Largest Nasdaq Short Interest Percent Decreases as of Nov. 15

The following are the 200 largest short interest percent decreases on the Nasdaq Stock Market as of the Nov. 15 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                                                     
Symbol   Company                        Nov. 15       Oct. 29      % Change   
=============================================================================
BDSI     BIODELIVERY SCIE               200,583       562,138       -64.3
GLUU     GLU MOBILE INC                 262,619       576,659       -54.5
ATLS     ATLAS ENERGY INC             3,012,802     6,531,297       -53.9
IMAX     IMAX CORP                    3,520,570     6,375,681       -44.8
NTWK     NETSOL TECH INC                300,764       525,592       -42.8
CTFO     CHINA TRANSINFO                251,880       431,217       -41.6
SNBC     SUN BANCORP-NJ                 254,117       422,969       -39.9
SPEX     SPHERIX INC                    241,325       401,015       -39.8
GTXI     GTX INC                      2,760,645     4,559,878       -39.5
SATS     ECHOSTAR CORP-A                292,497       468,108       -37.5
VRSK     VERISK ANALYTI-A               707,963     1,130,946       -37.4
MLNX     MELLANOX TECHNOL             1,474,318     2,330,160       -36.7
RGNC     REGENCY ENERGY P               421,946       654,500       -35.5
EZCH     EZCHIP SEMICONDU               414,112       631,600       -34.4
EPCT     EPICEPT CORP                   218,164       330,856       -34.1
MCRS     MICROS SYSTEMS                 878,686     1,292,146       -32.0
BIOF     BIOFUEL ENERGY C               348,323       508,563       -31.5
CPSI     COMPUTER PROGRAM               316,724       460,954       -31.3
TLAB     TELLABS INC                 17,749,339    25,765,756       -31.1
FNSR     FINISAR CORP                10,891,301    15,709,310       -30.7
ZBRA     ZEBRA TECH CORP              1,138,087     1,623,357       -29.9
AMCN     AIRMEDIA-ADR                   333,787       475,215       -29.8
FLEX     FLEXTRONICS INTL            14,225,011    19,955,697       -28.7
INFN     INFINERA CORP                4,568,731     6,396,280       -28.6
BCSI     BLUE COAT SYSTEM             4,471,036     6,246,886       -28.4
BEAV     BE AEROSPACE                 1,589,715     2,209,433       -28.0
SOHU     SOHU.COM INC                 2,548,377     3,469,833       -26.6
GNVC     GENVEC INC                   3,132,958     4,244,680       -26.2
VPFG     VIEWPOINT FINANC               539,885       730,558       -26.1
BJGP     BMP SUNSTONE COR             1,385,780     1,864,291       -25.7
BRCM     BROADCOM CORP-A             10,212,594    13,699,892       -25.5
BMRN     BIOMARIN PHARMAC            10,284,151    13,743,648       -25.2
HAUP     HAUPPAUGE DIGITA               476,217       635,190       -25.0
ACPW     ACTIVE POWER INC               310,856       413,639       -24.8
ADSK     AUTODESK INC                 6,805,409     9,038,489       -24.7
COHR     COHERENT INC                   680,200       899,668       -24.4
JDSU     JDS UNIPHASE                 5,076,779     6,696,946       -24.2
PWRD     PERFECT WORL-ADR             1,996,038     2,631,624       -24.2
NICE     NICE SYSTEMS-ADR               368,194       480,857       -23.4
IXYS     IXYS CORP                      471,357       613,151       -23.1
LKQX     LKQ CORP                     3,504,948     4,554,815       -23.0
KLAC     KLA-TENCOR CORP              6,049,465     7,859,060       -23.0
VDSI     VASCO DATA INTL              1,221,882     1,582,186       -22.8
RYAAY    RYANAIR HLDG-ADR               432,924       558,310       -22.5
HIMX     HIMAX TECHNO-ADR               462,218       593,578       -22.1
BMC      BMC SOFTWARE INC             4,551,714     5,820,137       -21.8
