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Notice To Members 92-21

SOES Tier Levels to Change for 431 Issues on May 4, 1992

Published Date:

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 Small Order Execution System (SOES) order size for all Nasdaq National Market securities was established as follows:

  • A 1,000-share maximum order size was applied to those Nasdaq National Market 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 National Market 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 National Market 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 National Market 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 31, 1991, 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. During the most recent review, 26 issues were affected by this change. 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 list of the Nasdaq National Market issues that will require a SOES tier-level change on May 4, 1992.

NASDAQ/NMS SOES CHANGES

All Issues in Alphabetical Order by Name

Symbol

Company Name

Old Tier Level

New Tier Level

A

     

SKFRY

A B SKF ADR

500

200

ACMTA

ACMAT CORP CL A

500

200

AEPI

AEP INDS INC

1000

500

AESC

AES CORP (THE)

500

1000

APGI

A P GREEN INDS

500

1000

ARON

AARON RENTS INC

1000

500

ABRI

ABRAMS INDS INC

500

200

ACET

ACETO CORP

500

1000

ADGE

ADAGE INC

1000

500

AROS

ADVANCE ROSS CORP

500

1000

AHLDY

AHOLD LTD ADR

200

500

ATNG

ALATENN RESOURCES

1000

500

ALKS

ALKERMES INC

200

500

SEMI

ALL AMER SEMICONDOR

500

1000

AORGB

ALLEN ORGAN CO CL B

500

200

ALET

ALOETTE COSMETICS

1000

500

AFIL

AMER FILTRONA CORP

200

500

ANUC

AMER NUCLEAR CORP

1000

500

ARBC

AMER REPUBLIC BNCP

1000

500

AMWD

AMER WOODMARK CORP

500

1000

AINVS

AMERIBANC INVEST SB1

500

1000

AMTA

AMISTAR CORP

200

500

AATI

ANALYSIS TECHNOLOGY

1000

500

ANDR

ANDERSEN GROUP INC

500

200

ARSD

ARABIAN SHIELD DEV

500

1000

AGII

ARGONAUT GROUP INC

500

1000

ASBK

ASPEN BANCSHARES INC

500

1000

ATRO

ASTRONICS CORP

500

1000

ATKM

ATEK METALS CENTER

200

500

AAME

ATLANTIC AMER CORP

500

1000

ASHBY

AUTOMATED SEC ADR

500

1000

       

B

     

BFSI

BFS BANKORP INC

500

200

BGSS

BGS SYSTEMS INC

1000

500

BMJF

BMJ FINANCIAL CORP

500

1000

BMRG

BMR FIN GP INC

200

500

BNHB

BNH BKSHS INC

500

1000

BTFC

BT FINANCIAL CORP

200

500

BTRI

BTR REALTY INC

1000

500

BPMI

BADGER PAPER MILLS

500

200

BPAO

BALDWIN PIANO & ORGAN

1000

500

BTEK

BALTEK CORP

200

500

BONEO

BANC ONE CORP PFD C

500

1000

BOMS

BANCORP OF MISS INC

500

200

GRAN

BANK OF GRANITE

200

500

ASAL

BANKATLANTIC FSB

200

500

VMLPZ

BANYAN MTGE LP UTS

500

1000

BPILF

BASIC PET INT'L LTD

1000

500

BNHN

BENIHANA NAT'L CORP

500

1000

BGENW

BIOGEN INC WTS

500

1000

BLIS

BLISS & LAUGHLIN INDS

200

500

BORAY

BORAL LTD ADR

200

500

BOST

BOSTON DIGITAL CORP

500

1000

BLVD

BOULEVARD BANCORP

1000

500

BTSB

BRAINTREE SAV BK (THE)

200

500

BRDN

BRANDON SYSTEMS CORP

500

200

BRDL

BRENDLE'S INC

500

1000

BRID

BRIDGFORD FOODS CORP

200

500

BMTC

BRYN MAWR BK CORP

500

1000

       

C

     

