SEC NEWS DIGEST Issue 2000-202 October 20, 2000 COMMISSION ANNOUNCEMENTS SEC STAFF RELEASES INTERPRETIVE GUIDANCE FOR REGULATION FD The staff of the Securities and Exchange Commission's Division of Corporation Finance today supplemented its Telephone Interpretations Manual to include some frequently asked questions about the Commission's new Regulation FD. Regulation FD was adopted by the Commission on August 10, 2000, and will become effective on October 23, 2000. The new supplement may be found, along with the Telephone Interpretations Manual and earlier supplements, on the SEC's website (www.sec.gov) at Current SEC Rulemaking/Other Commission Notices and Information. The telephone interpretations include responses to questions given by members of the staff, are informal in nature, and do not necessarily represent the views of the Commission. As the staff receives additional questions concerning Regulation FD, it may add to or revise the interpretations. Anyone with a question concerning Regulation FD or the supplement should call the Division of Corporation Finance's Office of Chief Counsel at (202) 942-2900. (Press Rel. 2000-159) MEDIA ADVISORY - CHAIRMAN LEVITT TO DELIVER ADDRESS AT AICPA CONFERENCE What: Securities and Exchange Commission Chairman Arthur Levitt will deliver an address at the American Institute of Certified Public Accountants' Fall Meeting of Council/Annual Members' Meeting. When: Tuesday, October 24, 2000, 3:20 p.m. MDT Where: Venetian Resort Hotel 3355 Las Vegas Boulevard South Las Vegas, Nevada (Press Rel. 2000-160) RULES AND RELATED MATTERS COMMISSION APPROVES AMENDMENTS TO OPTIONS DOCUMENT DISCLOSURE RULE The Commission has approved technical and clarifying changes to its rule for standardized options disclosure documents. Standardized options are options contracts that relate to options classes with specific expiration dates and exercise prices. The Commission determined that technical changes were necessary to make the language of the rule more precise and to codify current practice as it has evolved over time. For further information contact: Steven Johnston, Special Counsel, Division of Market Regulation at (202) 942-0795. (Rel. 34-43461) INVESTMENT COMPANY ACT RELEASES PROVIDENT INSTITUTIONAL FUNDS, ET AL. A notice has been issued giving interested persons until November 8, 2000, to request a hearing on an application filed by Provident Institutional Funds, et al. for an order exempting applicants from Section 17(a) of the Investment Company Act. The order would permit a registered open-end management investment company to enter into repurchase agreements with an affiliated person. (Rel. IC-24695 - October 18) SELF-REGULATORY ORGANIZATIONS IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGE A proposed rule change filed by the Boston Stock Exchange to amend its Transaction Fee Schedule and Floor Operations Fee Schedule (SR-BSE-00-14) has become immediately effective under Section 19(b)(3)(A)(ii) of the Securities