SEC NEWS DIGEST Issue 2002-140 July 22, 2002 ENFORCEMENT PROCEEDINGS IN THE MATTER OF HIGHTEC, INC. The common stock registration of Hightec, Inc., has been revoked. An administrative law judge ordered the sanction on July 19, 2002. In finding Hightec, Inc., in default, the administrative law judge determined that it failed to comply with Sections 13(a) and 10(b) of the Exchange Act and Rules 13a-1, 13a-11, 13a-13, and 10b-5 thereunder. Pursuant to Section 12(j), Hightec, Inc.'s common stock registration was revoked. (Rel. 34-46320; File No. 3-10768) SEC INSTITUTES PENNY STOCK BARS IN CONNECTION WITH TEL-ONE, INC. PUMP-AND- DUMP SCHEME The Commission announced that on July 22 it instituted orders barring George Carapella (Carapella), Alan Lipstein (Lipstein) and George LaFauci (LaFauci) from participating in any offering of a penny stock. The orders followed civil proceedings brought by the Commission in January 2002 alleging that Carapella, Lipstein, LaFauci, and others, were involved in a pump-and-dump scheme involving the common stock of Tel-One, Inc. The orders found that in connection with those civil proceedings, on July 12, 2002, Carapella, Lipstein and LaFauci were permanently enjoined from future violations of the antifraud provisions of the federal securities laws, and ordered to pay disgorgement and civil money penalties. Carapella, Lipstein and LaFauci consented to the civil injunction and penny stock bars without admitting or denying the Commission's findings. (Carapella - Rel. 34-46240, File No. 3-10840; Lipstein - Rel. 34-46241, File No. 3-10841; LaFauci - Rel. 34-46242, File No. 3-10842) INVESTMENT COMPANY ACT RELEASES MATRIX CAPITAL GROUP, INC. AND MATRIX UNIT TRUST A notice has been issued giving interested persons until August 13, 2002, to request a hearing on an application filed by Matrix Capital Group, Inc. (Depositor) and Matrix Unit Trust for an order: (a) under Section 6(c) of the Investment Company Act (Act) for exemptions from Sections 2(a)(32), 2(a)(35), 22(d) and 26(a)(2)(C) of the Act and Rule 22c-1 thereunder to permit certain unit investment trusts to impose sales charges on a deferred basis and waive the deferred sales charge in certain cases; (b) under Sections 11(a) and 11(c) of the Act to approve certain exchange and rollover privileges; and (c) under Section 6(c) of the Act for exemptions from Sections 14(a) and 19(b) of the Act and Rule 19b-1 thereunder to permit the unit investment trust series to publicly offer their units without the Depositor having to take for its own account or place with others $100,000 worth of units, and to permit the trust series to distribute capital gains resulting from the sale of portfolios securities within a reasonable time after receipt. (Rel. IC- 25667 - July 19) MATRIX UNIT TRUST, ET AL. A notice has been issued giving interested persons until August 13, 