CASH

C A SHORT INT'L INC

1000

500

CERB

CERBCO INC

1000

500

CFSB

CFSB BANCORP INC

500

1000

CORR

COR THERAPEUTICS

200

500

CPBI

CPB INC

500

1000

CSFCB

CSF HLDGS INC CL B

200

500

CSPI

CSPINC

500

1000

CWTR

CAL WATER SVC CO

1000

500

CABI

CALIFORNIA BANCSHARE

200

500

CYNRW

CANYON RES CORP WTS

200

500

CCBT

CAPE COD BK TR CO

1000

500

CAFS

CARDINAL FIN GRP

200

500

CAREW

CARE GRP INC WTS 92

500

1000

CNTOW

CENTOCOR INC WTS 94

500

1000

KOKO

CENTRAL INDIANA BNCP

500

1000

CPSA

CENTRAL PENN FIN CORP

200

500

CEPH

CEPHALON INC

500

1000

CHTT

CHATTEM INC

500

1000

CHFC

CHEMICAL FIN CORP

200

500

CDCRA

CHILDREN'S DIS CTRS CL A

200

500

DOSEW

CHOICE DRUG SYS WTS

500

1000

CFNE

CIRCLE FINE ART CORP

1000

500

CRCL

CIRCLE FIN CORP

200

500

CSYI

CIRCUIT SYSTEMS INC

1000

500

CIVC

CIVIC BANCORP

500

1000

CTRIS

CLEVETRUST RLTY SBI

200

500

CGAS

CLINTON GAS SYS

500

1000

COBK

CO-OP BK CONCORD (THE)

500

1000

CFFS

COLUMBIA FIRST BK

500

1000

CBNB

COMMERCE BANCORP

1000

500

CBOCA

COMML BNCP COLORADO CL A

200

500

CABL

COMM CABLE INC

1000

500

CBNH

COMMUNITY BANKSHARES

200

500

CBSI

COMMUNITY BK SYSTEM

200

500

CFBX

COMMUNITY FIRST BKSH

500

1000

CPTD

COMPUTER DATA SYS

500

1000

CFIB

CONSOLIDATED FIBRES INC

200

500

COOL

COOPER DEVELOPMENT

1000

500

CSLH

COTTON STATES LIFE

500

200

CRCC

CRAFTMATIC/CONTOUR

1000

500

CMBK

CUMBERLAND FED BNCP

500

1000

CUNB

CUPERTINO NAT'L BNCP

200

500

CYBE

CYBEROPTICS CORP

500

1000

CYGN

CYGNUS THERAPEUTIC

500

1000

CYTOP

CYTOGEN CORP PFD

500

200

       

D

     

DNAPP

DNA PLANT TECH PFD

500

1000

DSCC

DATASOUTH COMPUTER

500

1000

DAVX

DAVOX CORP

500

1000

DEER

DEERBANK CORP

500

200

DOCP

DELAWARE OTSEGO CORP

500

200

DLFI

DELPHI FIN GRP CL A

200

500

DGAS

DELTA NATURAL GAS

500

1000

DTRX

DETREX CORP

500

1000

DIAN

DIANON SYSTEMS INC

500

1000

DCPI

DICK CLARK PROD INC

1000

500

DOUG

DOUGLAS AND LOMASON

200

500

DREW

DREW INDS INC

500

1000

DRCO

DYNAMICS RESEARCH CORP

500

1000

       

E

     

EACO

EA ENGRG SCI TECH

1000

500

EMCI

EMC INSURANCE GP

1000

500

EROQ

ENVIROQ CORP

1000

500

VFBK

EASTERN BANCORP INC

500

1000

ETEX

EASTEX ENERGY INC

500

1000

EAVN

EATON VANCE CORP

500

1000

EDCO

EDISON CONTROL CORP

500

200

ELRC

ELECTRO RENT CORP

200

500

ELMF

ELM FIN SERVICES

500

1000

ENNI

ENERGYNORTH INC

500

1000

ESCA

ESCALADE INC

500

1000

EVGN

EVERGREEN BANCORP

1000

500

       

F

     