Exchange Act of 1934. (Rel. 34-43458) WITHDRAWALS SOUGHT A notice has been issued giving interested persons until November 8, 2000, to comment on the application of Alcan Aluminum Limited to withdraw its Common Shares, no par value, from listing and registration on the Pacific Exchange and the Chicago Stock Exchange. (Rel. 34-43459) A notice has been issued giving interested persons until November 8, 2000, to comment on the application of The Network Connection, Inc. to withdraw its Common Stock, $.001 par value, and attached Common Stock Purchase Rights from listing and registration on the Boston Stock Exchange. (Rel. 34-43460) SECURITIES ACT REGISTRATIONS The following registration statements have been filed with the SEC under the Securities Act of 1933. The reported information appears as follows: Form, Name, Address and Phone Number (if available) of the issuer of the security; Title and the number and/or face amount of the securities being offered; Name of the managing underwriter or depositor (if applicable); File number and date filed; Assigned Branch; and a designation if the statement is a New Issue. Registration statements may be obtained in person or by writing to the Commission's Public Reference Branch at 450 Fifth Street, N.W., Washington, D.C. 20549 or at the following e-mail box address: . In most cases, this information is also available on the Commission's website: . F-3 INTERNET INITIATIVE JAPAN INC, TAKEBASHI YASUDA BLDG, 3-13 KANDA NISHIKI-CHO CHIYODA-KU, TOKYO 101-0054 JAPAN, M0 00000 - 625 ($51,950,000) FOREIGN COMMON STOCK. (FILE 333-12696 - OCT. 06) F-3 GILAT SATELLITE NETWORKS LTD, C/O GILAT SATELLITE NETWORKS INC, 1651 OLD MEADOW RD, MCLEAN, VA 22102 (703) 734-9401 - 66,153 ($4,820,899.87) FOREIGN COMMON STOCK. (FILE 333-12698 - OCT. 06) (BR. 7) F-10 NORTH AMERICAN PALLADIUM LTD, 111 RICHMOND ST W STE 916, TORONTO ONTARIO CANADA M5H 2G4, A6 - $71,600,800 FOREIGN COMMON STOCK. (FILE 333-12702 - OCT. 10) (BR. 4) F-1 AUTONOMY CORP PLC, ST JOHNS INNOVATION CENTRE COWLEY RD, 44-01223-421-220, CAMBRIDGE CB4 0WS EN, X0 00000 (212) 894-8600 - 7,992,500 ($417,128,575) FOREIGN COMMON STOCK. (FILE 333-12704 - OCT. 10) (BR. 3) F-6 CRUCELL NV /ADR/, ONE WALL ST, NEW YORK, NY 10286 - 20,000,000 ($1,000,000) DEPOSITARY RECEIPTS FOR COMMON STOCK. (FILE 333-12754 - OCT. 10) (BR. 99 - NEW ISSUE) F-3 IIS INTELLIGENT INFORMATION SYSTEMS LTD, YOKNEAM INDUSTRIAL PARK, PO BOX 110, YOKNEAM 20692 ISRAEL, L3 (972) 489-2077 - $265,811.70 FOREIGN COMMON STOCK. (FILE 333-12764 - OCT. 11) (BR. 3) S-8 AT HOME CORP, 450 BROADWAY STREET, REDWOOD CITY, CA 94063 (650) 569- 5000 - 43,000,000 ($404,468,750) COMMON STOCK. (FILE 333-47878 - OCT. 13) (BR. 3) SB-2 IVOICE COM INC /DE, 750 HIGHWAY 34, 210 SOUTH FOURTH AVE, MATAWAN, NJ 07747 (732) 441-7700 - 48,800,100 ($25,993,750) COMMON STOCK. (FILE 333-47880 - OCT. 13) (BR. 9) S-8 INTELLI CHECK INC, 775 PARK AVE, HUNTINGTON, NY 11743 (516) 421-2011 - 1,400,000 ($17,766,000) COMMON STOCK. (FILE 333-47882 - OCT. 