2002, to request a hearing on an application filed by Matrix Unit Trust and Matrix Capital Group, Inc. Applicants request an order (a) under Section 12(d)(1)(J) of the Investment Company Act to permit certain series of registered unit investment trusts to offer and sell their units to the public with a sales load that exceeds the 1.5% limit in Section 12(d)(1)(F)(ii) of the Act; and (b) under Sections 6(c) and 17(b) of the Act for an exemption from Section 17(a) of the Act to permit the trust series to invest in affiliated registered investment companies within the limits of Section 12(d)(1)(F) of the Act. (Rel. IC- 25668 - July 19) SELF-REGULATORY ORGANIZATIONS APPROVAL OF PROPOSED RULE CHANGES The Commission granted permanent approval of proposed rule change and Amendment Nos. 1 and 2 thereto, and noticed and granted accelerated approval to Amendment No. 3 thereto, by the Philadelphia Stock Exchange relating to new product allocations (SR-Phlx-2001-63). (Rel. 34-46214) The Commission approved a proposed rule change and issued notice of filing and granted accelerated approval to Amendment No. 1 to the proposed rule change submitted by the New York Stock Exchange (SR-NYSE- 2001-18) relating to NYSE Rule 72 regarding clean crosses of orders of 100,000 shares or more, and providing that a specialist may not effect a proprietary transaction to provide price improvement to one side of a clean cross or the other. (Rel. 34-46227) The Commission approved a proposed rule change submitted by the National Association of Securities Dealers (SR-NASD-2002-73) relating to Nasdaq Testing Facility fees, and adding the ability to test computer-to- computer interface, application programming interface, and market data vendor feeds over dedicated circuits. (Rel. 34-46234) IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGES A proposed rule change (SR-ISE-2002-15) filed by the International Stock Exchange to eliminate position and exercise limits for certain qualified hedge strategies has become effective under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication of the proposal is expected in the Federal Register during the week of July 22. (Rel. 34- 46228) A proposed rule change filed by the Chicago Stock Exchange to reduce or eliminate certain transaction credit programs for specialists (SR-CHX- 2002-22) has become effective under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication of the proposal is expected in the Federal Register during the week of July 22. (Rel. 34- 46231) A proposed rule change filed by the National Association of Securities Dealers to reinstate a transaction credit pilot program for exchange- listed securities (SR-NASD-2002-94) has become effective under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication of the proposal is expected in the Federal Register during the week of July 22. (Rel. 34-46232) 