COGT     COGENT INC                   1,826,231     2,333,362       -21.7
UCBI     UNITED COMMUNITY             5,828,311     7,428,086       -21.5
MILL     MILLER PETROLEUM             1,457,804     1,848,092       -21.1
URRE     URANIUM RES INC                744,724       943,246       -21.0
APEI     AMERICAN PUBLIC              1,802,640     2,267,012       -20.5
SBGI     SINCLAIR BROAD-A             2,545,534     3,195,676       -20.3
VLTR     VOLTERRA SEMICON             2,285,794     2,855,706       -20.0
APCVZ    FRESENIUS-CVR                  481,651       601,708       -20.0
CALD     CALLIDUS SOFTWAR               211,484       263,314       -19.7
MMYT     MAKEMYTRIP LTD                 895,499     1,112,170       -19.5
SXCI     SXC HEALTH SOLUT               775,663       959,399       -19.2
SPWRB    SUNPOWER CORP-B                706,166       873,162       -19.1
PLXT     PLX TECHNOLOGY               1,206,716     1,491,647       -19.1
IPGP     IPG PHOTONICS                  843,616     1,041,474       -19.0
ANDE     ANDERSONS INC                  823,362     1,014,154       -18.8
SLGN     SILGAN HOLDINGS              1,686,488     2,073,558       -18.7
ACTG     ACACIA RESEARCH              1,033,166     1,269,363       -18.6
SSRI     SILVER STANDARD              2,546,888     3,128,766       -18.6
MSPD     MINDSPEED TECHNO             1,919,019     2,352,358       -18.4
NUVA     NUVASIVE INC                 6,516,546     7,986,453       -18.4
MPWR     MONOLITHIC POWER             2,151,704     2,632,590       -18.3
MICC     MILLICOM INTL                1,247,593     1,525,276       -18.2
BAGL     EINSTEIN NOAH RE               278,915       340,971       -18.2
FFIC     FLUSHING FINL                  945,382     1,155,332       -18.2
WTSLA    WET SEAL INC -A              3,279,957     4,001,774       -18.0
EGOV     NIC INC                      1,479,371     1,804,726       -18.0
QSFT     QUEST SOFTWARE               2,647,375     3,223,275       -17.9
RLRN     RENAISSANCE LEA                454,904       553,734       -17.8
IDTI     INTEGRAT DEVICE             12,415,823    15,095,102       -17.7
ASTE     ASTEC INDUSTRIES             1,437,571     1,745,607       -17.6
WCRX     WARNER CHILCOT-A             3,558,802     4,317,102       -17.6
SUPX     SUPERTEX INC                   360,080       434,440       -17.1
NATI     NATL INSTRUMENTS               501,165       604,182       -17.1
IDIX     IDENIX PHARM                 2,800,208     3,373,121       -17.0
DLTR     DOLLAR TREE INC              4,837,509     5,817,529       -16.8
CRME     CARDIOME PHARMA              1,166,572     1,402,312       -16.8
KLIC     KULICKE & SOFFA              2,807,137     3,373,939       -16.8
SUPR     SUPERIOR BANCORP               602,820       723,783       -16.7
NXPI     NXP SEMICONDUCTO             1,494,619     1,792,615       -16.6
SCSC     SCANSOURCE INC                 680,253       815,801       -16.6
SCMR     SYCAMORE NETWORK               730,699       876,149       -16.6
WFMI     WHOLE FOODS MKT             13,350,334    15,980,231       -16.5
ARTG     ART TECHNOLOGY               5,200,239     6,209,864       -16.3
JBHT     HUNT (JB) TRANS              2,983,490     3,556,920       -16.1
GPOR     GULFPORT ENERGY              1,246,782     1,485,033       -16.0
ACXM     ACXIOM CORP                  1,881,446     2,240,801       -16.0
MDAS     MEDASSETS INC                4,313,190     5,136,899       -16.0
TBSI     TBS INTERNATIO-A               354,299       421,415       -15.9
KIRK     KIRKLAND'S INC               1,083,870     1,288,063       -15.9
JAZZ     JAZZ PHARMACEUTI             1,832,765     2,177,525       -15.8
CSCO     CISCO SYSTEMS               39,244,831    46,587,512       -15.8
APPA     AP PHARMA INC                  328,606       389,745       -15.7
