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
5141 AVP Avon Products Inc 2/1 19980914
25094 BIV_C BCB Holdings Inc 1/10 19980902
31020 ZTEC Best Way USA Inc 1/2 19980916
8251 BMTC Bryn Mawr Bank Cp 2/1 19980902
5144 BNI Burlington Northern Santa Fe Cp 3/1 19980902
15669 CIBN California Indep Bancorp 21/20 19980901
18022 CIGRD Caribbean Cigar Co 1/8 19980901
9089 CARLD Carleton Cp 1/5 19980916
2219 CSBK Carolina Southern Bank 103/100 19980914
2753 CTEA Celestial Seasonings Inc 2/1 19980928
16388 CCP_L Celtic PLC 10/1 19980922
8346 COFI Charter One Financial Inc 21/20 19980910
15683 CPKF Chesapeake Fund Shrs Inc 6/5 19980929
4820 CVAL Chester Valley Bancorp 21/20 19980902
12122 CHNAD China Pacific Inc 1/5 19980928
8375 CSCO Cisco Systems Inc 3/2 19980916
18496 COLTY Colt Telecom Group ADR 4/1 19980902
13224 CYL Community Capital Cp 21/20 19980928
4104 CTWS Conn Water Serv 3/2 19980916
10744 CXAA_T Consolidated HCI Holdings Cp 1/2 19980916
4797 CRTQD Cortech Inc 1/10 19980923
5761 CR Crane Co 3/2 19980915
1545 CSXCD CSL Lighting Manufacturing Inc 1/13 19980903
6991 DELL Dell Computer 2/1 19980908
6921 DG Dollar General Cp 5/4 19980922
11414 DVD Dover Downs Entertainment Inc 2/1 19980916
8595 EV Eaton Vance Cp 2/1 19980901
27904 EII_V Extant Investments 1/15 19980909
2916 FTECD Firetector Inc 1/3 19980924
4143 FOBBA First Oak Brook Bancshares Cl A 2/1 19980904
13010 FWV First West Virginia Bancorp 26/25 19980929
31811 GVLG GB&T Bancshares 5/4 19980922
18433 GEOC Geotel Communications Cp 2/1 19980923
7922 GBCI Glacier Bancorp Inc 11/10 19980915
10253 GWO_T Great West Lifeco 2/1 19980921
26200 GWO_M Great-West Lifeco Inc 2/1 19980921
33089 HOLT Holt Cigar Holdings Inc 102/100 19980902
27628 IMV_V IMC Ventures 1/10 19980929
7954 IUBC Indiana United Bancorp 2/1 19980901
2405 INNOD Innova Group Inc 1/10 19980911
2757 NSIT Insight Enterprises 3/2 19980909
2559 ICCSA Internet Commerce Cp Cl A 1/5 19980925
29366 ICCSW Internet Commerce Cp Cl A Wt 1/5 19980925
29367 ICCSZ Internet Commerce Cp Cl B Wt 1/5 19980925
28268 ALL_V Int'l Alliance Gold Cp 1/15 19980924
27979 BIG_V Int'l Bravo Gold Inc 1/2 19980923
27154 IBP_V Int'l Brooks Petroleum 1/10 19980901
33021 ITCD ITC Deltacom Inc 2/1 19980908
4702 JUSTD Just Toys Inc 1/2 19980908
7345 KYO Kyocera Cp 2/1 19980914
31166 LAYB Lafayette Bancorp 11/10 19980928
9176 LABN Lake Abriel Bancorp Inc 21/20 19980916
7789 LZB La-Z-Boy Inc 3/1 19980915
12911 LCCCD LEC Technologies 1/4 19980916
15563 LGCYD Legacy Software Inc 1/3 19980908
7359 LM Legg Mason Inc 2/1 19980928
3662 MSL Midsouth Bancorp Inc 3/2 19980901
15207 MOYC Moyco Technology 11/10 19980916
18050 NTSTD Netsmart Technologies Inc 1/3 19980915
3396 NFC NFC PLC 3/4 19980910
5943 GOSHA Osh Kosh B'Gosh 2/1 19980921
27436 OEL_V Osprey Energy 1/10 19980914
13084 PRYA Pittway Cl A 2/1 19980914
3452 PRY Pittway Cp 2/1 19980914
26369 PLE_M Plexmar Resources Inc 1/2 19980929
15580 PFBI Premier Financial Bancorp 21/20 19980917
3465 PR Price Communications 2/1 19980901
9280 QCSB Queens County Bancorp Inc 3/2 19980930
9533 RBNC Republic Bancorp Inc 5/4 19980914
5325 ROH Rohm & Hass Co 3/1 19980902
31516 SBSI Southside Bancshares Inc 21/20 19980910
7961 WATR Tetra Tech Inc 5/4 19980916
2130 TWMC Trans World Entertainment Cp 3/2 19980916
25652 TUS_C Tuscany Energy Ltd 1/5 19980924
9841 USTR United Stationers Inc 2/1 19980929
3587 VIR Virco Mfg Cp 11/10 19980902
15812 VRBA VRB Bancorp 104/100 19980908
9527 MDBK West Lifeco Inc 2/1 19980921



