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90-22 SOES Tier Levels to Change for 416 Issues on April 16, 1990

SUGGESTED ROUTING*

Senior Management
Internal Audit
Operations
Trading

*These are suggested departments only. Others may be appropriate for your firm.

On June 30, 1988, the maximum SOES order size for all NASDAQ National Market System (NASDAQ/NMS) securities was established as follows:

  • A 1,000-share maximum order size was applied to those NASDAQ/NMS securities that had an average daily nonblock volume of 3,000 shares or more a day, a bid price that was less than or equal to $100, and three or more market makers.
  • A 500-share maximum order size was applied to those NASDAQ/NMS securities that had an average daily nonblock volume of 1,000 shares or more a day, a bid price that was less than or equal to $150, and two or more market makers.
  • A 200-share maximum order size was applied to those NASDAQ/NMS securities that had an average daily nonblock volume of less than 1,000 shares a day, a bid price that was less than or equal to $250, and less than two market makers.

These order-size tiers were set by the NASD after extensive research and polling of all NASDAQ/NMS market makers. The purpose of establishing these tiers was to provide public investors with the most efficient means of handling their small orders while ensuring that market makers were not required to assume unrealistic risks under the new mandatory SOES participation rules.

At the time of their establishment, the NASD Trading Committee and Board of Governors decided that the tier levels applicable to each security would be reviewed periodically to determine if the trading characteristics of the issue had changed so as to warrant a SOES tier-level move. Such a review was conducted as of December 29, 1989, using the aforementioned formula and fourth-quarter trading data. The results of this review were analyzed by the SOES Subcommittee and the NASD Trading Committee, which recommended that changes in SOES tier levels should be implemented per the formula calculation with the exception that an issue would not be permitted to move more than one level.

To further explain, if an issue previously was categorized in the 200-share tier, it would not be permitted to move to the 1,000-share tier even if the formula calculated that such a move was warranted. The issue could move only one level to the 500-share tier as a result of any single review. Likewise, a security previously assigned to the 1,000-share tier could move only to 500 shares, regardless of the formula calculation. Only 15 issues were affected by this change during the most recent review. In adopting this policy, the Committee was attempting to minimize market-maker exposure on issues for which the tier level increased and to maintain adequate public investor access on issues for which the tier level decreased.

The committee also recognized that the formula used to assign the tier levels cannot always accurately reflect the trading characteristics for each issue. As such, market makers are reminded that the SOES Subcommittee will review on a case-by-case basis suggested tier level changes if a significant number of market makers in that issue believe such a change is warranted.For more information regarding this process, please contact NASDAQ Market Listing Qualifications at (202) 728-8039.

Following is a listing of the NASDAQ/NMS issues that will require a SOES tier-level change on April 16, 1990.

NASDAQ/NMS SOES CHANGES

All Issues in Alphabetical Order by Name

Symbol

Company Name

Old Tier Level

New Tier Level

SRCE

1ST SOURCE CORP

1000

500

A

     

ABSI

ABSINDS

1000

500

ACMT

AC MAT CORP

200

500

ALFB

ABRAHAM LINCOLN FSB

500

1000

ACET

ACETO CORP

1000

500

JAIL

ADTEC INC

500

1000

AGPH

AGOURON PHARM INC

500

1000

AKZOY

AKZO N V ADR

500

1000

ATNG

ALATENN RESOURCES

500

1000

AORGB

ALLEN ORGAN CO B

500

200

ABGA

ALLIED BANKSHARES

200

500

ACOL

AMER COLLOID CO

200

500

AFIL

AMER FILTRONA CORP

500

200

AMEI

AMER MED ELEC INC

500

1000

ANUC

AMER NUCLEAR CORP

500

1000

ARIG

AMER RELIANCE GROUP INC

500

1000

AMWD

AMER WOODMARK CORP

500

1000

ASBI

AMERIANA SAV BANK FSB

1000

500

AFFFZ

AMERICA FIRST FIN LP

500

1000

AMTA

AMISTAR CORP

500

200

AMTY

AMITY BANCORP INC

500

200

ANDR

ANDERSEN GROUP INC

500

1000

ATOG

ANDOVER TOGS INC

1000

500

AIND

ARNOLD INDUSTRIES

1000

500

ARTW

ART S WAY MFG CO INC

1000

500

ASTE

ASTECINDS INC

500

1000

ATRO

ASTRONICS CORP

500

1000

ATPC

ATHEYPRODUCTS CORP

1000

500

AFED

ATLANFED BANCORP INC

200

500

ATTC

AUTO TROL TECH

1000

500

ASH

AUTOMATED SYSTEMS

1000

500

AUTR

AUTOTROLCORP

1000

500

B

     