13) (BR. 9) S-8 AMERICAN COMMUNICATIONS ENTERPRISES INC, 7103 PINE BLUFFS TRAIL, AUSTIN, TX 78729 (512) 249-2344 - 6,000,000 ($660,000) COMMON STOCK. (FILE 333-47884 - OCT. 13) (BR. 9) S-8 FIRST FEDERAL BANKSHARES INC, 329 PIERCE ST, SIOUX CITY, IA 51101 (712) 277-0200 - 342,550 ($3,137,478.13) COMMON STOCK. (FILE 333-47888 - OCT. 13) (BR. 7) S-4 BERKSHIRE BANCORP INC /DE/, 160 BROADWAY, NEW YORK, NY 10038 (212) 791-5362 - 796,142 ($23,984,653) COMMON STOCK. (FILE 333-47890 - OCT. 13) (BR. 7) S-8 WEBEX COMMUNICATIONS INC, 110 ROSE ORCHARD WAY, SAN JOSE, CA 95134 - 15,086,658 ($388,170,382) COMMON STOCK. (FILE 333-47892 - OCT. 13) (BR. 8) S-8 MRV COMMUNICATIONS INC, 20415 NORDHOFF ST, CHATSWORTH, CA 91311 (818) 773-0900 - 1,200,000 ($52,308,000) COMMON STOCK. (FILE 333-47896 - OCT. 13) (BR. 5) S-8 MRV COMMUNICATIONS INC, 20415 NORDHOFF ST, CHATSWORTH, CA 91311 (818) 773-0900 - 800,000 ($4,800,000) COMMON STOCK. (FILE 333-47898 - OCT. 13) (BR. 5) S-8 MRV COMMUNICATIONS INC, 20415 NORDHOFF ST, CHATSWORTH, CA 91311 (818) 773-0900 - 809,143 ($2,427,429) COMMON STOCK. (FILE 333-47900 - OCT. 13) (BR. 5) S-8 ITXC CORP, 600 COLLEGE ROAD EAST, PRINCETON, NJ 08540 (609) 419-1500 - 574,942 ($6,272,617) COMMON STOCK. (FILE 333-47902 - OCT. 13) (BR. 7) S-8 IDEC PHARMACEUTICALS CORP / DE, 11011 TORREYANA ROAD, SAN DIEGO, CA 92121 (619) 550-8500 - 2,010,000 ($320,595,000) COMMON STOCK. (FILE 333-47904 - OCT. 13) (BR. 1) SB-2 YOUTHLINE USA INC, 4581 USA, HOWELL, NJ 07731 (732) 886-0833 - 58,109,768 ($25,188,000) COMMON STOCK. (FILE 333-47906 - OCT. 13) (BR. 7) S-4 S2 GOLF INC, 18 GLORIA LN, FAIRFIELD, NJ 07004 (201) 227-7783 - 1,000,000 ($399,290) COMMON STOCK. (FILE 333-47908 - OCT. 13) (BR. 5) S-3 CP&L ENERGY INC, 411 FAYETTEVILLE STREET, RALEIGH, NC 27601 (919) 546-6463 - 6,000,000 ($248,062,500) COMMON STOCK. (FILE 333- 47910 - OCT. 13) (BR. 2) S-3 ARROW FINANCIAL CORP, 250 GLEN ST, GLENS FALLS, NY 12801 (518) 745- 1000 - 500,000 ($8,625,000) COMMON STOCK. (FILE 333-47912 - OCT. 13) (BR. 7) S-3 THQ INC, 27001 AGOURA ROAD, SUITE # 325, CALABASAS HILLS,, CA 91301 (818) 871-5000 - 1,000,000 ($21,562,500) COMMON STOCK. (FILE 333-47914 - OCT. 13) (BR. 3) S-4 ALAMOSA HOLDINGS INC, 4430 BROWNFIELD HIGHWAY, LUBBOCK, TX 79407 (806) 722-1100 - 67,966,589 ($828,342,803) COMMON STOCK. (FILE 333- 47916 - OCT. 13) (NEW ISSUE) S-8 GASONICS INTERNATIONAL CORP, 2730 JUNCTION AVE, SAN JOSE, CA 95134 (408) 570-7000 - 200,000 ($2,244,000) COMMON STOCK. (FILE 333-47918 - OCT. 13) (BR. 5) S-3 CISCO SYSTEMS INC, 170 W TASMAN DR, SAN JOSE, CA 95134 (408) 526- 4000 - 1,485,623 ($75,469,648.40) COMMON STOCK. (FILE 333-47920 - OCT. 13) (BR. 3) S-3 CISCO SYSTEMS INC, 170 W TASMAN DR, SAN JOSE, CA 95134 (408) 526- 4000 - 2,343,038 ($119,026,330.40) COMMON STOCK. (FILE 333-47922 - OCT. 13) (BR. 3) SB-2 IDMEDICAL COM INC, 4333 N. 30TH STREET, BOULDER, CO 80301 (303) 447- 8638 - 4,731,500 ($5,841,500) COMMON STOCK. (FILE 333-47924 - OCT. 13) S-4 SECURITY CAPITAL GROUP INC/, 125 LINCOLN AVE, SANTA