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: . S-1 ABLEAUCTIONS COM INC, 7303 EAST EARLL DR, SCOTTSDALE, AZ, 85251, 6045212253 - 293,750 ($96,937.50) Equity, (File 333-96723 - Jul. 19) (BR. 08) S-8 CONVERGYS CORP, 201 EAST FOURTH STREET, CINCINNATI, OH, 45202, 5133975364 - 8,000,000 ($126,640,000.00) Equity, (File 333-96727 - Jul. 19) (BR. 03) S-8 CONVERGYS CORP, 201 EAST FOURTH STREET, CINCINNATI, OH, 45202, 5133975364 - 250,000 ($3,957,500.00) Equity, (File 333-96729 - Jul. 19) (BR. 03) S-8 CONVERGYS CORP, 201 EAST FOURTH STREET, CINCINNATI, OH, 45202, 5133975364 - 5,000,000 ($79,150,000.00) Equity, (File 333-96733 - Jul. 19) (BR. 03) S-8 CONVERGYS CORP, 201 EAST FOURTH STREET, CINCINNATI, OH, 45202, 5133975364 - 1,000,000 ($15,830,000.00) Equity, (File 333-96735 - Jul. 19) (BR. 03) F-6 GRUPO ELEKTRA SA DE CV /ADR/, 48 WALL ST, C/O BANK OF NEW YORK, NEW YORK, NY, 10286, 2124951727 - 50,000,000 ($2,500,000.00) ADRs/ADSs, (File 333-96737 - Jul. 19) (BR. ) S-3 ANTARES PHARMA INC, 707 EAGLEVIEW BOULEVARD, SUITE 414, EXTON, PA, 19341, 610-458-6200 - 1,600,000 ($6,640,000.00) Equity, (File 333-96739 - Jul. 19) (BR. 36) S-4 COMSTOCK RESOURCES INC, 5300 TOWN AND COUNTRY BLVD, STE 500, FRISCO, TX, 75034, 9726688800 - 75,000,000 ($1.00) Non-Convertible Debt, (File 333-96741 - Jul. 19) (BR. 04) SB-2 RADIUM VENTURES INC, 3,000,000 ($300,000.00) Equity, (File 333-96743 - Jul. 19) (BR. 09) S-8 ATR SEARCH CORP, 29 E 31ST STREET, 2ND FLOOR, NEW YORK, NY, 10016, 2127256150 - 3,000,000 ($150,000.00) Equity, (File 333-96745 - Jul. 19) (BR. 09) S-8 SPANTEL COMMUNICATIONS INC, 305-586-3937 - 0 ($1,050,000.00) Equity, (File 333-96747 - Jul. 19) (BR. 37) S-8 URBANA CA INC, 750 WEST PENDER ST, SUITE 804, VANCOUVER BRITISH CO, A6, V6C 2T8, 7027322253 - 0 ($484,000.00) Equity, (File 333-96749 - Jul. 19) (BR. 09) S-8 US HOME SYSTEMS INC /TX, 750 STATE HIGHWAY 121 BYPASS, SUITE 170, LEWISVILLE, TX, 75067, 2144886300 - 1,190,674 ($5,774,769.00) Equity, (File 333-96753 - Jul. 19) (BR. 02) S-8 HIBBETT SPORTING GOODS INC, 451 INDUSTRIAL LANE, BIRMINGHAM, AL, 35211, 2059424292 - 0 ($1,920,500.00) Equity, (File 333-96755 - Jul. 19) (BR. 02) S-8 NEOGENOMICS INC, 1726 MEDICAL BOULEVARD, SUITE 201, SUITE 201, NAPLES, FL, 34108, 9419231949 - 22,449,200 ($244,492.00) Equity, (File 333-96759 - Jul. 19) (BR. 09) S-8 SECURITY ASSET CAPITAL CORP/NV, 701 B STREET, SUITE 1775, SAN DIEGO, CA, 92101, 619-232-99 - 8,600,000 ($1,290,000.00) Equity, (File 333-96761 - Jul. 19) (BR. 08) S-8 MERIDIAN CO LTD, 3F MADISON VENTURE TOWER, KANGNAM KU SEOUL REPUBLIC OF KOREA, REPUBLIC OF KOREA, M5, 00000, 000-00-00000 - 1,282,708 ($128,270.00) Equity, (File 333-96763 - Jul. 19) (BR. 36) S-8 1 800 CONTACTS INC, 13751 S WADSWORTH PARK DR SUITE D-140, DRAPER, UT, 84020, 8015728225 - 0 ($8,109,600.00) Equity, (File 333-96765 - Jul. 19) (BR. 36) S-3 SUN COMMUNITIES INC, 31700 