BGSS

B G S SYSTEMS INC

1000

500

BNHB

B N H BNSH INC

500

1000

BTRI

BTR REALTY INC

500

1000

BLCC

BALCHEM CORP

200

500

BMCC

BANDO MCGLOCKLIN CAP

500

1000

BNHC

BANK OF NEW HAMP CORP

500

1000

ASAL

BANKATLANTIC FSB

200

500

BIOW

BANKS OF IOWA INC

1000

500

BOMA

BANKS OF MID AMER

500

1000

BARY

BARRY S JEWELERS INC

1000

500

BAMI

BASIC AMER MEDICAL

500

1000

BPILF

BASIC PET INTL LTD

1000

500

BLLW

BELL W AND CO INC

500

1000

BGAS

BERKSHIRE GAS CO

200

500

BTHL

BETHEL BANCORP

500

200

BLSC

BIO LOGIC SYS CORP

1000

500

BIRT

BIRTCHER CORP THE

500

1000

BLVD

BOULEVARD BANCORP

500

1000

BTSB

BRAINTREE SAV BANK THE

500

1000

BSBC

BRANFORD SAVINGS BANK

500

1000

BRID

BRIDGFORD FOODS CORP

200

500

BRLN

BROOKLYN SAV BANK THE

500

1000

BANQ

BURRITTINTRFIN BANCORP

500

1000

C

     

CCBF

C C B FIN CORP

1000

500

CNET

C O M N E T CORP

500

1000

CPBI

CPBINC

500

1000

CCBT

CAPE COD BANK TR CO

200

500

CATA

CAPITOL TRANS AMERICA

500

200

CAFS

CARDINAL FINL GROUP

200

500

FFCA

CAROLINA BANCORP INC

1000

500

CECX

CASTLE ENERGY CORP

500

1000

CELLW

CELL TECH INC WTS 92

1000

500

CSBC

CENTRAL SOUTHERN HLD

500

200

CHLN

CHALONE INC

1000

500

CHCR

CHANCELLOR CORP

500

200

CHER

CHERRY CORP

500

1000

CPCI

CIPRICO INC

500

1000

CINS

CIRCLE INCOME SHARES

500

1000

CIBA

CITIZENS BANK

500

200

CIZCF

CITY RESOURCE CANADA

500

1000

CTRIS

CLEVETRUST RLTY SBI

500

1000

COCAW

COCA MINES INC WTS

200

500

CODN

CODENOLL TECH CORP

500

1000

COBA

COMMERCE BNCP INC NJ

500

1000

CBNB

COMMERCEBANCORP

500

1000

CBOCA

COMMERCIAL BNCP COLO

200

500

CBNH

COMMUNITY BANKSHARES

500

1000

CBSI

COMMUNITY BK SYSTEM

500

200

CIDN

COMPUTER IDENTICS CORP

1000

500

CSTP

CONGRESS STREET PROP

200

500

CTLC

CONS TOMOKA LAND

500

200

CORC

CORCOM INC

500

1000

CNPGF

CORNUCOPIA RES LTD

500

1000

CSLH

COTTON STATES LIFE

200

500

CWTS

COUNTRY WIDE TRANS

1000

500

COILP

CRYSTAL OIL CO PFD A

200

500

D

     

DOCO

DOC OPTICS CORP

200

500

DMAR

D ATAM ARINEINTL INC

200

500

DSCC

DATASOUTH COMPUTER

200

500

DTSI

DATRON SYSTEMS INC

500

1000

DAVX

DAVOX CORP

500

1000

DEER

DEERFIELD FED SAV LOAN

200

500

DETA

DELTACO RESTAURANTS

500

200

DEVC

DEVCON INTL CORP

200

500

DRTK

DURATEK CORP

500

1000

DUCO

DURHAM CORP

1000

500

E

     

EFIC

E F I ELECTRONICS CORP

500

1000

EWAT

E TOWN CORP

200

500

ETEX

EASTEX ENERGY INC

1000

500

EASTS

EASTOVER CORP SBI

200

500

ELCN

ELCOINDS INC

500

1000

ETCIA

ELECTRONIC TELECOM A

500

200

ENNI

ENERGYNORTH INC

1000

500

ECLAY

ENGLISH CHINA ADR

500

1000

ESEX

ESSEX CORP

200

500

EXAR

EXAR CORP

500

1000

F

     