FE, NM 87501 (505) 982-9292 - 51,154,616 ($975,134,868) COMMON STOCK. (FILE 333- 47926 - OCT. 13) (BR. 8) S-8 OPLINK COMMUNICATIONS INC, 2381 ZANKER ROAD SUITE 150, 408-433-0606, SAN JOSE, CA 95131 - 51,596,016 ($681,455,928.48) COMMON STOCK. (FILE 333-47928 - OCT. 13) (BR. 5) S-8 SICOR INC, 19 HUGHES, IRVINE, CA 92618 (949) 455-4700 - 10,000 ($104,400) COMMON STOCK. (FILE 333-47932 - OCT. 13) (BR. 1) S-8 SICOR INC, 19 HUGHES, IRVINE, CA 92618 (949) 455-4700 - 600,000 ($6,264,000) COMMON STOCK. (FILE 333-47934 - OCT. 13) (BR. 1) S-8 SMARTSERV ONLINE INC, METRO CENTER, ONE STATION PLACE, STAMFORD, CT 06902 (203) 353-5950 - 575,000 ($9,037,500) COMMON STOCK. (FILE 333- 47936 - OCT. 13) (BR. 3) S-3 CONSUMERS FUNDING LLC, 212 W. MICHIGAN AVE, JACKSON, MI 49201 - 1,000,000 ($1,000,000) STRAIGHT BONDS. (FILE 333-47938 - OCT. 13) (NEW ISSUE) S-8 ROBINSON NUGENT INC, 800 E EIGHTH ST, PO BOX 1208, NEW ALBANY, IN 47151 (812) 945-0211 - 500,000 ($9,109,375) COMMON STOCK. (FILE 333-47944 - OCT. 13) (BR. 5) S-3 RENAL CARE GROUP INC, 2100 WEST END AVENUE, SUITE 800, NASHVILLE, TN 37203 (615) 345-5500 - 262,571 ($5,013,530.68) COMMON STOCK. (FILE 333-47946 - OCT. 13) (BR. 1) S-3 ADVANCED RADIO TELECOM CORP, 500 108TH AVE NE, SUITE 2600, BELLEVUE, WA 98004 (425) 688-8700 - 9,698,166 ($65,462,620) COMMON STOCK. (FILE 333-47948 - OCT. 13) (BR. 7) S-8 FREEREALTIME COM INC, 3333 MICHELSON DRIVE, SUITE 430, IRVINE, CA 92612 (949) 833-2959 - 2,500,000 ($8,800,000) COMMON STOCK. (FILE 333-47950 - OCT. 13) (BR. 9) S-3 QUOKKA SPORTS INC, 525 BRANNAN STREET, GROUND FLOOR, SAN FRANCISCO, CA 94107 (415) 908-3800 - 34,198,758 ($97,252,718) COMMON STOCK. (FILE 333-47952 - OCT. 13) (BR. 5) S-8 SIRIUS SATELLITE RADIO INC, 1221 AVENUE OF THE AMERICAS, 36TH FLOOR, NEW YORK, NY 10020 (212) 899-5000 - 50,000 ($2,443,750) COMMON STOCK. (FILE 333-47954 - OCT. 13) (BR. 7) S-8 NCT GROUP INC, 20 KETCHUM ST, WESTPORT, CT 06880 (203) 226-4447 - 20,000,000 ($7,080,125) COMMON STOCK. (FILE 333-47956 - OCT. 13) (BR. 5) S-4 AT HOME CORP, 450 BROADWAY STREET, REDWOOD CITY, CA 94063 (650) 569- 5000 - 12,275,382 ($7,765.44) COMMON STOCK. (FILE 333-47958 - OCT. 13) (BR. 3) S-8 MAGNA LAB INC, 6800 JERICHO TURNPIKE #120W, SYOSSET, NY 11797 (516) 393-5874 - 13,000,000 ($5,347,475) COMMON STOCK. (FILE 333-47960 - OCT. 13) (BR. 5) SB-2 2 INFINITY INC, 4828 LOOP CENTRAL DRIVE, SUITE 150, HOUSTON, TX 77081 (713) 592-0371 - 29,278,316 ($5,270,096.88) COMMON STOCK. (FILE 333- 47962 - OCT. 13) (BR. 9) S-3 TERREMARK WORLDWIDE INC, 599 LEXINGTON AVE, 49TH FL, NEW YORK, NY 10022 (212) 319-9160 - 412,500 ($961,125) COMMON STOCK. (FILE 333-47964 - OCT. 13) (BR. 7) S-4 WASTE HOLDINGS INC, 3301 BENSON DR, STE 601, RALEIGH, NC 27609 (919) 325-4000 - 13,710,000 ($97,683,750) COMMON STOCK. (FILE 333- 47966 - OCT. 13) (NEW ISSUE) S-8 US BANCORP \DE\, FIRST BANK PL, 601 SECOND AVE S, MINNEAPOLIS, MN 55402 (612) 973-1111 - 327,194 ($6,574,554.44) COMMON STOCK. (FILE 333-47968 - OCT. 13) (BR. 7) SB-2 CAMCAP INC, 7315 