DLIA     DELIA*S INC                    244,697       290,146       -15.7
RADS     RADIANT SYSTEMS              1,087,687     1,288,983       -15.6
OVTI     OMNIVISION TECH              5,729,831     6,786,962       -15.6
ECHO     ECHO GLOBAL LOGI             2,247,263     2,659,132       -15.5
HBAN     HUNTINGTON BANC             30,058,766    35,567,785       -15.5
JOEZ     JOE'S JEANS INC              3,243,868     3,838,063       -15.5
PLXS     PLEXUS CORP                  1,879,889     2,223,283       -15.4
MKTX     MARKETAXESS                    636,540       752,793       -15.4
MCGC     MCG CAPITAL CORP             2,050,392     2,422,113       -15.3
AGII     ARGO GROUP INTER               696,379       822,442       -15.3
GSOL     GLOBAL SOURCES                 637,555       752,964       -15.3
CASY     CASEY'S GENERAL              2,463,681     2,904,073       -15.2
QADI     QAD INC                        304,515       358,930       -15.2
TRAK     DEALERTRACK HOLD             2,096,132     2,469,941       -15.1
FIRE     SOURCEFIRE INC               2,981,408     3,512,354       -15.1
FMCN     FOCUS MEDIA-ADR              3,638,488     4,286,041       -15.1
XTEX     CROSSTEX ENERGY                290,813       341,428       -14.8
NCMI     NATIONAL CINEMED             1,481,017     1,737,750       -14.8
FUBC     1ST UNITED BANCO               625,730       733,402       -14.7
SAIA     SAIA INC                       587,907       688,276       -14.6
TKLC     TEKELEC                      2,335,187     2,732,881       -14.6
PRFT     PERFICIENT INC                 576,526       674,427       -14.5
LQDT     LIQUIDITY SERVIC               719,806       841,428       -14.5
IBKR     INTERACTIVE BROK             2,552,457     2,980,523       -14.4
MXIM     MAXIM INTEGRATED            19,316,052    22,538,468       -14.3
APSG     APPLIED SIGNAL                 519,561       605,721       -14.2
DSPG     DSP GROUP INC                  499,622       582,297       -14.2
SKYW     SKYWEST INC                  1,381,902     1,609,466       -14.1
CLRT     CLARIENT INC                 3,105,504     3,615,977       -14.1
ROSE     ROSETTA RESOURCE             2,550,111     2,969,195       -14.1
IPCC     INFINITY PROPERT               234,224       272,442       -14.0
ACAT     ARCTIC CAT INC                 700,683       814,648       -14.0
CAVM     CAVIUM NETWORKS              9,677,545    11,250,517       -14.0
VLCM     VOLCOM INC                   2,431,733     2,825,811       -13.9
HRLY     HERLEY INDS                    304,837       354,236       -13.9
FEIC     FEI COMPANY                    955,417     1,110,231       -13.9
AVAV     AEROVIRONMENT IN             1,568,004     1,819,211       -13.8
COGO     COGO GROUP INC                 266,966       309,525       -13.7
XTXI     CROSSTEX ENERGY              2,444,810     2,830,582       -13.6
SCHN     SCHNITZER STEEL              1,356,952     1,570,895       -13.6
GEOY     GEOEYE INC                     563,375       651,935       -13.6
KFRC     KFORCE INC                     878,481     1,016,524       -13.6
AIMC     ALTRA HOLDINGS I               564,023       651,927       -13.5
SIGI     SELECT INS GRP               1,107,913     1,280,565       -13.5
KNDL     KENDLE INTL INC                421,960       487,536       -13.5
ATHR     ATHEROS COMMUNIC             9,643,564    11,136,419       -13.4
ORCL     ORACLE CORP                 28,581,354    32,987,652       -13.4
CSTR     COINSTAR INC                 8,167,867     9,426,867       -13.4
MSCC     MICROSEMI CORP               3,024,154     3,489,095       -13.3
NARA     NARA BANCORP INC             1,289,143     1,485,904       -13.2
USAK     USA TRUCK INC                  247,568       285,296       -13.2
BIIB     BIOGEN IDEC INC             11,706,501    13,480,212       -13.2
MAT      MATTEL INC                  13,670,401    15,734,821       -13.1