 
INITIAL PUBLIC OFFERINGS
 

CSI #
Symbol
Name
Exchange
1st Day
Close 10/7
% change*
31856 AAABB Admiralty Bancorp Inc Cl B OTC 980928 10 3/8 -2
13322 APO American Community Properties Trust AMEX 981006 7 0/0 +0
13323 CAA Capital Alliance Income Trust Ltd AMEX 981007 5 3/8 -4
31862 CNYF CNY Financial Cp OTC 981006 9 1/4 -6
31865 DECTF Dectron Internationale Inc OTC 981007 7 7/8 -3
31866 DECWF Dectron Internationale Inc Wt OTC 981007 2 31/64 -14
31850 EBAY Ebay Inc OTC 980924 30 7/8 -38
13298 GBT GST Global Telecommunications Inc AMEX 981007 3 7/8 -39
19017 GIB CGI Group Inc Cl A NYSE 981007 12 7/16 +0
19012 IX Orix Cp ADS NYSE 980916 33 11/16 +2
31852 LAND Landair Cp OTC 980924 3 13/16 -39
31848 LWIN Leap Wireless International Inc OTC 980923 3 1/8 -48
19020 MCF Muniholdings California Insured Fund III Inc NYSE 980928 15 3/4 +4
19020 MFD Muniholdings Florida Insured Fund III SBI NYSE 981007 15 1/8 +0
19019 MNU Muniholdings New York Insured Fund II Inc NYSE 981007 15 1/16 +0
19015 MWJ Muniholdings New Jersey Insured Fund II Inc NYSE 980928 15 1/2 +3
19018 SCM Swisscom Ag ADS NYSE 981007 30 3/8 -1
31851 SYXI Ixys Cp OTC 980924 4 7/16 -55
19016 UWZ United Wisconsin Services Inc NYSE 980928 6 1/8 -16
31864 WEBK West Essex Bancorp Inc OTC 981007 9 21/32 -2
31863 XOSY Ixos Software Aktiengesellschaft ADS OTC 981007 20 7/8 -3