PEAKVIEW AVENUE, ENGLEWOOD, CO 80111 (720) 529-3550 - 3,029,870 ($3,029.87) COMMON STOCK. (FILE 333-47970 - OCT. 13) (NEW ISSUE) S-8 REDBACK NETWORKS INC, 1195 BORREGAS AVE, SUNNYVALE, CA 94089 (408) 548-3500 - 1,162,188 ($4,114,145.52) COMMON STOCK. (FILE 333- 47972 - OCT. 13) (BR. 8) S-2 SOUTHSIDE BANCSHARES INC, 1201 S BECKHAM, TYLER, TX 75701 (903) 531- 7111 - 1,725,000 ($17,250,000) PREFERRED STOCK. (FILE 333-47974 - OCT. 13) (BR. 7) S-1 PEETS COFFEE & TEA INC, 1400 PARK AVE, EMERYVILLE, CA 94608 (510) 594-2147 - 3,795,000 ($53,130,000) COMMON STOCK. (FILE 333-47976 - OCT. 13) S-2 KERAVISION INC /DE/, 48630 MILMONT DR, FREMONT, CA 94538 (510) 353- 3000 - 3,760,706 ($10,576,985.63) COMMON STOCK. (FILE 333-47978 - OCT. 13) (BR. 5) S-8 KEYNOTE SYSTEMS INC, 2855 CAMPUS DRIVE, SAN MATEO, CA 94403 (650) 522-1000 - 23,659 ($61,986.58) COMMON STOCK. (FILE 333-47980 - OCT. 13) (BR. 8) S-4 BRITTON & KOONTZ CAPITAL CORP, 500 MAIN ST, P O BOX 1407, NATCHEZ, MS 39120 (601) 445-5576 - 368,795 ($3,882,000) COMMON STOCK. (FILE 333- 47982 - OCT. 16) (BR. 7) RECENT 8K FILINGS Form 8-K is used by companies to file current reports on the following events: Item 1. Changes in Control of Registrant. Item 2. Acquisition or Disposition of Assets. Item 3. Bankruptcy or Receivership. Item 4. Changes in Registrant's Certifying Accountant. Item 5. Other Materially Important Events. Item 6. Resignations of Registrant's Directors. Item 7. Financial Statements and Exhibits. Item 8. Change in Fiscal Year. Item 9. Regulation S Offerings. The following companies have filed 8-K reports for the date indicated and/or amendments to 8-K reports previously filed, responding to the item(s) of the form specified. 8-K reports may be obtained in person or by writing to the Commission's Public Reference Branch at 450 Fifth Street, N.W., Washington, D.C. 20549 or at the following e-mail box address: . In most cases, this information is also available on the Commission's website: . STATE 8K ITEM NO. NAME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE COMMENT -------------------------------------------------------------------------- ABAXIS INC CA X X 10/04/00 ABN AMRO MORTGAGE CORP DE X 08/25/00 ABN AMRO MORTGAGE CORP DE X 08/25/00 ABN AMRO MORTGAGE CORP SERIES 1998- DE X 08/25/00 2 ABN AMRO MORTGAGE CORP SERIES 1998- DE X 08/25/00 2 ADMIRALTY BANCORP INC DE X X 10/13/00 ADVANCED MICRO DEVICES INC DE X X 10/11/00 AGL RESOURCES INC GA X X 10/06/00 AIRTRAN HOLDINGS INC NV X X 10/16/00 ALLETE MN X 10/18/00 AMERICAN AIRLINES INC DE X 10/18/00 AMERICAN HONDA RECEIVABLES CORP CA X 10/18/00 AMERICAN TELESOURCE INTERNATIONAL I TX X X 10/16/00 NC AMG OIL LTD NV X 10/03/00 AMM HOLDINGS INC DE X X X 10/04/00 AMR CORP DE X 10/18/00 ANCHOR HOLDINGS INC DE X X X 10/04/00 ATLANTIC CITY BOARDWALK ASSOCIATES NJ X X 06/30/00 LP AUTO NATIONS RECEIVABLES CORP DE X X 08/10/00 AUTOLEND GROUP INC DE X X 09/28/00 AVIRON DE X X 10/10/00 AVNET INC NY X X 10/12/00 AXA FINANCIAL INC DE X X 10/17/00 BACOU USA INC