DELL     DELL INC                    41,629,271    47,891,688       -13.1
PBCT     PEOPLE'S UNITED             16,422,673    18,882,211       -13.0
WFD      WESTFIELD FIN                  734,237       844,179       -13.0
NEI      NETWORK ENGINES              1,269,687     1,459,160       -13.0
HOFT     HOOKER FURNITURE               255,139       293,115       -13.0
BRKS     BROOKS AUTOMATIO             1,736,324     1,993,379       -12.9
MRCY     MERCURY COMPUTER             1,044,700     1,199,354       -12.9
CVTI     COVENANT TRANS-A               206,673       237,037       -12.8
ROST     ROSS STORES INC              5,418,790     6,214,787       -12.8
LHCG     LHC GROUP INC                1,570,320     1,799,821       -12.8
ISRG     INTUITIVE SURGIC             2,525,328     2,892,135       -12.7
MDRX     ALLSCRIPTS HEALT             2,988,677     3,422,236       -12.7
WABC     WESTAMERICA BANC             2,741,849     3,139,473       -12.7
CNXT     CONEXANT SYS                 2,566,718     2,938,354       -12.6
HAYN     HAYNES INTL INC                307,477       351,597       -12.5
BELFB    BEL FUSE INC-B                 204,068       233,197       -12.5
SYMM     SYMMETRICOM INC              1,018,165     1,162,642       -12.4
PZZ      PROSPECT MEDICAL               234,694       267,962       -12.4
NWBI     NORTHWEST BANCSH             2,879,325     3,286,707       -12.4
ZOLL     ZOLL MEDICAL                 1,025,420     1,170,187       -12.4
SPIR     SPIRE CORP                     299,104       341,283       -12.4
NWSA     NEWS CORP-A                 36,066,203    41,119,777       -12.3
DNEX     DIONEX CORP                    731,818       834,108       -12.3
SHLM     SCHULMAN (A)                   630,825       718,901       -12.3
TRMB     TRIMBLE NAVIG                2,533,818     2,887,117       -12.2
KAMN     KAMAN CORP                     449,950       512,559       -12.2
ASCA     AMERISTAR CASINO             1,342,006     1,528,355       -12.2
KELYA    KELLY SERVICES-A             1,093,778     1,245,327       -12.2
ELRC     ELECTRO RENT CO                351,861       400,472       -12.1
URBN     URBAN OUTFITTER             19,509,784    22,189,822       -12.1
BIDU     BAIDU INC-SP ADR             8,545,742     9,719,063       -12.1
ORIT     ORITANI FINANCIA             1,515,094     1,723,019       -12.1
STFC     STATE AUTO FINL                297,263       337,962       -12.0
OXGN     OXIGENE INC                  2,466,563     2,801,615       -12.0
EGLE     EAGLE BULK SHIPP             5,090,248     5,779,749       -11.9
BFIN     BANKFINANCIAL                  466,706       529,825       -11.9
ESLR     EVERGREEN SOLAR             19,529,038    22,162,588       -11.9
ECPG     ENCORE CAPITAL G               324,871       368,642       -11.9
PSMT     PRICESMART INC                 424,984       482,228       -11.9
TCRD     THL CREDIT INC                 237,922       269,914       -11.9
ESSA     ESSA BANCORP INC               411,746       466,804       -11.8
RTIX     RTI BIOLOGICS                1,423,039     1,612,957       -11.8
LIWA     LIHUA INTERNATIO             1,178,846     1,335,834       -11.8
JJSF     J & J SNACK FOOD               312,278       353,794       -11.7
ORLY     O'REILLY AUTOMOT             4,073,422     4,612,339       -11.7
MOLX     MOLEX INC                    8,118,492     9,190,725       -11.7
IVAC     INTEVAC INC                  1,404,518     1,587,311       -11.5
SNDK     SANDISK CORP                15,031,262    16,984,288       -11.5
FINL     FINISH LINE-A                5,287,448     5,974,301       -11.5

*-- Data includes ETF positions.

-- Bloomberg News To contact Bloomberg News for this story: +1-212-318-2000 or newsdev@bloomberg.net

-0- Nov/25/2010 00:15 GMT

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