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Market Week In Review - Friday August 30, 2002
The Stock Smart Composite fell -2.44%, including 5,519 Stocks traded on the three major US Exchanges. The DOW JONES 30 INDUSTRIAL unchanged to 9109.52, unchanged points, the NASD COMBINED COMP INDEX unchanged to 1391.06, unchanged points, the AMEX COMPOSITE INDEX unchanged to 883.94, unchanged points, the S&P 500 INDEX unchanged to 953.98, unchanged points, the RUSSELL 2000 INDEX unchanged to 428.7, unchanged points. Decliners led advancers, with 3,163 Stocks down and 2,165 up, while 172 closed unchanged for the Week. Large-Caps(> $1.5B) fell -2.49%, Mid-Caps($200MM - $1.5B) fell -2.15%, Small-Caps($50MM - $199MM) fell -1.80% and Micro-Caps(< $50MM) fell -0.88%.

Total Wealth of $<288.0> Billion was lost this Week, including $<194.4> Billion on the NYSE, $<94.3> Billion on the NASDAQ, and $0.0 Billion on the AMEX.
Industry Groups
Parent Industries
Best Performers
Tobacco +4.60%
Mining & Metals +1.25%
Real Estate +1.12%
Aerospace & Defense +0.53%
Banking +0.18%
Auto -0.78%
Consumer Products & Services -0.78%
Chemicals -1.00%
Materials & Construction -1.22%
Energy -1.24%
Worst Performers
Electronics -7.05%
Technology -5.93%
Insurance -3.24%
Services -3.13%
Health -3.01%
Travel & Transportation -2.94%
Telecom -2.70%
Durables -2.38%
Financial -2.06%
Food & Beverage -1.93%
Sub-Industries
Best Performers
Gold & Precious Metals +10.10%
Catering, Cleaning & Repair +2.51%
Defense +1.66%
Consumer Services +1.24%
Education & Training +1.07%
S&L's +1.00%
Recreation Equipment +0.74%
Mid-Cap Banks +0.73%
Real Estate +0.73%
Packaging +0.64%
Worst Performers
Semiconductors -9.04%
Computer Peripherals -8.27%
Electronic Components & Parts -7.43%
Consumer Electronics -7.09%
Biomedics -6.18%
Trucking -6.04%
Internet Products & Services -5.95%
Software & Services -5.93%
Computers -5.90%
Diversified Electronics -5.76%
Stocks
Best Performers - Large-Caps(> $1.5B)
QWEST COMMUNICATIONS INT(Q) +20.82%
TVX GOLD INC(TVX) +18.06%
LUCENT TECHNOLOGIES INC(LU) +15.33%
PLACER DOME INC(PDG) +14.60%
UNIBANCO HOLDINGS SA(UBB) +12.16%
Best Performers - Mid-Caps(< $1.5B)
GLOBAL TECHNOVATIONS INC(GTN) +8,292.86%
MICROSTRATEGY INC(MSTR) +2,252.08%
BROADVISION INC(BVSN) +436.96%
GENERAL SEMICONDUCTOR IN(SEM) +39.52%
XM SATELLITE RADIO HOLDI(XMSR) +36.06%
Best Performers - Small-Caps(< $200MM)
OPTICAL CABLE CORP(OCCF) +616.67%
COREL CORP(CORL) +78.67%
GENE LABS TECHNOLOGIES(GNLB) +63.95%
SOHU.COM INC(SOHU) +55.60%
CADIZ LAND COMPANY INC(CLCI) +49.08%
Best Performers - Micro-Caps(< $50MM)
EXTENSITY INC(EXTN) +120.51%
ASSOCIATED AUTOMATIVE GR(AAGI) +100.00%
NETCRUISE.COM INC(NETC) +54.72%
SMITHWAY MOTOR XPRESS(SMXC) +49.17%
TURBOCHEF INC(TRBO) +38.75%

Worst Performers - Large-Caps(> $1.5B)
HEALTHSOUTH CORPORATION(HRC) -54.82%
PEOPLESOFT INC(PSFT) -19.88%
SPRINT CORP PCS GROUP(PCS) -18.52%
AGILENT TECHNOLOGIES INC(A) -16.17%
CHARTERED SEMICONDUCTOR (CHRT) -16.01%
Worst Performers - Mid-Caps(< $1.5B)
SEMTECH CORP(SMTC) -31.66%
RIVERDEEP GROUP PLC(RVDP) -21.61%
MAXTOR CORP(MXO) -20.73%
WESTERN DIGITAL CORP(WDC) -20.39%
CROWN MEDIA HOLDINGS INC(CRWN) -20.23%
Worst Performers - Small-Caps(< $200MM)
FOCAL COMMUNICATIONS COR(FCOM) -38.32%
TRITON PCS HOLDINGS INC(TPC) -31.12%
CULP INC(CFI) -26.01%
VERTICALNET INC(VERT) -25.93%
SITEL CORP(SWW) -25.68%
Worst Performers - Micro-Caps(< $50MM)
US LIQUIDS INC(USL) -43.90%
FACTUAL DATA CORP(FDCC) -38.87%
CRYOLIFE INC(CRY) -31.68%
LCC INTERNATIONAL INC(LCCI) -26.59%
INNOVEX INC(INVX) -26.09%
Mutual Funds
Funds (over 10MM assets)
Best Performers
Worst Performers
Fund Families
Best Performers
Worst Performers
Fund Managers
Best Performers
Worst Performers
Fund Types
Best Performers
Worst Performers
Bellweather Stocks
Company/Ticker +/- Mkt. Cap(MM$) % +/-
GENERAL ELECTRIC CO(GE) -20,874.24 -6.51%
MICROSOFT CORP(MSFT) -16,822.99 -6.01%
EXXON MOBIL CORP(XOM) -5,153.31 -2.07%
WAL-MART STORES INC(WMT) +1,295.24 +0.55%
PFIZER INC(PFE) -9,218.04 -4.23%
BP PLC(BP) -4,273.55 -2.38%
CITIGROUP INC(C) -6,433.75 -3.68%
JOHNSON & JOHNSON(JNJ) -1,562.65 -0.93%
AMERICAN INTL GROUP INC(AIG) -7,208.25 -4.20%
INTL BUSINESS MACHINES CORP(IBM) -8,647.66 -6.24%
COCA COLA CO(KO) -4,227.51 -3.23%
PROCTER & GAMBLE CO(PG) -2,282.72 -1.77%
MERCK & CO INC(MRK) -4,718.88 -3.88%
BANK OF AMERICA CORP(BAC) +1,089.96 +0.98%
INTEL CORP(INTC) -8,679.12 -7.18%
PHILIP MORRIS CO INC(MO) +5,447.66 +5.15%
CISCO SYSTEMS INC(CSCO) -4,620.43 -4.36%
WELLS FARGO & CO(WFC) +938.56 +1.07%
VERIZON COMMUNICATIONS INC(VZ) -1,763.81 -2.02%
SBC COMMUNICATIONS INC(SBC) -5,287.72 -5.93%
Largest Mutual Funds
Fund Name Assets(MM$) % +/- NAV



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