DE X X 10/17/00 BALLY TOTAL FITNESS HOLDING CORP DE X X 10/19/00 BANK ONE CORP DE X X 10/17/00 BEAR STEARNS COMMERCIAL MORTGAGE SE DE X X 10/05/00 CURITIES INC BELL MICROPRODUCTS INC CA X X 10/18/00 BELLSOUTH CORP GA X 10/19/00 BENEDEK COMMUNICATIONS CORP X X 10/18/00 BIOZHEM COSMECEUTICALS INC TX X 01/16/00 BLACK & DECKER CORP MD X X 10/18/00 BOMBARDIER CREDIT RECEIVABLES CORP DE X X 10/05/00 BRIDGE BANCORP INC NY X 10/31/00 BRILLIANT DIGITAL ENTERTAINMENT INC DE X 10/12/00 BROADCOM CORP CA X X 10/03/00 BROADCOM CORP CA X X 10/17/00 BUTLER NATIONAL CORP DE X 10/18/00 C ME RUN CORP DE X X 10/11/00 CACHE INC FL X 10/19/00 CAPSTRA CAPITAL CORP DC X 10/16/00 CAPTEX CAPITAL INC X 10/16/00 CARCO AUTO LOAN MASTER TRUST DE X X 10/17/00 CDSI HOLDINGS INC DE X X 10/05/00 CEPHALON INC DE X X 10/10/00 CHASE MANHATTAN CORP /DE/ DE X X 10/18/00 CHELL GROUP CORP NY X X 10/12/00 CHYSLER FINANCIAL RECEIVABLES CORP MI X X 10/17/00 CITIBANK SOUTH DAKOTA N A DE X 09/26/00 CITICORP DE X 10/10/00 CITICORP DE X 10/17/00 CITICORP MORTGAGE SECURITIES INC DE X 10/19/00 CITIGROUP INC DE X 10/17/00 COACHMEN INDUSTRIES INC IN X X 10/18/00 COLONIAL BANCGROUP INC DE X 10/18/00 COMMERCIAL FEDERAL CORP NE X X 10/12/00 COMMONWEALTH BANCORP INC PA X X 10/17/00 COMMONWEALTH EDISON CO IL X 10/19/00 COMMUNICATIONS WORLD INTERNATIONAL CO X X 10/04/00 INC COMPUTER TASK GROUP INC NY X 10/18/00 CONSECO FINANCE CORP DE X 10/18/00 CONSECO FINANCE SECURITIZATIONS COR DE X 10/18/00 P CYBERBOTANICAL INC NV X X 10/17/00 DAIMLERCHRYSLER WHOLESALE RECEIVABL DE X X 10/17/00 ES LLC DAMARK INTERNATIONAL INC MN X X 09/29/00 AMEND DELTA FUNDING CORP /DE/ NY X X 09/28/00 DIAL CORP /NEW/ DE X 10/18/00 DISCOVER CARD MASTER TRUST I DE X X 10/19/00 DLJ COMMERCIAL MORTGAGE CORP DE X X 10/16/00 DONALDSON CO INC DE X 10/19/00 DRUCKER INDUSTRIES INC DE X X X 10/18/00 DT INDUSTRIES INC DE X X 10/18/00 DVI RECEIVABLES CORP DE X 09/30/00 DVI RECEIVABLES CORP VIII DE X 09/30/00 DWFCM INTERNATIONAL ACCESS FUND LP DE X 10/11/00 DYNEX CAPITAL INC VA X 10/18/00 EAGLE WIRELESS INTERNATIONAL INC TX X X 09/22/00 EDGAR ONLINE INC DE X X 10/19/00 EL PASO ENERGY CORP/DE DE X 10/18/00 ELECTRONIC CLEARING HOUSE INC NV X 10/11/00 EMC INSURANCE GROUP INC IA X X 10/20/00 ENTERGY CORP /DE/ DE X X 10/19/00 ENTERGY LOUISIANA INC LA X X 10/19/00 EVERGREEN RESOURCES INC CO X X 10/18/00 EVTC INC DE X 10/10/00 EXPRESS SCRIPTS INC DE X 10/17/00 FARMERS & MERCHANTS BANCORP DE X 10/16/00 FDN INC CO X X X 10/07/00 FIELDWORKS INC MN X X 10/19/00 FINANCIAL ASSET SECURITIES CORP DE X 10/17/00 FINANCIAL ASSET SECURITIES CORP DE X X 10/17/00 FINANCIAL FEDERAL CORP NV X 10/19/00 FIRST ALLIANCE CORP /DE/ DE X X 10/12/00 FIRST SIERRA RECEIVABLES II INC DE X X 10/01/00 FIRST SIERRA RECEIVABLES III INC DE X X 10/01/00 FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION COMMERCIAL MORTGAGE SEC NC X 08/25/00 URITIES INC FIRST UNION MASTER CREDIT CARD TRUS X X 10/16/00 T FLEMING COMPANIES INC /OK/ OK X 10/18/00 FORD MOTOR CO DE X X 10/18/00 FORD