Largest NYSE Short Interest Percent Decreases as of Nov. 15

The following are the 200 largest short interest percent decreases on the New York Stock Exchange 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   
=============================================================================
VEU      VANGUARD FTSE AL               253,764     1,635,349       -84.5
PSP      POWERSHARES GLOB               204,080     1,158,742       -82.4
EUO      PROSH-UL/SHO EUR               317,750       911,811       -65.2
AB       ALLIANCEBERNSTEI               345,623       982,734       -64.8
MTB      M&T BANK CORP                6,815,241    18,028,679       -62.2
DEM      WISDOMTREE EMG M               204,228       527,838       -61.3
NRGY     INERGY LP                      261,651       628,613       -58.4
CGV      GEOPHYSIQUE-ADR                231,683       527,524       -56.1
LAZ      LAZARD LTD-CL A                665,856     1,512,259       -56.0
TIP      ISHARES US TREAS               322,842       713,736       -54.8
WL       WILMINGTON TRUST             7,179,706    15,670,765       -54.2
HMC      HONDA MOTOR-ADR                405,052       823,822       -50.8
KBE      SPDR KBW BANK ET            10,268,123    20,855,760       -50.8
EWX      SPDR S&P EMER SM               257,769       520,945       -50.5
EZA      ISHARES-S AFR IN               351,035       701,641       -50.0
SMN      PROSHARES ULTRAS               275,638       542,839       -49.2
PHI      PHILIPP LONG-ADR               263,033       495,619       -46.9
ABC      AMERISOURCEBERGE             5,522,645    10,107,831       -45.4
ETR      ENTERGY CORP                 1,565,914     2,857,352       -45.2
WES      WESTERN GAS PART               270,026       482,413       -44.0
EFA      ISHARES-MSCI EAF            25,322,543    44,294,000       -42.8
GGP      GENERAL GROWTH P             2,796,882     4,794,856       -41.7
PPT      PUTNAM PREM INC                323,776       550,905       -41.2
EWM      ISHARES-MALAYSIA             2,044,069     3,388,805       -39.7
AIZ      ASSURANT INC                 1,002,585     1,662,043       -39.7
GEL      GENESIS ENERGY                 264,867       434,576       -39.1
GES      GUESS? INC                   3,105,815     5,019,751       -38.1
DOX      AMDOCS LTD                   1,653,529     2,667,613       -38.0
IYF      ISHARES-DJ FN SC               670,662     1,079,138       -37.9
AMJ      JPM-ALERIAN MLP              2,986,232     4,762,929       -37.3
UN       UNILEVER NV-NYS              2,591,416     4,114,347       -37.0
IM       INGRAM MICRO INC             1,341,917     2,129,727       -37.0
RKH      REGIONAL BK HLDR             1,663,532     2,638,901       -37.0
SLX      MKT VECT-STEEL                 280,611       443,807       -36.8
AES      AES CORP                     5,987,308     9,348,112       -36.0
CIM      CHIMERA INV CORP            19,220,216    29,803,867       -35.5
BAM      BROOKFIELD ASS-A               842,274     1,303,898       -35.4
NBG      NATL BANK GR-ADR            13,169,767    20,373,689       -35.4
TLM      TALISMAN ENERGY              4,562,974     7,037,357       -35.2
IYT      ISHARES-DJ US TR             2,192,338     3,378,640       -35.1
DST      DST SYSTEMS INC                593,849       914,311       -35.0
TWM      PROSHARES ULTRAS             1,203,310     1,837,340       -34.5
ESC      EMERITUS CORP                2,856,683     4,348,587       -34.3
SU       SUNCOR ENERGY                5,666,778     8,594,433       -34.1
KG       KING PHARMACEUTI             1,682,441     2,549,176       -34.0
DEO      DIAGEO PLC-ADR                 522,642       787,707       -33.7
VQ       VENOCO INC                   2,245,596     3,381,667       -33.6
PNW      PINNACLE WEST                1,794,124     2,690,159       -33.3
EBS      EMERGENT BIOSOLU             1,012,874     1,495,168       -32.3
PVX      PROVIDENT ENER-U             1,002,260     1,478,393       -32.2
AWI      ARMSTRONG WORLD              1,410,869     2,076,126       -32.0
XCO      EXCO RESOURCES I             8,490,241    12,486,618       -32.0
BTE      BAYTEX ENERGY-UN               316,099       461,437       -31.5
DRL      DORAL FINL CORP                913,259     1,330,658       -31.4
KCE      SPDR KBW CAPITAL               239,171       347,853       -31.2
SH       PROSHARES SHORT                306,121       439,141       -30.3
CPA      COPA HOLDIN-CL A               509,312       728,587       -30.1
CKH      SEACOR HOLDINGS                304,578       433,768       -29.8
HIX      WESTERN AS H/I 2               316,614       448,649       -29.4