FBXC

F B X CORP

500

1000

FLSHP

F L S HLDGS A PFD

500

200

FNWB

FNW BANCORP INC

500

1000

FICI

FAIR ISAAC AND CO

500

200

FCBK

FAIRFIELD COUNTY B ANC

500

1000

FEDF

FEDERATED FIN SAV LOAN

1000

500

FIGI

FIGGIE INTL INC

500

200

FCHT

FIRST CHATTANOOGA

1000

500

FCNCA

FIRST CITIZENS CL A

500

200

FRFD

FIRST COMM BANCORP IL

500

200

FCLR

FIRST COMMERCIAL L R

1000

500

FFAM

FIRST FAMILY GROUP

200

500

FFAL

FIRST FED ALABAMA

200

500

FFMY

FIRST FED SL FT MYR

1000

500

FFES

FIRST FED S L HRTFD

1000

500

FFSD

FIRST FED SAV BANK AL

500

1000

LFSA

FIRST FED SAV LENAWE

1000

500

FFUT

FIRST FED SAV UTAH

500

1000

FFWP

FIRST FED WESTERN PA

500

1000

FFBC

FIRST FEN BANCORP OH

200

500

FRCC

FIRST FIN CAREB CORP

1000

500

FSEB

FIRST HOME FED SAV LOAN

500

200

FIBI

FIRST INTERST BANCORP

200

500

FLFC

FIRST LIBERTY FIN

500

1000

FMSB

FIRST MUTUAL SAV BK

1000

500

FBAC

FIRST NATL BANCORP GA

1000

500

FNGB

FIRST NORTHERN SAV BANK

500

200

FNYB

FIRST NY BUSINESS BANK

500

1000

FOBBA

FIRST OAK BROOK CL A

500

200

FSFC

FIRST SEC FIN CORP

200

500

FAME

FLAMEMASTER CORP THE

500

200

FLAEF

FLORIDA EMP ENS CO

1000

500

FFPC

FLORIDA FIRST FED

500

1000

FSNR

FORSCHNER GROUP THE

500

1000

FELE

FRANKLIN ELECTRIC CO

500

1000

G

     

XRAY

G E N D E X CORP

500

1000

GWCC

G W C CORP

1000

500

GBAN

GATEWAY BANCORP INC

500

200

GCOR

GENCOR ENDS INC

1000

500

GENIP

GENETICS INSTIT PFD

200

500

GMFD

GERMANTA BANK FSB

500

1000

GBYLF

GIANT BAY RES LTD

500

1000

GSBI

GRANITE STATE BKSHS

1000

500

GBBS

GREAT BAY BANKS HARES

500

1000

GFGC

GREAT FALLS GAS CO

500

1000

GREY

GREY ADVERTISING INC

500

200

GRIF

GRIFFIN TECHNOLOGY

500

1000

GATS

GULF APPLIED TECH

500

1000

H

     

HEIC

H EI CORP

1000

500

HHOT

HH OIL TOOL CO INC

200

500

HAKO

HAKO MINUTEMAN INC

500

200

THCO

HAMMOND CO THE

500

1000

HATH

HATHAWAY CORP

1000

500

HVFD

HAVERFIELD CORP

500

200

HAVT

HAVERTY FURNITURE

1000

500

HTLD

HEARTLAND EXPRESS

1000

500

HEBC

HERITAGE BANKCORP

500

1000

HSBK

HIBERNIA SAV BANK THE

500

1000

HFGA

HOME FED SAV BANK GA

200

500

HFSF

HOME FED SAV LOAN SF

500

1000

HOMF

HOME FED SAV SEYMOUR

500

1000

HFSLP

HOME OWNERS SAV A PF

500

1000

HTWN

HOMETOWN BANCORP INC

500

1000

HOSP

HOSPOSABLE PROD INC

1000

500

HTEK

HYTEK MICROSYSTEMS

500

1000

I

     

ICOC

I C O INC

500

1000

IEHC

I E H CORP

500

1000

IIVI

IIVI INC

1000

500

INRD

INRAD INC

200

500

INVG

INVG MTG SECS CORP

1000

500

IWCR

IW C RES CORP

500

1000

TIBI

IMAGE BANK THE

200

500

INDHK

INDEP ENS GROUP INC NV

1000

500

IACI

INDUSTRIAL ACOUSTICS

500

200

INFD

INFODATA SYSTEMS INC

500

1000

INSMA

INSETUFORM MIDAMER A

200

500

ICAR

INTERCARGO CORP

1000

500

ICEYF

INTL CAP EQUIP LTD

500

1000

ISLH

INTL HOLDING CAP CORP

500

200

ILFCW

ENTL LEASE FIN WTS

200

500

ITIC

INVESTORS TITLE CO

500

1000

J

     