FSCC

F&C BANCSHARES INC

500

1000

FMNT

F AND M NATIONAL CORP

1000

500

FDPC

FDP CORP

1000

500

FMCO

FMS FINANCIAL CORP

200

500

FRPP

FRP PROPERTIES INC

500

200

FICI

FAIR ISAAC AND CO

500

1000

FLOG

FALCON OIL & GAS CO

200

500

FEDF

FEDERATED BK S S B

500

1000

FSVA

FIDELITY SAV BANK

200

500

FBII

FIRST BANCORP INDIANA

200

500

FCHT

FIRST CHATTANOOGA

500

200

FCIT

FIRST CITIZENS FIN

200

500

FFAL

FIRST FED ALABAMA

200

500

FFES

FIRST FED S&L HARTFORD

500

1000

FRCC

FIRST FIN CARIB CORP

500

1000

FIBI

FIRST INTER-BANCORP

1000

500

FLFC

FIRST LIBERTY FIN

500

1000

FRME

FIRST MERCHANTS CORP

200

500

FMSB

FIRST MUTUAL SAV BK

200

500

FBAC

FIRST NAT'L BNCP GA

500

1000

FNPC

FIRST NAT'L PENN CORP

500

1000

FNGB

FIRST NORTHERN SAV BK

200

500

FOBBA

FIRST OAK BROOK CL A

500

200

FABKN

FIRST OF AMER PFD E

1000

500

FRST

FIRSTIER FIN INC

500

1000

FLGLA

FLAGLER BANK CORP CL A

500

200

FLAEF

FLORIDA EMPLOYERS' INS CO

500

200

FSVB

FRANKLIN BK NAT ASSN

1000

500

FSVBW

FRANKLIN BK NAT WTS

500

200

FELE

FRANKLIN ELECTRIC CO

500

1000

       

G

     

GMIS

GMIS INC

500

1000

GBAN

GATEWAY BANCORP INC

200

500

GBND

GEN BINDING CORP

1000

500

GCOR

GENCOR INDS INC

200

500

GENIP

GENETICS INSTIT PFD

1000

500

GENIW

GENETICS INSTIT WTS

200

500

GBCI

GLACIER BANCORP

200

500

GLTX

GOLDTEX INC

200

500

GSBI

GRANITE STATE BKSHS

200

500

GLBCP

GREAT LAKES PFD A

200

500

GRIF

GRIFFIN TECHNOLOGY

200

500

GROV

GROVE BANK

200

500

GBSI

GWINNETT BANCSHARES

500

200

       

H

     

HDRP

HDR POWER SYS INC

200

500

HHOT

H&H OIL TOOL CO INC

500

200

HAKO

HAKO MINUTEMAN INC

500

200

HALL

HALL FIN GRP INC

500

1000

HBHC

HANCOCK HLDG CO

200

500

HAVT

HAVERTY FURNITURE

500

1000

HWKN

HAWKINS CHEMICAL INC

500

1000

HTHR

HAWTHORNE FINANCIAL

500

1000

HCCO

HECTOR COMM CORP

200

500

HELX

HELIX TECHNOLOGY INC

500

1000

HERS

HERITAGE FIN SVC IL

1000

500

HIFS

HINGHAM INST SAVING

1000

500

HBENB

HOME BENEFICIAL CORP CL B

1000

500

HFMD

HOME FED CORP

200

500

HFSF

HOME FED FIN CORP

500

200

HFET

HOME FINANCIAL CORP

500

1000

HPBC

HOME PORT BNCP INC

500

1000

HOME

HOMEDCO GRP INC

200

500

HTWN

HOMETOWN BNCP INC

200

500

HOSP

HOSPOSABLE PROD INC

1000

500

HUFK

HUFFMAN KOOS INC

1000

500

HYBDW

HYCOR BIOMEDICAL WTS

500

1000

HYDE

HYDE ATHLETIC INDS

500

200

       

I

     

IIVI

II-VI INC

500

1000

ILIOW

ILIO INC WTS 92

500

1000

INRD

INRAD INC

500

200

INAC

INACOM CORP

500

1000

INDB

INDEP BK CORP MA

500

200

INHO

INDEPENDENCE HLDG CO

500

1000

ITCC

INDUSTRIAL TRAINING

500

200

1NSMA

INSITUFORM MIDAMER CL A

500

1000

ICST

INTEGRATED CIRCUIT

500

1000

ICBK

INTERCONTINENTAL BK

200

500

IGHC

INTERGROUP HEALTHCARE

500

1000

INTP

INTERPOINT CORP

1000

500

ICSI

INT'L CONTAINER SYS

1000

500

ITHB

ITHACA BANCORP INC

1000

500

       

J

     

JASN

JASON INC

1000

500

JEANW

JEAN PHILIPPE FRAG WTS

500

1000

JEFG

JEFFERIES GROUP INC

500

1000

JALC

JOHN ADAMS LIFE CORP

200

500

JSBK

JOHNSTOWN SAV BK FSB

200

500

       