MIDDLEBELT RD, STE 145, FARMINGTON HILLS, MI, 48334, 2489323100 - 0 ($2,605,051.00) Equity, (File 333-96769 - Jul. 19) (BR. 08) S-8 SALIX PHARMACEUTICALS LTD, 8540 COLONNADE CENTER DR, SUITE 501, RALEIGH, NC, 27615, 9198621000 - 0 ($9,030,000.00) Equity, (File 333-96771 - Jul. 19) (BR. 01) S-B PROVINCE OF NEW BRUNSWICK, 1251 AVENUE OF THE AMERICAS, CANADIAN CONSULATE GENERAL, NEW YORK, NY, 10020, 150,000 ($150,000,000.00) Non-Convertible Debt, (File 333-96779 - Jul. 19) (BR. DN) S-8 INTERDIGITAL COMMUNICATIONS CORP, 781 THIRD AVE, KING OF PRUSSIA, PA, 19406-1409, 6102787800 - 1,000,000 ($8,540,000.00) Equity, (File 333-96781 - Jul. 19) (BR. 04) S-8 SNB BANCSHARES INC, 4219 FORSYTH ROAD, MACON, GA, 31210, 9127226219 - 426,250 ($8,316,137.50) Equity, (File 333-96783 - Jul. 19) (BR. 07) S-8 FEDDERS CORP /DE, 505 MARTINSVILLE RD, WESTGATE CORPORATE CTR, LIBERTY CORNER, NJ, 07938-0813, 9086048686 - 0 ($365,250.00) Equity, (File 333-96787 - Jul. 19) (BR. 06) S-8 TRINITY ENERGY RESOURCES INC, 16420 PARK TEN PLACE, HOUSTON, TX, 77084, 2815897675 - 0 ($100,300.00) Equity, (File 333-96789 - Jul. 19) (BR. 04) S-8 MICROCHIP TECHNOLOGY INC, 2355 W CHANDLER BLVD, CHANDLER, AZ, 85224-6199, 4807867200 - 31,945 ($409,535.00) Equity, (File 333-96791 - Jul. 19) (BR. 36) S-4 DANA CORP, 4500 DORR ST, TOLEDO, OH, 43615, 4195354500 - 0 ($250,000,000.00) Non-Convertible Debt, (File 333-96793 - Jul. 19) (BR. 05) S-8 CISCO SYSTEMS INC, 170 WEST TASMAN DR, SAN JOSE, CA, 95134-1706, 4085264000 - 0 ($4,085,316.49) Equity, (File 333-96797 - Jul. 19) (BR. 03) S-8 VISCOUNT SYSTEMS INC, 4585 TILLICUM STREET, BURNABY BRITISH COLUMBIA, A1, V5J3J9, 6043279446 - 1,500,000 ($992,150.00) Equity, (File 333-96799 - Jul. 19) (BR. 37) S-3 ALLOU HEALTH & BEAUTY CARE INC, 50 EMJAY BLVD, BRENTWOOD, NY, 11717, 5162734000 - 32,051 ($185,254.80) Equity, (File 333-96801 - Jul. 19) (BR. 01) S-8 ALLEN TELECOM INC, 25101 CHAGRIN BLVD # 350, BEACHWOOD, OH, 44122-5619, 2167655818 - 1,000,000 ($4,230,000.00) Equity, (File 333-96805 - Jul. 19) (BR. 37) S-8 STORAGE COMPUTER CORP, 11 RIVERSIDE STREET, NASHUA, NH, 03062-1373, 6038803005 - 1,500,000 ($2,895,000.00) Equity, (File 333-96807 - Jul. 19) (BR. 03) S-8 SABA SOFTWARE INC, 2400 BRIDGE PARKWAY, SIOTE 150, REDWOOD SHORES, CA, 94065-1166, 6506963822 - 0 ($17,065,081.20) Equity, (File 333-96809 - Jul. 19) (BR. 03) S-3 PRICESMART INC, 4649 MORENA BLVD, SAN DIEGO, CA, 92117, 6195814530 - 0 ($1,562,844.00) Equity, (File 333-96811 - Jul. 19) (BR. 02) S-3 NEXMED INC, 350 CORPORATE BLVD, ROBBINSVILLE, NJ, 08691, 6092089688 - 0 ($11,599,646.00) Equity, (File 333-96813 - Jul. 19) (BR. 01) SB-2 LIQUIDIX INC, 16929 E. ENTERPRISE DRIVE, #206, FOUNTAIN HILLS, AZ, 85268, 4808166140 - 5,791,714 ($1,274,177.00) Equity, (File 333-96815 - Jul. 19) (BR. 04) S-3 ELECTROGLAS INC, 2901 CORONADO DRIVE, SANTA CLARA, CA, 95054, 4087276500 - 0 ($46,535,866.00) Equity, (File 