 
ADDITIONS TO STOCK FACT SHEET
 

CSI #
Symbol
Name
Exchange
none      



 
CHANGES TO STOCK FACT SHEET

 
CSI #
Symbol
Name and Changes
4942 ALA Alcatel Alsthom Cie. Generale D'electricite ADR - New Name: Alcatel ADS.
31552 ALLIF Alliance Communications Cp Cl B - New Name: Alliance Atlantis Communications Inc.
11762 AU+B Amax Gold Inc $3.75 Conv. Pfd. Series B - New Name: Kinam Gold Inc $3.75 Conv. Pfd. Series B.
4045 ACOL Amcol International Cp - New symbol: ACO; New exchange: NYSE.
29743 AVII Antivirals Inc - New Name: AVI Biopharma Inc.
29744 AVIIW Antivirals Inc Wt - New Name: AVI Biopharma Inc Wt.
18022 CIGRD Caribbean Cigar Co. - New symbol: CIGR.
4709 CSNO Casino America Inc - New symbol: ISLE; New Name: Isle of Capris Casinos Inc.
5236 CMZ Cincinnati Milacron Inc - New symbol: MZ; New Name: Milacron Inc.
2645 CICS Citizens Bancshares Inc (Ohio) - New symbol: SKYF; New Name: Sky Fiancial Group Inc.
8428 CNET Comnet Cp - New symbol: GSOFD; New Name: Group 1 Software Inc.
33099 BUYR Consolidation Capital Cp (Washington D.C.) - New symbol: BOSS; New Name: Building One Services Cp.
2893 CRNR Cornerstone Imaging Inc - New symbol: INPT; New Name: Input Software Inc.
13288 CNV CVF Cp - New Name: CVF Technologies Cp.
15825 DCTI Datamark Holding Inc - New Name: Digital Courier Technologies Inc.
4530 DYOLF Dynamic Oil Ltd - New Name: Dynamic Oil & Gas Inc.
18235 EDMD Educational Medical Inc - New symbol: QEDC; New Name: Quest Education Cp.
8616 EVI Evi Weatherford Inc - New symbol: WFT; New Name: Weatherford International Inc.
4127 EXTL Executive Telecard Ltd - New symbol: EGLO.
1876 FVNB First Victoria National Bank - New Name: FVNB Cp.
4137 FBP Firstbank Puerto Rico - New Name: First Bancorp.
1753 GLCCF Gaming Lottery Cp - New Name: GLC Ltd.
2962 GART Gartner Group Inc - New symbol: IT; New exchange: NYSE.
2359 GBFC GB Foods Cp - New symbol: SBRG; New Name: Santa Barbara Restaurant Group Inc.
7236 HCR Health Care & Retirement Cp - New Name: HCR Manor Care Inc.
5418 IDA Idaho Power Co. - New Name: Idacorp Inc.
2559 ISFEA Infosafe Systems Inc Cl A - New symbol: ICCSA; New Name: Internet Commerce Cp Cl A.
29839 IONYE Ionica Group Plc ADR - New symbol: IONCY.
3358 MVL Marvel Enterprises Inc - New symbol: TBZ; New Name: Toy Biz Inc.
7389 NUT Mauna Loa Macadamia Partners L.P. - New Name: ML Macadamia Orchards L.P.
13001 MDQ MDC Communications Cp Cl A - New symbol: MDCAF; New exchange: OTC.
4380 MDRX Medicis Pharmaceutical Cp Cl A - New symbol: MEP; New exchange: NYSE.
31195 MTE Meteor Industries Inc - New symbol: METR; New exchange: OTC.
7465 MTH Monterey Homes Cp - New Name: Meritage Cp.
5457 NB Nationsbank Cp - New symbol: BAC; New Name: Bankamerica Cp.
15969 OWAV Onewave Inc - New symbol: PMIX; New Name: Primix Solutions Inc.
9708 PETR Petrocorp Inc - New symbol: PEX; New exchange: AMEX.
4275 PFT Proffitt's Inc - New symbol: SKS; New Name: Saks Inc.
8815 RACO Racotek Inc - New symbol: ZMBA; New Name: Zamba Cp.
7523 RRF Realty Refund Trust - New symbol: IHT; New Name: Innsuites Hospitality Trust SBI.
5793 RTI Rmi Titanium Co. - New Name: RTI International Metals Inc.
11164 SPMA Saga Petroleum A/S Cl A ADR - New symbol: SPM; New Name: Saga Petroleum A/S ADS.
15603 SFNB Security First Network Bank - New symbol: SONE; New Name: Security First Technologies Cp.
1157 SPG Simon Debartolo Group Inc - New Name: Simon Property Group Inc Paired CTF.
2263 SCTR Specialty Teleconstructors Inc - New symbol: XMIT; New Name: Omniamerica Inc.
3707 THN Thermo Remediation Inc - New Name: Thermoretec Cp.
3358 TBZ Toy Biz Inc - New symbol: MVL; New Name: Marvel Enterprises Inc.
12023 TRTC Trio-Tech International - New symbol: TRT; New exchange: AMEX.
7966 TRMM Trm Copy Centers Cp - New Name: TRM Cp.
9020 UWZ United Wisconsin Services Inc - New symbol: AMZ; New Name: American Medical Security Group Inc.
13219 UBI Unity Bancorp Inc - New symbol: UNTY; New exchange: OTC.
22641 PRVSX Virginia Short-Term Tax- Free Bond Fund - New Name: T. Rowe Price Virginia Short- Term Bond Fund.
15511 WSTF Western Staff Services Inc - New Name: Westaff Inc.
9064 WCOM Worldcom Inc - New Name: MCI Worldcom Inc.