K

     

KLLM

KLLM TRANSPORT SVCS

500

200

KEQU

KEWAUNEE SCIENTIFIC

500

200

KHGI

KEYSTONE HERITAGE GRP

500

200

KOSS

KOSS CORP

200

500

KRUG

KRUG INT'L CORP

500

1000

       

L

LVMH MOET HENNESSY

   

LVMHY

LOUIS VUITTON ADR

500

200

LCLD

LACLEDE STEEL CO

500

1000

LPAC

LASER-PACIFIC MEDIA

200

500

LEPGY

LEPGRPPLCADR

500

1000

LINN

LINCOLN FOODSVC PROD

500

1000

LNSB

LINCOLN SAVINGS BANK

500

200

LNDL

LINDAL CEDAR HOMES

1000

500

LIND

LINDBERGCORP

1000

500

LSKI

LIUSKI INT'L INC

500

1000

LONDY

LONDON INT'L PLC ADR

200

500

LICF

LONG ISLAND CITY FIN -

500

1000

LLEC

LONG LAKE ENERGY CORP

1000

500

LEIX

LOWRANCE ELECTRONICS

200

500

LUFK

LUFKININDS INC

500

1000

       

M

     

MPSG

MPSI SYSTEMS INC

1000

500

MACD

MACDERMID INC

200

500

MGNL

MAGNA BANCORP INC

1000

500

MKTAY

MAKITA CORP SPONS ADR

500

200

MANA

MANATRON INC

200

500

MRTN

MARTEN TRANSPORT LTD

500

200

MASB

MASS BANK CORP

1000

500

MAXC

MAXCOINC

500

1000

MFLR

MAYFLOWER CO-OP BK

200

500

MOIL

MAYNARD OIL CO

1000

500

MCFE

MCFARLAND ENERGY INC

500

1000

MTIX

MECHANICAL TECH INC

200

500

MDIN

MEDALIST INDS

500

1000

MEDX

MEDAREX INC

500

1000

MEDXW

MEDAREX INC WTS 96

500

1000

MIGI

MERIDIAN INS GRP INC

1000

500

MPTBS

MERIDIAN PT RLTY TR

200

500

MERS

MERIS LABS INC

200

500

METS

MET-COIL SYSTEMS CORP

500

1000

MIDS

MID-SOUTH INS CO

500

1000

MSSB

MID-STATE FED SAV BK

1000

500

MIDC

MIDCONN BANK

500

1000

MSEX

MIDDLESEX WATER CO

200

500

SHOEZ

MILLFELD TRADING WTS A

1000

500

SHOEW

MILLFELD TRADING WTS

500

200

MILT

MILTOPE GROUP INC

1000

500

MILW

MILWAUKEE INS GROUP

500

200

MMDI

MOMENTUM DISTRIB

200

500

MSBI

MONTCLAIR BNCP INC

1000

500

MORF

MOR-FLO INDS INC

1000

500

MTNR

MOUNTAINEER BKSHS WV

500

200

MUEL

MUELLER PAUL CO

500

200

       

N

     

NHDI

NHD STORES INC

200

500

NWGI

N W GROUP INC

500

1000

NANO

NANOMETRICS INC

200

500

NSSC

NAPCO SEC SYS INC

500

1000

NCELW

NATIONWIDE CELL WTS

200

500

NCBM

NAT'L CITY BNCP

200

500

NAIG

NAT'L INSURANCE GRP

500

200

MBLA

NAT'L MERCANTILE BNCP

500

1000

NPBC

NAT'L PENN BSCHS INC

500

200

NTSC

NAT'L TECH SYS INC

500

1000

NALR

NAYLOR INDS INC

1000

500

NHSL

NEW HORIZONS S&L

500

200

NLON

NEW LONDON INC

1000

500

NMSB

NEWMIL BANCORP

500

1000

NNSL

NEWPORT NEWS SAV BK

200

500

NIEX

NIAGARA EXCHANGE CORP

500

1000

NAMC

NORTH AMER NAT'L CORP

500

1000

CBRYA

NORTHLAND CRANB. CL A

500

1000

NWIB

NORTHWEST IL BNCP

200

500

FERTP

NU-WEST INDS PFD A

200

500

NUCM

NUCLEAR METALS INC

500

1000

NUCOW

NUCORP INC WTS C 93

500

200

NUVI

NUVISION INC

500

1000

       