JMBRS

JMBREALTYTRSBI

200

500

JKHY

JACK HENRY AND ASSOC

500

1000

JACO

JACO ELECTRONICS INC

1000

500

JMLC

JAMES MADISON LTD

200

500

JASN

JASON INC

1000

500

JEFG

JEFFERIES GROUP INC

500

1000

JFFN

JEFFERSON BANK

500

200

JERR

JERRICO INC

1000

500

JGRP

JESUP GROUP INC

500

200

JALC

JOHN ADAMS LIFE CORP

200

500

WILLA

JOHN WILEY SONS CL A

1000

500

JSBK

JOHNSTOWN SAV BANK FSB

200

500

K

     

KEQU

KEWAUNEE SCIENTIFIC

500

200

KNAP

KNAPE AND VOGT MFG

500

1000

L

     

LCSI

L C S INDS INC

200

500

LDMFA

LAIDLAWINCCLA S2

200

500

LSNB

LAKE SHORE BANCORP

200

500

LDMK

LANDMARK BANK FOR SAV

500

1000

LCBI

LANDMARK COMM BANCORP

500

1000

LSER

LASER CORP

1000

500

LIB HA

LIBERTY HOMES INC A

500

200

LIFE

LIFELINE SYSTEMS INC

500

1000

LFIN

LINCOLN FINANCIAL CORP

1000

500

LNDL

LINDAL CEDAR HOMES

1000

500

LIND

LINDBERG CORP

500

1000

LOGC

LOGIC DEVICES INC

500

1000

LEIX

LOWRANCE ELECTRONICS

500

200

M

     

MIHO

M I SCHOTTENSTEIN

1000

500

MLRC

MALLON RESOURCES CORP

500

1000

MANA

MANATRON INC

500

200

MRCS

MARCUS CORP

1000

500

MCOR

MARINE CORP ILL

1000

500

MTWN

MARK TWAIN BCSHS

500

1000

MFAC

MARKET FACTS INC

200

500

MAXC

MAXCO INC

1000

500

MFLR

MAYFLOWER CO-OP BK

500

1000

MOIL

MAYNARD OIL CO

500

1000

MGCC

MEDICAL GRAPHICS CORP

500

1000

MDTA

MEGADATACORP

500

1000

KITS

MERIDIAN DIAGNOSTICS

500

1000

MIGI

MERIDIAN INS GROUP INC

1000

500

METS

MET COIL SYSTEMS CORP

1000

500

MAIL

MICHAEL ANTHONY JEWL

500

1000

MWAV

MICROWAVE LABS INC

500

1000

MIAM

MID AM INC

500

1000

MABC

MID AMERICA BANCORP

1000

500

MMSB

MID MAINE SAV BANK FSB

500

1000

MNES

MINE SAFETY APPLS CO

500

200

MVBC

MISSION VALLEY BANCORP

500

1000

MAHI

MONARCH AVALON INC

200

500

MHCO

MOORE HANDLEY INC

200

500

MTNR

MOUNTAINEER BKSHS WV

500

200

MUEL

MUELLER PAUL CO

500

200

LABL

MULTI COLOR CORP

1000

500

MUTU

MUTUAL FED SAV LOAN

500

200

MFBZ

MUTUAL FED SAVS BANK

500

1000

N

     

NSCB

N B S CCORP

500

200

NIPNY

N E C CP ADR

1000

500

NHDI

N H D STORES INC

1000

500

NANO

NANOMETRICS INC

200

500

NCMC

NATL CAP MGT CORP

500

1000

MB LA

NATL MERCANTILE BANCORP

500

1000

NSSX

NATL SANITARY SUPPLY

500

200

NBTY

NATURE'S BOUNTY INC

500

1000

NAVG

NAVIGATORS GROUP INC

500

1000

NWRK

NETWORKS ELECTRONICS

500

200

NIIS

NEW IMAGE INDS INC

200

500

NIEX

NIAGARA EXCHANGE CORP

500

1000

NMDY

NORMANDY OIL GAS CO

1000

500

CBRYA

NORTHLAND CRANBERR A

1000

500

NWIB

NORTHWEST IL BANCORP

200

500

NOVXM

NOVA PHARM CORP WTS C

1000

500

NOVXL

NOVA PHARM CORP WTS D

1000

500

NYCOP

NYCOR INC PFD

1000

500

O

     