 
DELETIONS TO STOCK FACT SHEET

 
CSI #
Symbol
Name
5335 AMI Acme Metals Inc
11748 ADK Allied Digital Technologies Cp
33023 ABPA Ambassador Bank of the Commonwealth (PA)
1899 AMEDE Amedisys Inc
1472 RICQE American Rice Inc
3043 ANM Angeles Mortgage Investment Trust Cl A
18676 ATLPA ATL Products Inc
9939 ATLI ATL Ultrasound Inc
18073 ATRC Atria Communities Inc
18223 AWRD Award Software International Inc
29269 BISAW Baltic Int'l USA Inc Wt
29039 BRLIW Bio-Reference Laboratories Inc Cl A Wt
11032 BTF BT Office Products Int'l Inc
4012 BTRY Buttrey Food & Drug Stores Co
12391 CWII Communications World International Inc Cl A
15212 CODEQ Concord Energy Inc
3143 COU Courtaulds PLC ADS
12930 CBAK Creative Bakeries Inc
8489 CRWNQ Crown Books Cp
1545 CSXCD CSL Lighting Manufacturing Inc
18209 CYBR Cybermedia Inc
1536 OZON Cyclopss Cp
15382 DPS Dawson Production Services Inc
8500 DEPCC Dep Cp
29084 DYGNW Dynagen Inc Wt
15231 ETTIE Ecotyre Technologies Inc
15458 ENCP Enercorp Inc
1917 ERLYE Erly Industries Inc
8631 ECGC Essex County Gas Co
4717 FOBC Fed One Bancorp Inc
5882 FCN First Chicago NBD Cp
18318 FCFCP FirstCity Financial Cp Special Pfd. B
31857 GALA Galacticomm Technologies Inc
9978 GATEC Gatefield Cp
29687 LOAN General Credit Cp
29688 LOANW General Credit Cp Wt
2692 GNK Globalink Inc
8883 GTTIF Grandetel Technologies Inc
29107 GBTVP Granite Broadcasting Cp Cum Conv Exch Pfd
8835 GSOF Group 1 Software Inc
12932 GTBX GT Bicycles Inc
5635 AHM H.F. Ahmanson & Co
15161 HFNC HFNC Financial Cp
4857 HYPR Hypermedia Communications Inc
12496 IHNI Iatros Health Network Inc
29381 ICHRW Ichor Cp Wt
1484 INCL Incontrol Inc
18337 ISER Innoserv Technologies Inc
2978 IFS Insignia Financial Group Inc Cl A
9580 ISLI Intersolv
29308 IFTIW Ionic Fuel Technology Inc Cl A Wt
4735 IQSW IQ Software Cp
2508 LIBT Liberty Technologies Inc
1642 LISB Long Island Bancorp Inc
2468 LUKN Lukens Medical Cp
31185 MJK Magicworks Entertainment Inc
5896 MNR Manor Care Inc
9164 MFSL Maryland Federal Bancorp Inc
15393 SPEH May & Speh Inc
5940 MCIC MCI Communications Cp
31849 MTRSV Metris Cos. Inc Wi
6841 MPRS Microprose Inc
9216 MIAM Mid-Am Inc
2064 MDYN Molecular Dynamics Inc
18053 NETLC Netlive Communications Inc
29598 NETWC Netlive Communications Inc Wt
12046 NETVA Netvantage Inc Cl A
12591 NETN New England Tel & Tel Co 5.050% Notes 1998
7434 NPR New Plan Realty Trust SBI
12241 NRLD Norland Medical Systems Inc
12059 OILYF Odyssey Petroleum Cp
1447 ONM Oncormed Inc
5848 PHA Pacific Pharmaceuticals Inc
12151 PRDM Paradigm Technology Inc
29009 WPOGW Pease Oil & Gas Co Cl B Wt
9646 DERM Penederm Inc
29395 RHPSW Phillips (R.H.) Inc Wt
15094 PHYS Physio-Control Holding Cp
1889 PMTS PMT Services Inc
29905 PFSCF Positron Fiber Systems Cp
12034 REPS Republic Engineered Steels Inc
11003 SPMB Saga Petroleum A/S Cl B ADR
29359 SAGCW Saint Andrews Golf Cp Cl A Wt
11357 SFC Southern Pacific Funding Cp
9707 SUMI Sumitomo Bank of California
29721 SHSE Summit Holding Southeast Inc
29666 TTWOW Take-Two Interactive Software Inc Wt
12740 TELS Tels Cp
15080 THIS Terrace Holdings Inc
29474 THISW Terrace Holdings Inc Wt
29085 FBSWW U.S. Bancorp Wt
9836 USGL U.S. Gold Cp
11479 USR U.S. Rentals Inc
7814 USS U.S. Surgical Cp
12860 UDCI United Dental Care Inc
12765 UFRM United Federal Savings Bank
9821 UNIV Universal Int'l Inc
4345 UPEN Upper Peninsula Energy Cp
6902 USRV US Servis Inc
1634 WGTI Wandel & Goltermann Technologies Inc
18387 WAMUM Washington Mutual Inc Perpetual Pfd Series E
3604 WBC Westbridge Capital Cp
1763 WRSI Woodroast Systems Inc

