Largest Nasdaq Short Interest Percent Decreases as of Aug. 13

The following are the 200 largest short interest percent decreases on the Nasdaq Stock Market as of the Aug. 13 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                                                     
Symbol   Company                        Aug. 13       July 30      % Change   
=============================================================================
AAXJ     ISHAR ASIA EX-JP               421,550     1,633,349       -74.2
CAMP     CALAMP CORP                    271,786       836,607       -67.5
IRWD     IRONWOOD PHARMAC               887,619     2,310,413       -61.6
NETC     NET SERVI-PR ADR             1,956,945     4,519,383       -56.7
TNAV     TELENAV INC                    572,735     1,203,107       -52.4
VPRT     VISTAPRINT NV                3,507,796     6,765,146       -48.1
PFBC     PREFERRED BANK                 561,463     1,031,422       -45.6
CXPO     CRIMSON EXPLORAT               371,618       640,164       -41.9
CPNO     COPANO ENERGY-UN               565,120       870,153       -35.1
ICLR     ICON PLC-ADR                   276,569       424,251       -34.8
MPEL     MELCO CROWN-ADR              3,035,736     4,592,599       -33.9
CRNT     CERAGON NETWORKS               283,101       409,987       -30.9
CRXL     CRUCELL-ADR                    511,541       728,407       -29.8
USPH     US PHYSICAL THER               384,528       546,770       -29.7
TICC     TICC CAPITAL COR             1,139,897     1,590,109       -28.3
NARA     NARA BANCORP INC             1,272,420     1,759,619       -27.7
ATEC     ALPHATEC HOLDING             2,335,133     3,207,008       -27.2
LIFE     LIFE TECHNOLOGIE             6,545,596     8,986,557       -27.2
ENCO     ENCORIUM GROUP                 264,360       357,851       -26.1
MEND     MICRUS ENDOVASCL               948,889     1,266,522       -25.1
SMTB     SMITHTOWN BANCRP               611,077       813,332       -24.9
EFOI     ENERGY FOCUS INC               433,378       568,397       -23.8
MRVL     MARVELL TECH GRP            15,906,065    20,798,862       -23.5
MPWR     MONOLITHIC POWER             1,209,233     1,579,183       -23.4
BBBY     BED BATH &BEYOND             6,118,919     7,876,872       -22.3
RYAAY    RYANAIR HLDG-ADR               587,518       756,286       -22.3
STX      SEAGATE TECHNOLO            16,073,944    20,521,881       -21.7
SYNM     SYNTROLEUM CORP              2,882,609     3,666,104       -21.4
CTRP     CTRIP.COM-ADR                3,091,166     3,930,053       -21.3
CMCSK    COMCAST CORP-SPL             6,682,999     8,480,525       -21.2
OPLK     OPLINK COMMUNICA               892,983     1,132,754       -21.2
AMAG     AMAG PHARMACEUTI             4,582,033     5,805,315       -21.1
LINE     LINN ENERGY LLC              1,482,070     1,866,583       -20.6
MSTR     MICROSTRATEGY                  472,105       594,255       -20.6
SYNT     SYNTEL INC                     556,256       699,862       -20.5
IBCP     INDEP BANK/MICH                669,324       842,087       -20.5
NCIT     NCI INC-CLASS A                283,157       355,635       -20.4
HRBN     HARBIN ELECTRIC              3,845,511     4,827,084       -20.3
ATHR     ATHEROS COMMUNIC             5,571,694     6,988,180       -20.3
BECN     BEACON ROOFING S             4,090,460     5,122,352       -20.1
ORCL     ORACLE CORP                 29,179,281    36,425,465       -19.9
ACOM     ANCESTRY.COM INC             1,438,325     1,794,626       -19.9
SEIC     SEI INVESTMENTS              2,645,773     3,293,139       -19.7
BMC      BMC SOFTWARE INC             3,744,352     4,646,511       -19.4
ETFC     E*TRADE FINANCIA             5,572,977     6,906,796       -19.3
CKEC     CARMIKE CINEMAS                737,172       912,572       -19.2
