Currently 73.75% AVERAGE potential profit for EVERY stock we have played.

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             price when    Within about      potential
             I shorted     4 wks fell to     %loss/gain

BZET         15                4          275%   (now at $3) (400%)
INDV         10 1/2            4 1/2      133%   (now at $3) (250%)
GSNX         18 7/8            8 1/2      118%   (now at $6) (215%)
GERN         17 1/2            8 1/2      105%   (now at $7) (150%)
KDUS         19 3/4           10           97%
INFD         12                6 1/2       84%
TSRI         27               15           80%
ASTX         14 1/8            9           55%
UCMP          8 5/8            5 1/2       54%
SWSH         11 1/2            8           43%
HDSN         11 7/8            8 1/2       41%   (now at $5) (140%)
BSMT          8                6           33%
EDGE         12 3/8            9 5/8       33%   (now at $7) (78%)
YILD          8 5/8            6 3/4       30%
PAUH         20 5/8           14           27%
KLIC         24 3/4           20           24%
PRGO         12 1/4           10           23%
ACRT         11 3/8            9 1/2       22%
ZONA         16 3/8           14 1/2       14%
REAL         15 1/2           14           11%
CDRD         12 1/4           14 5/8     - 20%
CLST         19 7/8           24         - 20%
CVTY         11 3/8           13 5/8     - 20%

Currently  73.75% AVERAGE potential profit for EVERY stock pick.

55% average, holding 4 stocks at a time for about a
month then covering and picking new ones.

Here is the math for one year, starting with $1,000 and trading
on a margin, compounding the profit, making 4 trades every month
and getting the *potential*  55% profit average. Note: Margin
allows you to "play" with twice as much money as you actually
give your broker.

     Investment      Margin       Gain    Trade #

       1000            2000       1100       1
       2100            4200       2310       2
       4410            8820       4850       3
       9260           18520      10180       4
      19440           38880      21380       5
      40820           81640      44900       6
      85720          171440      94290       7
     180010          360020     198010       8
     378020          756040     415820       9
     793840         1587680     873220      10
    1667060         3334120    1833760      11
    3500820         7001640    3850900      12

    3500820           +        3850900       =    $ 7,351,720

Check back... we'll update this page every couple weeks.
If we were shorting non-marginable stocks, we would short:

     Stock           Date          Price
     CBSL           7-8-97         25 1/4
     DLTK           7-8-97         16 3/4
     MMGR           8-8-97         16 1/8
     AVIR          8-13-97         26
     TLCM          8-13-97         13 5/8
     OCOM          8-13-97         22 1/2
     ESQS          8-13-97          8 1/2

Here are the charts on those picks: CBSL ... ESQS

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