333-96817 - Jul. 19) (BR. 36) SB-2 ESSENTIAL REALITY INC, 49 WEST 27TH STREET, SUITE 7E, NEW YORK, NY, 10001, 2122443200 - 8,214,239 ($24,848,073.00) Equity, (File 333-96819 - Jul. 19) (BR. 08) N-2 CINTRA SELECT FUND INC, 1725 I STREET NW, SUITE 300, WASHINGTON, DC, 20006, 2023493908 - 8,050,000 ($120,750,000.00) Equity, (File 333-96821 - Jul. 19) (BR. ) S-3 SOLECTRON CORP, 777 GIBRALTAR DR, MILPITAS, CA, 95035, 4089578500 - 0 ($3,462,782.40) Equity, (File 333-96823 - Jul. 19) (BR. 36) S-8 DECODE GENETICS INC, LYNGHALS 1, REYJKAVIK, ICELAND, K6, 00000, 0113545701900 - 1,418,375 ($4,794,107.50) Equity, (File 333-96825 - Jul. 19) (BR. 01) S-1 ENOVA SYSTEMS INC, 19850 SOUTH MAGELLAN DR, SUITE 305, TORRANCE, CA, 90502, 3105272800 - 42,100,000 ($5,788,750.00) Equity, (File 333-96829 - Jul. 19) (BR. 05) 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 FD Disclosure. 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 ------------------------------------------------------------------------------------ A21 INC X X 07/16/02 ACCUFACTS PRE EMPLOYMENT SCREENING IN DE X 07/17/02 ADVANCED MICRO DEVICES INC DE X X 07/17/02 AGERE SYSTEMS INC DE X X 07/17/02 AMEND AK STEEL HOLDING CORP DE X X 07/19/02 ALLETE INC MN X 07/19/02 ALLIANT ENERGY CORP WI X X 07/18/02 ALLOY INC DE X X 05/31/02 AMEND ALPHANET SOLUTIONS INC NJ X X 07/18/02 ALTEON INC /DE DE X 07/16/02 ALTRIMEGA HEALTH CORP NV X 07/15/02 AMBAC FINANCIAL GROUP INC DE X X 07/19/02 AMERICAN EXPRESS CENTURION BANK UT X X 07/17/02 AMERICAN EXPRESS CENTURION BANK UT X X 07/17/02 AMERICAN SCIENCE & ENGINEERING INC MA X 07/19/02 AMES NATIONAL CORP IA X 07/19/02 APPIANT TECHNOLOGIES INC DE X 07/19/02 ARBITRON INC DE X X 07/18/02 ARCH COAL INC DE X 07/19/02 ATLAS AIR INC DE X X 07/18/02 ATLAS AIR WORLDWIDE HOLDINGS INC DE X X 07/18/02 AVIALL INC DE X 07/19/02 AVON PRODUCTS INC NY X 07/17/02 BEAR STEARNS COMMERCIAL MORTGAGE SECU DE X 07/01/02 BEAR STEARNS COMMERCIAL MORTGAGE SECU DE X 07/01/02 BECTON DICKINSON & CO NJ X 07/19/02 BEVERLY NATIONAL CORP MA X X 07/18/02 BLACKHAWK BANCORP INC WI X X 07/17/02 BOSTON PRIVATE FINANCIAL HOLDINGS INC MA X X 07/15/02 BSQUARE CORP /WA WA X X 07/17/02 CARBO CERAMICS INC DE X X 07/19/02 CENTRAL EUROPEAN MEDIA ENTERPRISES LT X 07/19/02 CENTURYTEL INC LA X 07/19/02 CENTURYTEL INC LA X 07/19/02 CHADMOORE WIRELESS GROUP INC CO X 07/15/02 CHASE CREDIT CARD MASTER TRUST NY X X 07/16/02 CHITTENDEN CORP /VT/ VT X 07/17/02 CHROMAVISION MEDICAL SYSTEMS INC DE X 07/09/02 CIGAR KING CORP NV X X 07/12/02 CITICORP DE X 07/17/02 CITIZENS INC CO X 07/19/02 COCA COLA ENTERPRISES INC DE X X 07/17/02 COMMERCIAL MORTGAGE PASS THROUGH CERT DE X 07/01/02 COMMUNITY BANKS INC /PA/ PA X 06/30/02 CONSECO FINANCE CORP DE X 07/09/02 CONTINENTAL RESOURCES INC OK X 07/12/02 AMEND CREATOR CAPITAL LTD D0 X 07/18/02 CREDIT SUISSE FIRST BOSTON MORTGAGE A DE X 07/18/02 CREDIT SUISSE