O

     

OWWH

O W OFFICE WAREHOUSE

500

1000

OHSC

OAK HILL SPORTSWEAR

500

1000

OSTNO

OLD STONE PFD B

500

1000

OCGI

OMNI CAP GP INC

500

1000

OFII

OMNI FILMS INT'L INC

500

1000

OPTO

OPTO MECHANIK INC

1000

500

OFSB

ORIENTAL FED SAV BK

200

500

GOSHB

OSHKOSH B'GOSH CL B

500

200

OSHM

OSHMAN'S SPORTING

200

500

OCOMA

OUTLET COMM CL A

500

1000

OXHP

OXFORD HEALTH PLANS

500

1000

       

P

     

PFINA

P&F INDS INC CL A

500

1000

PLAT

PLATINUM TECH

500

1000

PBSF

PACIFIC BANK N A

200

500

PISC

PACIFIC INT'L SVC CORP

500

1000

PBCI

PAMRAPO BNCP INC

500

1000

PVSA

PARKVALE FIN CORP

500

1000

PKWY

PARKWAY CO

200

500

PNTAP

PENTAIR INC PFD 87

500

1000

PBKB

PEOPLES SAV BK BROCKTON

500

1000

PBNB

PEOPLES SAV FIN CORP

200

500

PCEP

PERCEPTION TECH CORP

1000

500

PTRO

PETROMINERALS CORP

500

1000

PHOC

PHOTO CONTROL CORP

200

500

PICOA

PHYSICIANS INS OH CL A

500

1000

POLK

POLK AUDIO INC

200

500

POPEZ

POPE RESOURCE UTS LP

500

200

PREM

PREMIER FIN SVCS

500

200

PSSP

PRICE/STERN/SLOAN

500

1000

PMBS

PRIME BANCSHARES

500

1000

PRFT

PROFFITT'S INC

500

1000

PRGS

PROGRESS SOFTWARE CORP

200

500

PSBK

PROGRESSIVE BANK INC

1000

500

PECN

PUBLISHERS EQUIP CORP

500

1000

PLFC

PULASKI FURNITURE CORP

500

1000

PTNM

PUTNAM TRUST CO

200

500

       

Q

     

QRXI

QUAREX INDS INC

500

1000

       

R

     

RAGS

RAG SHOPS INC

500

1000

RRMN

RAILROADMEN'S FED IND

200

500

RMPO

RAMAPO FINANCIAL CORP

500

200

RARB

RARITAN BANCORP INC

500

200

RATNY

RATNERS GP ADR

500

1000

RCHI

RAUCH INDS INC

200

500

RCOT

RECOTON CORP

500

1000

REED

REEDS JEWELERS INC

200

500

RGEQ

REGENCY EQUITIES CORP

200

500

REGB

REGIONAL BNCP INC

1000

500

RBNC

REPUBLIC BANCORP INC

500

1000

RSLA

REPUBLIC CAP GRP INC

500

1000

RSFC

REPUBLIC SAV FIN CORP

500

200

ROIL

RESERVE INDS CORP

500

1000

PREV

REVERE FUND INC

500

1000

RHEM

RHEOMETRICS INC

500

1000

RFBC

RIVER FOREST BNCP

1000

500

RNRC

RIVERSIDE NAT'L BANK

500

200

RESC

ROANOKE ELEC STEEL

500

1000

ROBC

ROBECINC

500

1000

RMUC

ROCKY MT UNDERGARMENT

500

1000

ROSS

ROSS SYSTEMS INC

500

1000

RULE

RULE INDS INC

500

1000

RBCO

RYAN BECK CO INC

500

200

       

S

     