AIMC     ALTRA HOLDINGS I               937,757     1,160,827       -19.2
DISCK    DISCOVERY COMM-C               382,494       473,458       -19.2
SLRC     SOLAR CAPITAL LT               212,850       263,403       -19.2
DJSP     DJSP ENTERPRISES               964,188     1,187,673       -18.8
TTEC     TELETECH HLDGS               1,109,029     1,364,126       -18.7
CPSI     COMPUTER PROGRAM               753,360       925,672       -18.6
RRGB     RED ROBIN GOURME             1,713,713     2,104,625       -18.6
ADSK     AUTODESK INC                 7,152,440     8,741,277       -18.2
XRTX     XYRATEX LTD                  1,563,797     1,910,963       -18.2
SWSI     SUPERIOR WELL SE             3,855,419     4,708,875       -18.1
ABAX     ABAXIS INC                   1,428,864     1,737,975       -17.8
CECO     CAREER EDUCATION            10,270,021    12,476,925       -17.7
HBAN     HUNTINGTON BANC             22,815,523    27,678,738       -17.6
KNXA     KENEXA CORP                    745,774       904,191       -17.5
AMSF     AMERISAFE INC                  793,514       960,813       -17.4
KNOT     KNOT INC/THE                 1,679,998     2,034,191       -17.4
MIPS     MIPS TECH INC                1,495,302     1,807,184       -17.3
FOSL     FOSSIL INC                   1,497,497     1,807,783       -17.2
UTEK     ULTRATECH INC                1,129,512     1,362,712       -17.1
BRCD     BROCADE COMM SYS            18,564,517    22,356,747       -17.0
NVDA     NVIDIA CORP                 37,569,508    45,208,201       -16.9
GENZ     GENZYME CORP                15,087,196    18,129,949       -16.8
HTHT     CHINA LODGIN-ADS               388,135       466,380       -16.8
ISIL     INTERSIL CORP-A              9,624,912    11,552,788       -16.7
BEAV     BE AEROSPACE                 1,737,521     2,082,956       -16.6
CSIQ     CANADIAN SOLAR I             2,351,517     2,818,837       -16.6
LAYN     LAYNE CHRISTENSN               670,339       802,783       -16.5
RCNI     RCN CORP                     1,124,509     1,345,446       -16.4
GSOL     GLOBAL SOURCES                 914,324     1,091,879       -16.3
CELL     BRIGHTPOINT INC              2,965,371     3,540,077       -16.2
COST     COSTCO WHOLESALE             9,548,671    11,381,543       -16.1
PAYX     PAYCHEX INC                 10,271,705    12,211,534       -15.9
KNDI     KANDI TECHNOLGIE               997,620     1,185,635       -15.9
ASTM     AASTROM BIOSCIEN               363,170       431,498       -15.8
USAK     USA TRUCK INC                  313,306       371,414       -15.6
GTLS     CHART INDUSTRIES               950,601     1,126,582       -15.6
ASFI     ASTA FUNDING INC               727,244       861,198       -15.6
XIDE     EXIDE TECH                   3,386,947     4,009,286       -15.5
MCCC     MEDIACOM COMM-A              1,677,356     1,985,475       -15.5
CRVL     CORVEL CORP                    203,224       240,054       -15.3
ACAD     ACADIA PHARMACEU               207,044       244,356       -15.3
DIOD     DIODES INC                   2,219,960     2,615,623       -15.1
WBSN     WEBSENSE INC                 5,351,959     6,295,903       -15.0
XXIA     IXIA                         1,196,084     1,406,697       -15.0
HAFC     HANMI FINL CORP              6,535,977     7,677,622       -14.9
ARUN     ARUBA NETWORKS I            17,932,665    21,047,283       -14.8
NSIT     INSIGHT ENTERPRI             1,499,582     1,758,695       -14.7
ULTI     ULTIMATE SOFTWAR             2,974,107     3,487,674       -14.7
BRCM     BROADCOM CORP-A             14,799,333    17,351,911       -14.7
ACLS     AXCELIS TECH INC             3,226,870     3,776,675       -14.6
IBKR     INTERACTIVE BROK             3,414,204     3,991,296       -14.5
TBSI     TBS INTERNATIO-A               536,284       626,034       -14.3
SRDX     SURMODICS INC                1,165,564     1,357,834       -14.2