FIRST BOSTON MORTGAGE S DE X 06/28/02 CWABS INC DE X X 02/28/02 CWABS INC DE X X 03/04/02 DAIMLERCHRYSLER MASTER OWNER TRUST X X 06/17/02 DALEEN TECHNOLOGIES INC DE X 07/19/02 DIAMOND HITTS PRODUCTION INC FL X X 07/03/02 DIANON SYSTEMS INC DE X X 07/19/02 DIGITALTHINK INC DE X 03/31/03 DIVERSIFIED RESOURCES GROUP INC X X 07/12/02 DONAR ENTERPRISES INC DE X 07/19/02 EATON CORP OH X X 07/17/02 ECHAPMAN INC MD X 07/19/02 EDGE PETROLEUM CORP DE X 07/18/02 EL PASO ENERGY PARTNERS LP DE X 07/18/02 AMEND EQUITY ONE ABS INC MORTGAGE PASS THRU DE X X 05/28/02 EXPERTELLIGENCE INC CA X 07/18/02 FEDERAL AGRICULTURAL MORTGAGE CORP X X 07/19/02 FIRST FINANCIAL HOLDINGS INC /DE/ DE X X 07/18/02 FIRST SIERRA RECEIVABLES III INC DE X X 07/01/02 FIRSTBANK CORP MI X 07/18/02 FORTUNE BRANDS INC DE X X 07/18/02 FRANKLIN RECEIVABLES LLC DE X X 06/30/02 FREMONT GENERAL CORP NV X X 07/02/02 FRIEDE GOLDMAN HALTER INC MS X X 07/17/02 FROZEN FOOD EXPRESS INDUSTRIES INC TX X 07/18/02 AMEND GLENBOROUGH REALTY TRUST INC MD X 06/14/02 AMEND GOLDEN EAGLE INTERNATIONAL INC CO X X 07/02/02 HALF ROBERT INTERNATIONAL INC /DE/ DE X 07/16/02 HANCOCK JOHN FINANCIAL SERVICES INC X 07/19/02 HANCOCK JOHN LIFE INSURANCE CO MA X 07/19/02 HARVARD BIOSCIENCE INC DE X X 07/18/02 HEARTLAND FINANCIAL USA INC DE X 06/30/02 HELLER EQUIPMENT ASSET RECEIVABLES TR DE X X 07/12/02 HELLER EQUIPMENT ASSET RECEIVABLES TR DE X X 07/12/02 HEMACARE CORP /CA/ CA X 07/18/02 HERCULES INC DE X X 04/29/02 AMEND HNC SOFTWARE INC/DE DE X X 07/18/02 HPL TECHNOLOGIES INC DE X X 07/19/02 IASIS HEALTHCARE CORP DE X X 07/19/02 IMPRESO INC DE X X 07/12/02 INDIGO ENERGY INC DE X 07/12/02 INGERSOLL RAND CO LTD X 07/18/02 INSIGHT ENTERPRISES INC DE X X 07/18/02 IRWIN FINANCIAL CORPORATION IN X X 07/19/02 J P MORGAN CHASE & CO DE X X 07/17/02 JOHNSON CONTROLS INC WI X X 07/18/02 KANKAKEE BANCORP INC DE X X 07/19/02 KING BALL INTERNATIONAL TECHNOLOGY CO FL X X 07/15/02 LABORATORY CORP OF AMERICA HOLDINGS DE X X 07/19/02 LOCAL FINANCIAL CORP /NV DE X X 07/18/02 MAIL WELL INC CO X 07/19/02 MAIL WELL INC CO X 07/19/02 MAXWELL TECHNOLOGIES INC DE X X X 07/05/02 MELTRONIX INC CA X 04/17/02 MERCANTILE BANKSHARES CORP MD X X 07/18/02 MERCK & CO INC NJ X X 07/19/02 MERRILL LYNCH DEPOSITOR INC DE X X 06/03/02 MERRILL LYNCH DEPOSITOR INC DE X X 06/03/02 MERRILL LYNCH DEPOSITOR INC DE X X 06/03/02 MERRILL LYNCH DEPOSITOR INC PREFERRED DE X X 06/03/02 MERRILL LYNCH DEPOSITOR INC PREFERRED NY X X 06/03/02 MERRILL LYNCH DEPOSITOR INC PREFERRED DE X X 07/15/02 MERRILL LYNCH DEPOSITOR INC PREFERRED DE X X 06/03/02 MERRILL LYNCH DEPOSITOR INC PREFERRED DE X X 06/03/02 MERRILL LYNCH DEPOSITOR PREFERREDPLUS DE X X 06/03/02 METASOURCE GROUP INC NV X X X X X 07/12/02 METRETEK TECHNOLOGIES INC DE X X 07/16/02 MID WISCONSIN FINANCIAL SERVICES INC WI X X X 06/30/02 MIDLAND CO OH X X 07/18/02 MINERALS TECHNOLOGIES INC DE X X 