SCOM

SCS/COMPUTE INC

500

1000

SJNB

SJNB FINANCIAL CORP

200

500

SAFE

SAFETYTEK CORP

200

500

SHRE

SAHARA RESORTS

200

500

SHEF

SANDWICH CHEF INC

1000

500

SWCB

SANDWICH CO-OP BANK

500

1000

SCHR

SCHERER HEALTHCARE

200

500

STIZ

SCIENTIFIC TECH INC

500

200

SCGN

SCIGENICS INC CLLBLE

200

500

SFSL

SECURITY FED SV CLEVELAND

500

200

SECF

SECURITY FIN HLDG CO

500

200

SFGI

SECURITY FIN GRP INC

500

200

SSLN

SECURITY INVESTMENT

500

1000

SNFCA

SECURITY NAT'L FIN CL A

200

500

SSVB

SECURITY SAV FSB

200

500

SENE

SENECA FOODS CORP

200

500

SSBC

SHELTON BNCP INC

200

500

SHOP

SHOPSMITH INC

500

1000

SKII

S-K-I LTD

1000

500

SOMR

SOMERSET GRP INC (THE)

200

500

SCFB

SOUTH CARO FED CORP

500

1000

SECX

SOUTHERN ELECTRON CORP

500

1000

SMIN

SOUTHERN MINERAL CORP

200

500

SSBB

SOUTHINGTON SAV BK

200

500

TXMX

SOUTHWEST CAFES INC

500

1000

SWWC

SOUTHWEST WATER CO

500

1000

SPEK

SPEC'S MUSIC INC

500

1000

SPIR

SPIRE CORP

500

1000

STRSQ

SPROUSE-REITZ

500

1000

SDYNW

STAODYN INC WTS

500

1000

SOTA

STATE OF THE ART INC

200

500

SWVA

STEEL OF WEST VIRGINIA

200

500

STLG

STERLING BANCSHARES

500

1000

SISC

STEWART INFO SVCS CORP

500

1000

SRBC

SUNRISE BNCP CA

500

200

SUPR

SUPER RITE CORP

500

1000

SGTI

SURGICAL TECH INC

500

1000

SUSQ

SUSQUEHANNA BCSHS

1000

500

SYMX

SYMIX SYSTEMS INC

500

1000

     

T

     

TCII

TCI INT'L INC

500

1000

TSCC

TECH SOLUTIONS CO

500

1000

TECN

TECHNALYSIS CORP

500

1000

TLMD

TELEMUNDO GP INC

500

1000

FNOW

THE FUTURE NOW INC

200

500

TMBS

TIMBERLINE SOFTWARE

500

1000

TODDA

TODD-AO CORP CL A

500

200

TKIOY

TOKIO MARINE ADR

500

1000

TOMKY

TOMKINS PLC ADR

200

500

TRKA

TRAK AUTO CORP

500

1000

TRFI

TRANS FIN BNCP INC

200

500

TRNI

TRANS INDS INC

500

1000

TLII

TRANS LEASING INT'L

200

500

TWBC

TRANSWORLD BNCP

200

500

TRST

TRUSTCO BANK CORP NY

500

1000

TRMK

TRUSTMARK CORP

1000

500

       

U

     

UNRIW

UNR INDS INC WTS

1000

500

USHO

U S HOMECARE CORP

200

500

UBSI

UNITED BKSHS INC

500

1000

UCOA

UNITED COASTS CORP

1000

500

UNCF

UNITED COS FINANCIAL

500

1000

UFCS

UNITED FIRE CASUALTY

500

200

UMSB

UNITED MISSOURI BCSH

1000

500

UNEWY

UNITED NEWSPAPER ADR

200

500

UTVI

UNITED TELEVISION

500

1000

TOTE

UNITED TOTE INC

500

1000

       

V

     

VCRE

VARI-CARE INC

1000

500

VRLN

VARLEN CORP

500

1000

VLGEA

VILLAGE SUPER MKT CL A

500

200

       

W

     

WSMP

WSMPINC

200

500

WAIN

WAINWRIGHT BK & TR CO

500

1000

WBNC

WASHINGTON BNCP NJ

1000

500

WFSB

WASHINGTON FED SV VA

200

500

WGNR

WEGENERCORP

500

1000

WLPI

WELLINGTON LEISURE

200

500

WSBC

WESBANCOINC

500

200

WFPR

WESTERN FED SAV PR

200

500

WSTM

WESTERN MICRO TECH

500

1000

WTPR

WETTERAU PROPERTIES

500

200

WCLX

WISCONSIN CENTRAL

500

1000

WCHI

WORKINGMENS CAP HLDG

500

200

       

X

     

XPLR

XPLOR CORP

1000

500

       

Z

     

ZEUS

ZEUS COMPONENTS INC

500

1000

ZIGO

ZYGO CORP

500

1000