PZA      POWERSH-I N M B                370,472       524,098       -29.3
ING      ING GROEP-ADR                2,915,256     4,101,586       -28.9
PSB      PS BUSINESS PARK               570,456       801,841       -28.9
RNR      RENAISSANCERE                  940,516     1,316,338       -28.6
TGT      TARGET CORP                  9,406,953    13,132,894       -28.4
KW       KENNEDY-WILSON H               657,009       916,566       -28.3
STM      STMICROELECTR-NY             6,011,032     8,343,863       -28.0
LNC      LINCOLN NATL CRP             6,086,793     8,433,562       -27.8
TTT      TERRA NOVA ROYAL               215,494       298,146       -27.7
NM       NAVIOS MARITIME                555,795       767,420       -27.6
ACV      ALBERTO-CULVER                 359,178       494,958       -27.4
ASX      ADV SEMI ENG-ADR             1,641,011     2,252,876       -27.2
TGH      TEXTAINER GROUP                782,706     1,071,469       -27.0
TI       TELECOM ITAL-ADR               328,057       448,664       -26.9
CLX      CLOROX CO                    2,963,260     4,026,515       -26.4
ASF      ADMINISTAFF INC                587,844       797,965       -26.3
CNI      CAN NATL RAILWAY               808,222     1,096,661       -26.3
NWL      NEWELL RUBBERMAI            19,379,884    26,255,138       -26.2
AYE      ALLEGHENY ENERGY             9,956,131    13,459,237       -26.0
ABT      ABBOTT LABS                  7,021,060     9,481,942       -26.0
MI       MARSHALL &ILSLEY            16,437,332    22,163,655       -25.8
A        AGILENT TECH INC             4,332,824     5,817,388       -25.5
L        LOEWS CORP                   2,130,611     2,860,122       -25.5
XSD      SPDR S&P SEMICON               299,753       401,869       -25.4
ABV      AMBEV-PRF ADR                1,896,101     2,541,796       -25.4
CYT      CYTEC INDS                     591,630       791,156       -25.2
PGF      POWERSHARES FIN                204,894       273,885       -25.2
VG       VONAGE HOLDINGS              4,720,784     6,282,643       -24.9
EPL      ENERGY PARTNERS                798,914     1,063,202       -24.9
RAH      RALCORP HLDGS                1,482,909     1,964,114       -24.5
LVS      LAS VEGAS SANDS             33,359,054    43,960,771       -24.1
MUR      MURPHY OIL CORP              1,841,777     2,409,910       -23.6
IWC      ISHARES-RUSS M/C               906,970     1,182,556       -23.3
IRC      INLAND REAL ESTA             2,155,421     2,793,577       -22.8
NU       NORTHEAST UTILS              2,376,122     3,074,664       -22.7
DXD      PROSHARES ULTRAS               358,562       463,096       -22.6
SUN      SUNOCO INC                   8,873,479    11,440,936       -22.4
H        HYATT HOTELS-A               1,515,376     1,952,390       -22.4
ROC      ROCKWOOD HOLDING             1,978,943     2,547,093       -22.3
ACL      ALCON INC                    1,156,772     1,488,706       -22.3
ITUB     ITAU UNIBANC-ADR            12,685,345    16,310,618       -22.2
FMC      FMC CORP                       787,939     1,011,562       -22.1
ELX      EMULEX CORP                  4,723,224     6,056,693       -22.0
DRN      DIREXION-R E-BUL             1,075,379     1,375,661       -21.8
KIM      KIMCO REALTY                12,662,040    16,159,323       -21.6
WFC/WS   WELLS FARGO-CW18               298,852       381,222       -21.6
MTU      MITSUBISHI U-ADR             2,598,360     3,304,114       -21.4
MJN      MEAD JOHNSON                 2,082,970     2,648,063       -21.3
TJX      TJX COS INC                  8,221,589    10,446,143       -21.3
RLD      REALD INC                    3,041,355     3,862,297       -21.3
HYC      HYPERCOM CORP                1,299,831     1,650,381       -21.2
DEP      DUNCAN ENERGY PA               270,926       343,875       -21.2
EEM      ISHARES-EMG MKT             29,318,782    37,028,335       -20.8
SHAW     SHAW GROUP INC               2,058,617     2,597,756       -20.8
CCL      CARNIVAL CORP               11,469,735    14,462,696       -20.7
CATO     CATO CORP-A                    611,327       770,303       -20.6
GGB      GERDAU SA-ADR               13,169,588    16,566,909       -20.5
UMC      UNITED MICRO-ADR             7,518,582     9,454,432       -20.5
BVN      BUENAVENTURA-ADR             1,846,342     2,321,477       -20.5
DKS      DICK'S SPORTING              7,390,681     9,286,413       -20.4
TTI      TETRA TECHNOLOGI             4,342,089     5,447,818       -20.3
CSC      COMPUTER SCIENCE             2,008,703     2,519,894       -20.3