07/18/02 MODINE MANUFACTURING CO WI X 07/17/02 MORTGAGE ASSET SEC TRANS INC MORT PAS DE X X 07/17/02 NEW ENGLAND POWER CO MA X 07/18/02 NISSAN AUTO RECEIVABLES 2002 B OWNER DE X 06/15/02 NORTH VALLEY BANCORP CA X X 07/17/02 NORTHLAND CABLE PROPERTIES EIGHT LIMI WA X X 07/10/02 AMEND NORTHLAND CABLE PROPERTIES SEVEN LIMI WA X X 07/10/02 AMEND NORTHLAND CABLE TELEVISION INC WA X X 07/10/02 AMEND NORTHWEST AIRLINES CORP DE X X 07/18/02 NOVATEL WIRELESS INC DE X 07/17/02 NS GROUP INC KY X X 07/18/02 NTL COMMUNICATIONS CORP DE X X 07/19/02 NTL DELAWARE INC DE X X 07/19/02 NTL INC/DE/ DE X X 07/19/02 OAKWOOD MORTGAGE INVESTORS INC OMI TR NC X X 07/15/02 OXIS INTERNATIONAL INC DE X X 07/15/02 PEMSTAR INC MN X X 07/19/02 PENNSYLVANIA REAL ESTATE INVESTMENT T PA X 07/16/02 PEOPLES BANK CREDIT CARD MASTER TRUST CT X X 06/30/02 PEOPLES SIDNEY FINANCIAL CORP DE X X 07/16/02 PEPSICO INC NC X X 07/19/02 PEPSICO INC NC X X 07/19/02 PHARMANETICS INC NC X X 07/19/02 PHILIP SERVICES CORP/DE DE X 07/17/02 PITNEY BOWES INC /DE/ DE X 06/30/02 PREVIO INC DE X X 07/15/02 PRICE COMMUNICATIONS CORP NY X X 07/18/02 PRIVATEBANCORP INC DE X 07/17/02 PROBOOK INC CA X X X 07/18/02 PROVIDIAN MASTER TRUST X 06/12/02 PSB HOLDINGS INC /WI/ WI X X X 07/12/02 RECLAIMATION CONSULTING & APPLICATION CO X X 07/08/02 AMEND REGENCY GROUP LTD INC NV X X X 07/16/02 RHEOMETRIC SCIENTIFIC INC NJ X X 07/19/02 ROUSE COMPANY MD X X 05/03/02 AMEND SAFETY KLEEN CORP/ DE X X 07/18/02 SCP POOL CORP DE X X 06/30/02 SECOND BANCORP INC OH X 07/18/02 SENIOR SUBORDINATED PASS THROUGH CERT NV X X 07/15/02 SENIOR SUBORNATED PASS THROUGH CERTIF NV X X 06/15/02 SEVEN SEAS PETROLEUM INC B0 X X 07/18/02 SFBC INTERNATIONAL INC DE X X 07/19/02 SHELBOURNE PROPERTIES II INC DE X X 07/19/02 SINCLAIR BROADCAST GROUP INC MD X 07/15/02 SMITH INTERNATIONAL INC DE X X 07/17/02 SPECIALTY LABORATORIES X X 07/17/02 STAR RECEIVABLES FUNDING INC DE X 07/15/02 STRATESEC INC DE X 07/12/02 SURFORAMA COM INC NV X 07/17/02 AMEND TEL VOICE COMMUNICATIONS INC NV X 07/17/02 TELECOMMUNICATION PRODUCTS INC CO X 07/08/02 TELLABS INC DE X 07/18/02 TEMECULA VALLEY BANCORP INC DE X X 07/16/02 TIMKEN CO OH X 07/19/02 UNION BANKSHARES INC VT X X 07/17/02 UNITED BANCORPORATION OF ALABAMA INC DE X X 06/27/02 UNITED BANKSHARES INC/WV WV X X 07/19/02 UNITED NATURAL FOODS INC DE X X 06/19/02 US AIRWAYS GROUP INC DE X X 07/18/02 USOL HOLDINGS INC OR X X 07/15/02 VANS INC DE X X 07/18/02 VENTIV HEALTH INC DE X 07/12/02 VESTA INSURANCE GROUP INC DE X X 07/18/02 VISTEON CORP DE X X 07/19/02 WAREFORCE COM INC CA X 07/19/02 WASHINGTON GROUP INTERNATIONAL INC DE X X 07/19/02 WEBLINK WIRELESS INC DE X X 07/18/02 WEBMD CORP /NEW/ DE X 07/19/02 WELLS FARGO FINANCIAL INC IA X X 07/19/02 WFN CREDIT CO LLC DE X 07/15/02 WHITEWING ENVIRONMENTAL CORP CA X 01/31/02 AMEND WORLD FINANCIAL NETWORK NATIONAL BANK OH X 07/15/02 YELLOW CORP DE X 07/19/02