MOTOR CREDIT CO DE X X 10/18/00 FORT JAMES CORP VA X 10/19/00 FREESHOP COM INC WA X X 10/18/00 FREESOFTWARECLUB COM DE X 10/13/00 FRM NEXUS INC DE X 10/04/00 GAYLORD ENTERTAINMENT CO /DE DE X 10/19/00 GENESEE CORP NY X 10/19/00 GEORGIA PACIFIC CORP GA X X 10/18/00 GIGA INFORMATION GROUP INC DE X X 10/18/00 GLOBALSTAR LP DE X 09/22/00 GLOBALSTAR TELECOMMUNICATIONS LTD DE X 09/22/00 GOLDEN OPPORTUNITY DEVELOPMENT CORP LA X X 10/17/00 GOLDEN STAR RESOURCES LTD X 10/12/00 GREAT AMERICAN BANCORP INC DE X X 10/17/00 GREAT AMERICAN GOLF WORKS INC DE X X 07/19/00 AMEND GREATESTESCAPES COM INC NV X 10/16/00 GREENVOLT POWER CORP X X X X 07/29/00 AMEND HANOVER DIRECT INC DE X X 10/03/00 HARLEY DAVIDSON CREDIT CORP NV X X 10/31/00 HARLEY DAVIDSON CREDIT CORP NV X X 10/31/00 HASBRO INC RI X X 10/19/00 HAVANA GROUP INC DE X X 08/04/00 AMEND HAVEN BANCORP INC DE X 10/19/00 HELLER FINANCIAL INC DE X X 10/18/00 HIGH SPEED NET SOLUTIONS INC FL X X X X X X X 04/21/00 AMEND HONDA AUTO RECEIVABLES 1997-B GRANT CA X 09/30/00 OR TRUST HONDA AUTO RECEIVABLES 1999-1 OWNER CA X 09/30/00 TRUST HOUSEHOLD INTERNATIONAL INC DE X X 09/30/00 HUNTINGTON BANCSHARES INC/MD MD X X 10/17/00 HYPERMEDIA COMMUNICATIONS INC CA X 10/18/00 IBEAM BROADCASTING CORP DE X X 10/03/00 IMPERIAL PETROLEUM RECOVERY CORP NV X X 10/17/00 IMS HEALTH INC DE X 10/03/00 INCOMNET INC CA X X 05/22/00 INTEG INCORP MN X X 10/03/00 INTEGRATED BUSINESS SYSTEMS & SERVI SC X X 07/25/00 CES INC INTEL CORP DE X X 10/17/00 INTERCOUNTY BANCSHARES INC OH X 10/16/00 INTERFACE E COM INC X X 10/16/00 INTERNATIONAL FAST FOOD CORP FL X X 10/16/00 INTERNATIONAL PAPER CO /NEW/ NY X X 10/18/00 INTERNATIONAL REALTY GROUP INC DE X X 10/17/00 INTERNET LAW LIBRARY INC DE X X X 10/01/00 AMEND INTERWORLD CORP DE X 10/12/00 INVERNESS MEDICAL TECHNOLOGY INC/DE DE X X 10/16/00 AMEND IRWIN FINANCIAL CORPORATION IN X 10/13/00 IXYS CORP /DE/ DE X 10/17/00 I2 TECHNOLOGIES INC DE X X 10/17/00 KELLYS COFFEE GROUP INC CO X X 10/17/00 KERR MCGEE CORP DE X 10/17/00 KEYCORP /NEW/ OH X X 10/17/00 KING PHARMACEUTICALS INC TN X 10/19/00 KITTY HAWK INC DE X X 10/10/00 KMG CHEMICALS INC TX X X X 10/18/00 LATIN AMERICAN CASINOS INC DE X X 10/04/00 LEARNCOM INC /NV/ NV X X 06/26/00 AMEND LEGALOPINION COM NV X 09/18/00 AMEND LIFEPOINT HOSPITALS INC DE X X 10/19/00 LIVEPERSON INC DE X X 10/12/00 LODGENET ENTERTAINMENT CORP DE X 10/18/00 LONE STAR TECHNOLOGIES INC DE X X 10/16/00 MANUFACTURED HOUS CONT SEN SUB PASS TN X X 10/18/00 THR CERT SERIES 2000B MARINE SHUTTLE OPERATIONS INC NV X X 10/13/00 MDI ENTERTAINMENT INC DE X 10/11/00 MEDQUIST INC NJ X 10/19/00 MELLON FINANCIAL CORP PA X X 10/16/00 MERCANTILE CREDIT CARD MASTER TRUST NY X X 10/05/00 MERIDIAN HOLDINGS INC CO X X 10/17/00 MGIC INVESTMENT CORP WI X 10/17/00 MILLS CORP DE X X 10/03/00 MIM CORP DE X X X 08/04/00 AMEND MMI PRODUCTS INC DE X X 12/30/00 MOLL INDUSTRIES INC DE X X X 10/04/00 MORGAN J P & CO INC DE X X 10/18/00 MORGAN J P COMMERCIAL MORTGAGE FINA DE X X 10/04/00 NCE CORP MORGAN J P