cp.
1851 FCH Felcor Suite Hotels Inc - New name: Felcor Lodging Trust Inc.
12974 FWWB First Savings Bank of Washington Bancorp Inc - New name: First Washington Bancorp Inc.
33162 FVCX First Virtual Cp - New name: FVC.Com Inc.
3203 FPO FPA Cp - New symbol: OHB; New name: Orleans Homebuilders Inc.
3224 FKL Franklin Holding Cp - New name: Franklin Capital Cp.
18019 GKNS GKN Holding Cp - New symbol: RPII - New name: Research Partners International Inc.
29928 HATV Hearst-Argyle Television Inc - New symbol: HTV; New name: Hearst-Argyle Television Inc Series A; New exchange: NYSE.
9783 HLPH Holophane Cp - New symbol: HLP; New exchange: NYSE.
4522 HCK Hudson Chartered Bancorp Inc - New symbol: PNB - New name: Premier National Bancorp Inc.
2086 INDE Indenet Inc - New symbol: ENSW; New name: Enterprise Software Inc.
31475 IPCX IPC Information Systems Inc - New symbol: IPI; New exchange: AMEX.
1009 LEV Leviathan Gas Pipeline Partners L.P. Pref. Un - New symbol: LEVP; New name: Leviathan Gas Pipeline Partners L.P. Pref. Un; New exchange: OTC
11613 LFL Linea Aerea Nacional Chile S.A. ADS - New name: Lan Chile S.A. Ads.
1059 MYS Maderas Y Sinteticos S.A. ADS - New name: Masisa S.A. Ads.
14610 BHBFX Mosaic Balanced Fund|Mosaic Funds - New name: Mosaic Equity Trust/Balanced Fund.
1133 NGL NGS Cp - New symbol: DYN; New name: Dynegy Inc.
18679 NRGG NRG Generating U.S. Inc - New symbol: CGCA; New name: Cogeneration Cp of America.
4260 ORBI Orbital Sciences Cp - New symbol: ORB; New exchange: NYSE.
11609 PGN Paragon Health Network Inc - New symbol: MPN; New name: Mariner Post-Acute Network Inc.
9753 PAGI Penn-America Group Inc - New symbol: PNG; New exchange: NYSE.
33144 HVNV Petro Union Inc - New name: Horizontal Ventures Inc.
24965 PINSX Pic Pinnacle Small Company Growth Fund - New name: Provident Investment Counsel Pinnacle Small Company.
22432 PJEGX Piper Emerging Growth Fund Cl A/Piper Jaffray Funds - New name: First American Investment Funds/Mid-Cap. Growth Fund Cl.
30044 PYEGX Piper Emerging Growth Fund Cl Y - New name: First American Investment Funds/Mid-Cap. Growth Fund Cl.
24229 PJEMX Piper Global Funds/Emerging Markets Growth Fund Cl A - New name: First American Investment Funds/Emerging Markets Fund.
18630 QLIX Qualix Group Inc - New symbol: FTSW.
15454 RBKVD Resource Bankshares Cp - New symbol: RBV; New exchange: AMEX.
22806 RIBDX Rimco Monument Bond Fund - New name: Riggs U.S. Government Securities Fund Cl R.
23997 RISCX Rimco Monument Small Capitalization Equity Fund - New name: Riggs Small Company Stock Fund Cl R .
22813 RISTX Rimco Monument Stock Fund - New name: Riggs Stock Fund Cl R.
4478 RING Ringer Cp - New symbol: VERD; New name: Verdant Brands Inc.
24382 SAVYX Seneca Bond Fund/Insl. Shrs - New name: Phoenix-Seneca Bond Fund Cl X.
24079 SGCRX Seneca Growth Fund/Admin. Shrs - New name: Phoenix-Seneca Growth Fund Cl A.
24123 EDGEX Seneca Mid-Cap. "Edge" Fund/Admin. Shrs - New name: Phoenix-Seneca Mid-Cap. "Edge" Fund Cl A.
24383 REALX Seneca Real Estate Securities Fund/Admin. Shrs - New name: Phoenix-Seneca Real Estate Securities Fund Cl A.
11595 STV Shaw Communications Inc 8.45% Coprs Series A - New symbol: SJRA; New name: Shaw Communications Inc 8.45% Coprs Series A.
9624 SHBZ Showbiz Pizza Time Inc - New symbol: CEC; New name: Cec Entertainment Inc; New exchange: NYSE.
18058 OWN Signature Resorts Inc - New name: Sunterra Cp.
4972 SJP St. Joe Co - New symbol: JOE.
12392 SRIFE Synergy Renewable Resources Inc - New symbol: SRRIF.
4794 THRX Theragenics Cp - New symbol: TGX; New exchange: NYSE.
15866 TIMT Titanium Metals Cp - New symbol: TIE; New exchange: NYSE.
12755 TRBO Turbochef Inc - New name: Turbochef Technologies Inc.
9349 UW USA Waste Services Inc - New symbol: WMI; New name: Waste Management Inc.
29582 VSNT Versant Object Technology Inc - New name: Versant Cp.
4074 BRCOA W.H. Brady Co Cl A - New name: Brady Cp Cl A.



