+++
part 1 of 2
Shares SoldUnit Chg. Pct. Chg.
Short as of from from
Institution 9/15/98 8/14/98 8/14/98
Affiliated Computer Svcs ( 827,737 40,639 5.20%
Alltel Corporation (n) 2,778,151 -1,364,120-32.90%
American Managment (q) 919,817 40,970 4.70%
Checkfree Holding Corp. (q 673,972 84,786 14.40%
Computer Sciences (n) 2,620,621 1,096,070 71.90%
Concord EFS (q) 4,941,910 -13,425 -0.30%
Cybercash (q) 2,147,057 551,090 34.50%
Deluxe Corp. (n) 1,028,149 12,576 1.20%
Diebold Inc. (n) 1,530,558 269,303 21.40%
Electronic Data Systems (n 2,954,317 56,365 1.90%
Equifax Inc. (n) 3,942,988 -379,815 -8.80%
First Data Corp (n) 9,685,608 -1,196,952-11.00%
Fiserv (q) 1,461,735 243,423 20.00%
Harbinger Cp (q) 489,424 -140,139 -22.30%
InteliData Techs (q) 596,112 -98,971 -14.20%
Intuit (q) 1,426,889 -106,085 -6.90%
John H. Harland (n) 1,087,998 56,284 5.50%
National Data Corp. (n) 2,355,077 135,608 6.10%
NCR Corp. (n) 1,766,889 -366,924 -17.20%
PMT Services (q) 819,108 61,523 8.10%
Sterling Commerce (n) 4,349,750 -843,210 -16.20%
Sterling Software (n) 1,745,357 -54,846 -3.00%
Total Systems Svcs. (n) 3,145,199 -374,148 -10.60%
Technology-Related Totals 53.29 M -2,289,998 -4.10%
part 2 of 2
Avg. Dai Days
Trading to
Institution Volume Cover*
Affiliated Computer Svcs ( 86,147 9.6
Alltel Corporation (n) 740,914 3.7
American Managment (q) 377,359 2.4
Checkfree Holding Corp. (q605,153 1.1
Computer Sciences (n) 834,019 3.1
Concord EFS (q) 339,276 14.6
Cybercash (q) 567,007 3.8
Deluxe Corp. (n) 215,990 4.8
Diebold Inc. (n) 339,076 4.5
Electronic Data Systems (n1,742,77 1.7
Equifax Inc. (n) 335,495 11.8
First Data Corp (n) 2,645,27 3.7
Fiserv (q) 446,969 3.3
Harbinger Cp (q) 353,401 1.4
InteliData Techs (q) 154,061 3.9
Intuit (q) 798,056 1.8
John H. Harland (n) 96,176 11.3
National Data Corp. (n) 160,176 14.7
NCR Corp. (n) 446,519 4
PMT Services (q) 237,890 3.4
Sterling Commerce (n) 605,728 7.2
Sterling Software (n) 286,328 6.1
Total Systems Svcs. (n) 56,638 55.5
Technology-Related Totals 12.47 M 4.3
Table limited to issues shorted at least 10,000 shares at either current