TLCR     TALECRIS BIOTHER             2,336,172     2,721,096       -14.1
PDII     PDI INC                        315,202       367,057       -14.1
PCYC     PHARMACYCLICS                2,624,315     3,047,147       -13.9
MDAS     MEDASSETS INC                5,555,914     6,446,699       -13.8
ERES     ERESEARCH TECH               2,181,112     2,527,902       -13.7
ACIW     ACI WORLDWIDE IN             1,274,672     1,476,943       -13.7
CRA      CELERA CORP                  3,957,317     4,582,948       -13.7
TIBX     TIBCO SOFTWARE               9,236,291    10,691,588       -13.6
BEAT     CARDIONET INC                1,073,564     1,242,592       -13.6
BWLD     BUFFALO WILD WIN             2,671,983     3,088,340       -13.5
DDSS     LABOPHARM INC                  642,825       742,905       -13.5
LINTA    LIBERTY-INTER A              5,064,340     5,851,960       -13.5
RPRX     REPROS THERAPEUT               736,106       850,552       -13.5
ROVI     ROVI CORP                    7,522,094     8,688,988       -13.4
INFN     INFINERA CORP                3,912,934     4,514,843       -13.3
HWKN     HAWKINS INC                  1,042,601     1,202,137       -13.3
SUSS     SUSSER HOLDINGS                250,828       289,021       -13.2
TSYS     TELE SYSTEMS-A               2,982,096     3,431,267       -13.1
DECK     DECKERS OUTDOOR              3,869,130     4,447,846       -13.0
SIRO     SIRONA DENTAL SY             1,905,741     2,190,309       -13.0
ARII     AMERICAN RAILCAR               414,406       476,198       -13.0
DNEX     DIONEX CORP                    816,157       937,232       -12.9
ALTE     ALTERRA CAPITAL              3,098,233     3,552,216       -12.8
MLNK     MODUSLINK GLOBAL             1,636,445     1,873,506       -12.7
ISPH     INSPIRE PHARM                3,924,218     4,492,488       -12.6
NWBI     NORTHWEST BANCSH             4,001,924     4,579,093       -12.6
WMGI     WRIGHT MED GROUP             3,038,934     3,477,174       -12.6
PETD     PETRO DEV CORP                 923,361     1,056,203       -12.6
EGOV     NIC INC                      1,856,883     2,123,750       -12.6
POWL     POWELL INDS INC                380,624       434,935       -12.5
EXAR     EXAR CORP                    1,341,883     1,531,070       -12.4
ZIOP     ZIOPHARM ONCOLOG             3,205,491     3,656,959       -12.3
BMTC     BRYN MAWR BANK                 287,868       328,151       -12.3
GOLD     RANDGOLD RES-ADR             1,381,218     1,573,693       -12.2
MMSI     MERIT MEDICAL                1,233,249     1,404,161       -12.2
MFLX     MULTI-FINELINE E               401,515       456,912       -12.1
PZZ      PROSPECT MEDICAL               340,277       387,022       -12.1
AAWW     ATLAS AIR WORLDW             1,250,731     1,422,200       -12.1
SMED     SHARPS COMPLIANC               981,084     1,115,113       -12.0
LOPE     GRAND CANYON EDU             4,024,316     4,569,350       -11.9
ZUMZ     ZUMIEZ INC                   3,108,680     3,527,627       -11.9
VLCCF    KNIGHTSBRIDGE TA               586,929       665,955       -11.9
NWK      NETWORK EQUIP TE             1,301,529     1,476,404       -11.8
THMD     THERMADYNE HOLDI               275,760       312,536       -11.8
TWTC     TW TELECOM INC               5,173,485     5,858,104       -11.7
SOLF     SOLARFUN POW-ADR             3,271,919     3,703,780       -11.7
RNOW     RIGHTNOW TECH                  916,419     1,037,083       -11.6
STAN     STANDARD PARKING               527,563       596,951       -11.6
MDCO     MEDICINES COMP               2,761,285     3,123,939       -11.6
NTRI     NUTRISYSTEM INC              9,552,490    10,803,200       -11.6
PPCO     PENWEST PHARM                1,179,081     1,333,006       -11.5
ACAP     AMER PHYS CAP IN               240,115       271,440       -11.5