DELETIONS TO STOCK FACT SHEET


 
CSI #
Symbol
Name
12879 ACMM Accom Inc
29218 ADSOW Adaptive Solutions Inc Wt
29202 ADTCZ Advanced Deposition Technologies Inc Cl B Wt
12948 AFCB Affiliated Community Bancorp Inc
18504 AAFG All American Food Group Inc
1131 AMX Alumax Inc
11379 AGT American General Hospitality Cp
11206 XUS Americas Income Trust Inc
12490 AIHC Ameristar International Holdings Cp
7750 RCM Arco Chemical Co
29725 AUGSC Augment Systems Inc
29726 AUGWC Augment Systems Inc Wt
8146 AUTOC Autoinfo Inc
13184 KBB Bear Stearns Cos Consolidation Portfolio Cubs 1998
8176 BERT Bertucci's Inc
7039 BTV Bet Holdings Inc Cl A
3615 CTH Cancer Treatment Holdings Inc (Ec)
7981 CAPS Capital Savings Bancorp Inc
11395 CHO Capstar Hotel Co
15986 CLMT Claremont Technology Group Inc
15152 CDTIC Clean Diesel Technologies Inc
1786 CCSC Coherent Communications Systems Cp
33087 COLYV Colt Telecom Group Plc Ads Wi
2698 MKPL Computer Marketplace Inc
29893 CFAM CorporateFamily Solutions Inc
4797 CRTQ Cortech Inc
2291 DMARC Datamarine International Inc
18244 DEZI Donnelley Enterprise Solutions Inc
12398 DGIXE Dyna Group International Inc
5407 ECH Echlin Inc
7740 TEG Energy Group Plc Adr
8617 ENEX Enex Resources Cp
7887 XL Exel Ltd
15913 FINE Fine Host Cp
8688 FCLR First Commercial Cp
3217 FLK Fluke Cp
18137 GOYL Gargoyles Inc
29503 GBIXW Globix Cp Wt
8766 GNUC GNI Group Inc
12061 GTSX Golf Training Systems Inc
15930 GPLB Grand Prix Association of Long Beach Inc
2840 GPWC Great Pines Water Co
31319 GWALY Great Wall Electronic International Ltd Ads
12469 GRRI Greenstone Roberts Advertising Inc
3276 HNW Hein-Werner Cp
13048 HLA Highlander Income Fund Inc
1855 ITSY Innovative Tech Systems Inc
29307 ITSYW Innovative Tech Systems Inc Wt
5857 MURXF International Murex Technologies Cp
3309 ITB International Thoroughbred Breeders Inc
12170 JLHCC Just Like Home Inc
7348 LQI La Quinta Inns Inc
15286 THMZD Laminaire Cp
29517 THMZW Laminaire Cp Wt
1482 MDIXC Medix Resources Inc
11108 MIE Merrill Lynch & Co S&P 500 Mitts 1998
9201 MCRN Micronics Computers Inc
2807 MOC Mid Ocean Ltd Cl A
8540 MDI Mid-America Realty Investments Inc
7766 MPI Milestone Properties Inc
13157 MRN Morrison Restaurants Inc
15001 NSCI National Surgery Centers Inc
12966 NMBS Nimbus CD International Inc
5486 NVA Nova Cp
4077 PAGZ Pages Inc
9411 PFKY Peoples First Cp
12985 WIKD Pete's Brewing Co
9450 PLEN Plenum Publishing Cp
2167 POYO Pollo Tropical Inc
9480 PSBK Progressive Bank Inc
31659 QUSTP Questron Technology Inc Pfd. Series B
7703 SHR R.P. Scherer Cp
1630 REDF Redfed Bancorp Inc
22848 RTGSX Rightime Government Securities Fund
11423 SCA Security Capital Atlantic Inc
1758 SIGA Sigma Circuits Inc
15790 SNKEE Snake Eyes Golf Clubs Inc
9649 SOSA Somerset Savings Bank
9670 SPEK Spec's Music Inc
4622 SWBC Sterling West Bancorp
18150 EASY Storm Technology Inc
6981 STUA Stuart Entertainment Inc
4249 SFSB Suburbfed Financial Cp
29184 TPADU Telepad Cp Un
15940 TCGI Teleport Communications Group Inc Cl A
2838 TRIP Triangle Pacific Cp
12868 USHGW Us Home & Garden Inc Wt
18511 VERS Versatility Inc
4983 WAL Wahlco Environmental Systems Inc
7725 WHT Whitehall Cp
1640 XNET Xcellenet Inc
7743 ZRO Zero Cp



ADDITIONS TO COMMODITY FACT SHEET


 
 
Commodity: Cinergy Electricity
CSI commodity #: 532
 
Symbol: CN
Exchange: NYMEX (New York Mercantile)
Contract size: 736 Mwh
Unit of measure: $/Mwh
Delivery months: 1-12
CSI point value: $7.36
1st day on file: 980710
Newspaper/CSI price: 27.81/2781
Conversion factor: +2
Max months forward: 18
Limit (price): none

Commodity: Entergy Electricity
CSI commodity #: 533
Symbol: NT
Exchange: NYMEX (New York Mercantile)
Contract size: 736 Mwh
Unit of measure: $/Mwh
Delivery months: 1-12
CSI point value: $7.36
1st day on file: 980710
Newspaper/CSI price: 27.81/2781
Conversion factor: +2
Max months forward: 18
Limit (price): none

Commodity: Euro Canadian Dollar, 3-month
CSI commodity #: 534
Symbol: KJ
Exchange: CME (Chicago Mercantile)
Contract size: CAD 1,000,000
Unit of measure: Points
Delivery months: 3,6,9,12
CSI point value: CAD 2.50
1st day on file: 980714
Newspaper/CSI price: 94.890/94890
Conversion factor: +3
Max months forward: 24
Limit (price): none

Commodity: 30-Year Government Bond
CSI commodity #: 535
Symbol: MFT
Exchange: MEFF (Spain)
Contract size: ESP 10,000,000
Unit of measure: Points
Delivery months: 3,6,9,12
CSI point value: ESP 1,000
1st day on file: 980623
Newspaper/CSI price: 104.89/10489
Conversion factor: +2
Max months forward: 7
Limit (price): none

PAGE 3