COMMERCIAL MORTGAGE FINA DE X 10/15/00 NCE CORP NATIONAL REHAB PROPERTIES NV INC NV X 09/12/00 NATIONAL WESTERN LIFE INSURANCE CO CO X 10/13/00 NAVISTAR FINANCIAL RETAIL RECEIVABL DE X X 10/17/00 ES CORPORATION NEOFORMA COM INC DE X X 10/18/00 NIKU CORP DE X 08/04/00 AMEND NORTH AMERICAN SCIENTIFIC INC DE X X 10/13/00 NOVAVAX INC DE X X 10/04/00 NOVOSTE CORP /FL/ FL X X 10/18/00 OAKWOOD MORTGAGE INVESTORS INC OMI PA X X 10/15/00 TRUST 1999-C OAKWOOD MORTGAGE INVESTORS INC OMI PA X X 10/15/00 TRUST 1999-D OAKWOOD MORTGAGE INVESTORS INC OMI NV X X 10/15/00 TRUST 2000-B OCEAN POWER CORP DE X X X 08/10/00 AMEND OLD KENT FINANCIAL CORP /MI/ MI X X 10/18/00 OLD KENT FINANCIAL CORP /MI/ MI X 10/23/00 OMI TRUST 1999 E PA X X 10/15/00 OMI TRUST 2000 A PA X X 10/15/00 OMI TRUST 2000-C NC X X 10/15/00 ORIX CREDIT ALLIANCE RECEIVABLES 20 DE X X 10/31/00 00 B CORP OWENS CORNING DE X 10/05/00 PACIFIC SANDS INC NV X 10/11/00 AMEND PACIFIC SOFTWORKS INC CA X 12/31/00 PAN INTERNATIONAL HOLDINGS INC DE X 10/05/00 PAN WESTERN ENERGY CORP OK X X X 07/31/00 PARAMARK ENTERPRISES INC DE X X 10/09/00 PEAPOD INC DE X X 10/12/00 PEOPLES SIDNEY FINANCIAL CORP DE X X 10/19/00 PEP BOYS MANNY MOE & JACK PA X X 09/18/00 PERITUS SOFTWARE SERVICES INC MA X X 10/16/00 PITNEY BOWES INC /DE/ DE X 09/30/00 PLAYBOY ENTERPRISES INC DE X X 10/19/00 PMI GROUP INC DE X 10/18/00 PRAXAIR INC DE X 10/19/00 PROFESSIONAL WRESTLING ALLIANCE COR DE X X X 08/11/00 AMEND P PROGRESS FINANCIAL CORP DE X 09/30/00 PROLONG INTERNATIONAL CORP NV X 10/06/00 PROTECTIVE LIFE CORP DE X 10/19/00 PROVIDENT BANKSHARES CORP MD X 10/18/00 PRUDENTIAL SECURITIES SECURED FINAN DE X X 09/15/00 CING CORP PRUDENTIAL SECURITIES SECURED FINAN DE X X 10/01/00 CING CORP PSEG ENERGY HOLDINGS INC X X 10/17/00 PUBLIC SERVICE CO OF NEW MEXICO NM X 10/19/00 PUBLIC SERVICE ELECTRIC & GAS CO NJ X X 10/17/00 PUBLIC SERVICE ENTERPRISE GROUP INC NJ X X 10/17/00 PUGET SOUND ENERGY INC WA X 10/19/00 QUEST NET CORP FL X 10/18/00 QUINTILES TRANSNATIONAL CORP NC X X 10/19/00 RAMP NETWORKS INC DE X X 10/17/00 REGIONS FINANCIAL CORP DE X X 10/18/00 RIGHT START INC /CA CA X 09/01/00 AMEND SAGENT TECHNOLOGY INC DE X X 10/13/00 SALOMON BROTHERS MORT SEC TRUST VII DE X X 10/18/00 INC COMMERCIAL - C2 SALOMON BROTHERS MORT SEC VII COM M DE X X 12/20/99 OR PAS THR CER SE 1999-C1 SALOMON BROTHERS MORT SEC VII INC C DE X X 08/18/00 OM PAS THR CER SE 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WATCHGUARD TECHNOLOGIES INC DE X X 10/04/00 WAVETECH INTERNATIONAL INC NV X X X 10/13/00 WERNER ENTERPRISES INC NE X X 10/17/00 WESTERN DIGITAL CORP DE X 09/06/00 WIDEPOINT CORP DE X X 09/29/00 WILSHIRE FINANCIAL SERVICES GROUP I DE X X 10/06/00 AMEND NC WORLD FINANCIAL NETWORK NATIONAL BA OH X 10/16/00 NK WORTHINGTON INDUSTRIES INC OH X X 10/13/00 WSI INTERACTIVE CORP X X 10/18/00 WYNDHAM INTERNATIONAL INC DE X X 10/16/00 XIRCOM INC CA X X 10/17/00 YELLOW CORP DE X 10/19/00 ZIASUN TECHNOLOGIES INC NV X 10/10/00 3D IMAGE TECHNOLOGY INC /GA/ DE X 10/12/00