OGLE

OGLEBAY NORTON CO

1000

500

OFFI

OLD FASHION FOODS

200

500

OLDB

OLD NATL BANCORP

1000

500

OSTNO

OLD STONE PFB B 2.40

200

500

OSBW

OLYMPIC SAV BANK

500

200

OCGI

OMNI CAP GROUP INC

1000

500

OVWV

ONE VALLEY BANCORP W VA

1000

500

OCOMA

OUTLET COMMUN CL A

1000

500

OXID

OXIDYNE GROUP THE

1000

500

P

     

PHPH

PHP HEALTHCARE CORP

500

1000

PALM

PALFED INC

500

1000

PKWY

PARKWAY CO

500

200

PATK

PATRICK INDS INC

500

1000

PENT

PENN ENTRPR INC

1000

500

PVIR

PENN VIRGINIA CORP

1000

500

PSPA

PENNVIEW SAVS ASSOC

200

500

PNTAP

PENTAIR INC PFD 87

500

200

PBNB

PEOPLES SAV FINL CORP

500

1000

PTRL

PETROL INDS INC

1000

500

PETTV

PETTIBONE CORP NEW WI

500

200

PICOA

PHYSICIANS INS OH A

500

1000

PBGI

PIEDMONT BKGP INC

200

500

PFBK

PIONEER FED SAV BANK

500

1000

PFSIP

PIONEER FIN SVCS PFD

500

1000

SIGN

PLASTI LINE INC

1000

500

PLZA

PLAZA COMMERCE BANCORP

1000

500

PLEN

PLENUM PUBLISHING CORP

1000

500

PS LA

PREFERRED SAV BANK

200

500

PBKC

PREMIER BKSHS

500

200

PENG

PRIMA ENERGY CORP

200

500

PMBK

PRIMEBANK FED SAV BANK

500

1000

PROFE

PROFESSIONAL INV INS

1000

500

PRFT

PROFFITT S INC

500

200

PSYS

PROGRAMMING AND SYS

1000

500

PVNA

PRO VENA FOODS INC

200

500

PULS

PULAWSKI SAV LOAN

500

1000

Q

     

QEDX

Q E D EXPLORATION

200

500

QLTIF

QUADRA LOGIC TECH

500

1000

R

     

RRMN

RAILROADMENS FED IND

500

200

RCHI

RAUCH INDS INC

1000

500

RCOT

RECOTON CORP

1000

500

RFTN

REFLECTONE INC

500

1000

RAUT

REPUBLIC AUTO PARTS

500

1000

RSLA

REPUBLIC CAP GROUP INC

500

1000

RSFC

REPUBLIC SAV FIN CORP

500

200

RESR

RESEARCH INC

200

500

ROIL

RESERVE INDS CORP

500

200

REXI

RESOURCE AMERICA INC

1000

500

RESP

RESPIRONICS INC

500

1000

PREV

REVERE FUNDINC

500

1000

REXL

REXHALLINDSINC

500

1000

RSGI

RIVERSIDE GROUP INC

500

200

RDWI

ROADWAY MOTOR PLAZA

500

1000

RESC

ROANOKE ELEC STEEL

1000

500

RNIC

ROBINSON NUGENT INC

500

1000

RONC

RONSON CORP

1000

500

ROTO

ROTO ROOTER INC

500

1000

ROYLW

ROYALPAR INDS WTS A

200

500

RULE

RULE INDS INC

1000

500

RBCO

RYAN BECK CO INC

500

1000

S

     