CRAI     CRA INTERNATIONA               365,858       413,464       -11.5
COWN     COWEN GROUP-A                2,175,264     2,457,984       -11.5
SMRT     STEIN MART INC               1,092,228     1,233,504       -11.5
SIRI     SIRIUS XM RADIO            184,763,687   208,652,556       -11.4
SBIB     STERLING BANCSHR             9,377,793    10,589,773       -11.4
MERC     MERCER INTERNATI             1,629,217     1,838,985       -11.4
TMRK     TERREMARK WORLDW             5,391,910     6,084,550       -11.4
EPIC     EPICOR SOFTWARE              1,486,295     1,675,677       -11.3
GPRE     GREEN PLAINS REN             1,364,746     1,538,439       -11.3
SVA      SINOVAC BIOTECH                945,854     1,065,831       -11.3
LCUT     LIFETIME BRANDS                596,747       672,374       -11.2
BLUD     IMMUCOR INC                  2,419,073     2,725,565       -11.2
ADCT     ADC TELECOM INC              7,434,188     8,372,325       -11.2
GNBT     GENEREX BIOTECH              3,053,082     3,437,340       -11.2
SCSC     SCANSOURCE INC               1,365,265     1,536,997       -11.2
NANX     NANOPHASE TECH                 323,978       364,563       -11.1
APOG     APOGEE ENTERPR               2,398,831     2,698,860       -11.1
TBNK     TERRITORIAL BANC               383,690       431,668       -11.1
HSII     HEIDRICK & STRUG               923,781     1,038,240       -11.0
SBUX     STARBUCKS CORP              18,089,785    20,322,807       -11.0
ARRY     ARRAY BIOPHARMA              2,368,628     2,660,419       -11.0
SPEC     SPECTRUM CONTROL               426,086       478,550       -11.0
CDXS     CODEXIS INC                    366,941       412,105       -11.0
APAC     APAC CUSTOMER                1,317,590     1,479,297       -10.9
ERIC     ERICSSON LM-ADR             23,565,783    26,453,895       -10.9
MNRO     MONRO MUFFLER                2,386,263     2,678,398       -10.9
NOVA     NOVAMED INC                    673,277       755,685       -10.9
MDVN     MEDIVATION INC               2,821,536     3,164,248       -10.8
FSYS     FUEL SYSTEMS SOL             6,446,668     7,228,587       -10.8
RSTI     ROFIN-SINAR TECH             1,056,955     1,185,135       -10.8
OPWV     OPENWAVE SYSTEMS             2,539,205     2,846,885       -10.8
GXDX     GENOPTIX INC                 1,451,093     1,626,373       -10.8
JBHT     HUNT (JB) TRANS              3,504,312     3,925,452       -10.7
OSIS     OSI SYSTEMS INC                948,741     1,062,311       -10.7
SNTS     SANTARUS INC                 2,133,057     2,388,002       -10.7
FARO     FARO TECH                      663,867       743,149       -10.7
JBSS     SANFILIPPO (JOHN               257,342       288,039       -10.7
NAUH     NATIONAL AMERICA               278,664       311,773       -10.6
CME      CME GROUP INC                  970,154     1,085,214       -10.6
NENG     NETWORK ENGINES              1,352,321     1,512,510       -10.6
GAIA     GAIAM INC-A                    599,293       670,077       -10.6
CFNL     CARDINAL FINL CP               869,079       970,638       -10.5
BEBE     BEBE STORES INC              2,458,263     2,742,767       -10.4
CRIS     CURIS INC                    2,834,458     3,160,601       -10.3
AVEO     AVEO PHARMACEUTI               282,306       314,744       -10.3
KMGB     KMG CHEMICALS                  256,174       285,535       -10.3
SGI      SILICON GRAPHICS             2,482,165     2,764,976       -10.2
HUVL     HUDSON VALL HLDG               426,190       474,701       -10.2
DLLR     DOLLAR FINANCIAL             1,580,630     1,760,499       -10.2

*-- Data includes ETF positions.

To contact the reporter on this story: Wendy Soong in New York at at csoong@bloomberg.net

To contact the editor responsible for this story: Marco Babic at mbabic@bloomberg.net

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