 


 
ADDITIONS TO COMMODITY FACT SHEET

 
 
Commodity: Euribor, 1 month
CSI commodity #: 545
Symbol: FEJ
Exchange: DTB (Germany)
Contract size: EUR 3,000,000
Unit of measure: Percent
Delivery months: 1-12
CSI point value: EUR 2.50
Minimum tick 5 CSI points
1st day on file: 980918
Newspaper/CSI price: 96.475/96475
Conversion factor: +3
Max months forward: 6
Limit (price): none

 
 
Commodity: Euribor, 3 month
CSI commodity #: 546
Symbol: FEI
Exchange: DTB (Germany)
Contract size: EUR 1,000,000
Unit of measure: Percent
Delivery months: 1-12
CSI point value: EUR 2.50
Minimum tick 5 CSI points
1st day on file: 980918
Newspaper/CSI price: 96.475/96475
Conversion factor: +3
Max months forward: 36
Limit (price): none

 
 
Commodity: Euro Libor, 3 month
CSI commodity #: 547
Symbol: FLI
Exchange: DTB (Germany)
Contract size: EUR 1,000,000
Unit of measure: Percent
Delivery months: 1-12
CSI point value: EUR 2.50
Minimum tick 5 CSI points
1st day on file: 980918
Newspaper/CSI price: 96.475/96475
Conversion factor: +3
Max months forward: 36
Limit (price): none

 

PAGE 3

 



 
    CSI Web Page Selector
 
 
All information and data on this website are
© Copyright 1998 by Commodity Systems Inc. (CSI)
 All rights are reserved.
800-274-4727  561-392-8663  561-392-1379  (Fax)

This site is best viewed with Netscape 3.0 or above or with
Microsoft Internet Explorer and with your monitor set to 800 x 600 or above.