SDNB

SDNB FINANCIAL CORP

500

200

SJNB

SJNB FINANCIAL CORP

500

1000

SKFB

S K FAMOUS BRANDS

500

1000

SNLFA

S N L FINANCIAL CORP A

1000

500

STVI

S T V ENGINEERS INC

500

200

SWCB

SANDWICH CO-OP BANK

500

1000

SWARA

SCHWARTZ BROS INC A

1000

500

SIDY

SCIENCE DYNAMICS CORP

500

1000

SCOT

SCOTT AND STRINGFELL

200

500

SEAB

SEABOARD SAVINGS LOAN

200

500

SSBA

SEACOAST SAVINGS BANK

500

1000

SEWY

SEAWAY FOOD TOWN INC

500

200

SFGI

SECURITY FINL GROUP INC

500

200

SLTM

SELECTERM INC

500

200

SNCO

SENSOR CONTROL CORP

1000

500

SHOP

SHOPSMITH INC

1000

500

SETBS

SIERRA RL EST 83 SBI

500

200

SETC

SIERRA RLESTTR 84

500

1000

SKAN

SKANEATELES SAV BANK

500

200

SMGS

SOUTHEASTERN MI GAS

1000

500

SSIF

SOUTHEASTERN SAV

500

1000

SISC

STEWART INFO SVCS CORP

1000

500

STRU

STRUCTOFAB INC

500

200

SUBBA

SUBURBAN BANCORP A

500

1000

SUMI

SUMITOMO BANK OF CA

500

1000

SMMT

SUMMIT SAV ASSOC

500

1000

SNRU

SUNAIR ELECTRONICS

500

1000

SNLT

SUNLITE INC

1000

500

SRBC

SUNRISE BANCORP

500

1000

SUNF

SUNSTAR FOODS INC

1000

500

SYMC

SYMANTEC CORP

500

1000

SNTC

SYNETIC INC

500

1000

T

     

TCII

TCIINTLINC

500

1000

Tsn

TSIINC

1000

500

TOPT

TELE OPTICS INC

500

1000

TNII

TELECOMMUN NETWORK

1000

500

TMTX

TEMTEX INDS INC

200

500

TAVI

THORN APPLE VALLEY

200

500

TOCRZ

TOCOR INC UTS

500

1000

TODDA

TODDAOCORPCLA

1000

500

TKIOY

TOKIO MARINE ADR

1000

500

TLAM

TONY LAMA CO INC

500

1000

TRGL

TOREADOR ROYALTY CORP

500

1000

TGDGF

TOTAL ENERGOLD CORP

500

1000

TRNI

TRANS INDS INC

1000

500

TLII

TRANS LEASING BNTL

500

1000

TRSL

TRANSNATIONAL INDS

1000

500

TRTI

TRANSTECH IND INC

1000

500

TWBC

TRANSWORLD BANCORP

500

200

TMAS

TRIMAS CORP

1000

500

TUCK

TUCKER DRILLING CO

500

1000

TDRLF

TUDOR CORP LTD

200

500

TUSC

TUSCARORA PLASTICS

1000

500

TTOYW

TYCO TOYS INC WTS 93

500

1000

T T

     

U

     

UNRI

U N R INDS INC

1000

500

UNRIW

U N R INDS INC WTS

1000

500

UNSL

U N S L FIN CORP

500

200

INTK

U SINTECINC

1000

500

UICI

UNITED INS COS INC

500

1000

UMSB

UNITED MISSOURI BCSH

1000

500

UNEWY

UNITED NEWSPAPER ADR

500

1000

USBK

UNITED SAV BANK VA

500

1000

UBMT

UNITED SAV BANK F A MT

500

1000

TOTE

UNITED TOTE INC

1000

500

UHCO

UNIV HOLDING CORP

500

1000

USBP

USB ANCORP INC PA

500

1000

V

     

VLCM

VALCOM INC

200

500

VWBN

VALLEY WEST BANCORP

200

500

VALY

VALLICORP HLDGS INC

200

500

VREOS

VANGUARD REAL SBI

200

500

VCRE

VARI CARE INC

1000

500

VLGEA

VILLAGE SUPER MKT A

500

1000

VIST

VISTA RESOURCES INC

1000

500

W

     

WCRSY

W C R S PLC ADR

500

200

WNSI

WNSINC

200

500

WPPGY

WPP GROUP PLC ADR

500

1000

WALS

WALSHIRE ASSURANCE

500

200

WIMI

WARWICK INS MGRS INC

200

500

WAMUP

WASHINGTON MUT PFD A

1000

500

WSBX

WASHINGTON SAV BANK

200

500

WATFZ

WATERFORD PLC ADR UT

200

500

WHOO

WATERHOUSE INVESTOR

500

200

WEBS

WEBSTER CLOTHES INC

1000

500

WLPI

WELLINGTON LEISURE

1000

500

WCBC

WEST COAST BANCORP CA

500

1000

WSBK

WESTERN BANK OREGON

200

500

WFPR

WESTERN FED SAV P R

200

500

WFRAF

WHARF RESOURCES LTD

1000

500

WSVS

WILAND SVCS INC

200

500

X

     

XPLR

XPLOR CORP

200

500

Y

     

YESS

YANKEE ENERGY SYS

500

1000

YFED

YORK FINANCIAL CORP

1000

500

Z

     

ZIGO

ZYGO CORP

200

500


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