HGR      HANGER ORTHOPED              1,164,305     1,459,593       -20.2
BAP      CREDICORP LTD                  534,886       670,270       -20.2
SLH      SOLERA HOLDINGS              1,573,959     1,972,167       -20.2
TFX      TELEFLEX INC                 1,014,353     1,269,992       -20.1
MBT      MOBILE TELES-ADR             3,386,938     4,236,087       -20.0
DO       DIAMOND OFFSHORE            11,044,246    13,798,929       -20.0
AWC      ALUMINA LTD-ADR                515,997       644,600       -20.0
IOO      ISHARES-S&P GLOB               467,885       582,641       -19.7
NE       NOBLE CORP                   4,945,542     6,155,359       -19.7
CCE      COCA-COLA ENTER              9,266,041    11,527,692       -19.6
IAI      ISHARES-DJ BR DL               649,692       806,828       -19.5
RBC      REGAL BELOIT                 2,673,282     3,317,997       -19.4
EWK      ISHARES MSCI BEL               385,794       478,834       -19.4
HS       HEALTHSPRING INC             2,507,100     3,105,600       -19.3
DCO      DUCOMMUN INC                   269,919       333,325       -19.0
CVI      CVR ENERGY INC               1,285,880     1,587,803       -19.0
CBE      COOPER INDS                  1,799,557     2,221,076       -19.0
CMO      CAPSTEAD MORTGAG             3,128,855     3,856,082       -18.9
GKK      GRAMERCY CAPITAL               368,137       453,605       -18.8
CBS      CBS CORP-B                  20,227,824    24,912,764       -18.8
SSW      SEASPAN CORP                   621,611       765,375       -18.8
MA       MASTERCARD INC-A             2,307,588     2,840,605       -18.8
BDN      BRANDYWINE RLTY              2,913,057     3,584,113       -18.7
COL      ROCKWELL COLLINS             1,851,828     2,278,400       -18.7
LFC      CHINA LIFE-ADR               1,457,532     1,791,633       -18.6
SHY      ISHARES 1-3 YR                 408,681       501,819       -18.6
APL      ATLAS PIPELINE P               654,201       802,810       -18.5
PLL      PALL CORP                    1,202,396     1,472,890       -18.4
KWK      QUICKSILVER RES              8,945,057    10,951,685       -18.3
GIB      CGI GROUP INC-A              1,558,607     1,907,837       -18.3
BLL      BALL CORP                    1,405,875     1,716,644       -18.1
FR       FIRST IND REALTY            10,972,084    13,382,041       -18.0
HCP      HCP INC                     10,586,138    12,910,898       -18.0
SWM      SCHWEITZER-MAUDU             1,162,579     1,416,622       -17.9
INP      IPATH MSCI INDIA             1,146,116     1,395,441       -17.9
BBY      BEST BUY CO INC             17,878,465    21,760,159       -17.8
UNM      UNUM GROUP                   6,604,754     8,020,443       -17.7
HNI      HNI CORP                     2,182,472     2,647,703       -17.6
BSBR     BANCO SANTANDER              4,025,526     4,883,162       -17.6
RSG      REPUBLIC SVCS                1,958,225     2,371,837       -17.4
AEG      AEGON NV-NY REG                870,428     1,051,101       -17.2
RSP      RYDEX-S&P EQ ETF               888,850     1,073,010       -17.2
HMN      HORACE MANN EDUC               684,627       826,287       -17.1
BW       BRUSH ENGINEERED             1,015,104     1,223,175       -17.0
DAL      DELTA AIR LI                18,434,926    22,211,993       -17.0
CEG      CONSTELLAT ENER              1,587,349     1,912,382       -17.0
BGS      B&G FOODS INC                1,312,928     1,581,505       -17.0
MDR      MCDERMOTT INTL               2,297,411     2,765,060       -16.9
FIX      COMFORT SYSTEMS              1,396,592     1,680,305       -16.9
EC       ECOPETROL-SP ADR               788,694       947,515       -16.8
CBC      CAP BANCORP LTD              2,530,954     3,040,410       -16.8
GOL      GOL-ADR                      4,275,542     5,131,972       -16.7
WBD      WIMM-BILL-DA-ADR             1,427,936     1,713,647       -16.7
BAS      BASIC ENERYG SVS             1,896,727     2,275,978       -16.7
AFG      AMER FINL GROUP                495,192       593,670       -16.6
BRK/B    BERKSHIRE HATH-B            20,229,924    24,220,493       -16.5
TEO      TELECOM ARGE-ADR               339,804       406,762       -16.5
RKT      ROCK-TENN CO-A               1,181,602     1,413,299       -16.4
AET      AETNA INC                    3,442,960     4,113,842       -16.3
KMT      KENNAMETAL INC               3,025,607     3,615,056       -16.3
POL      POLYONE CORP                 2,540,944     3,033,314       -16.2
MSM      MSC INDL DIRECT              1,593,387     1,902,129       -16.2
CAB      CABELA'S INC                 8,139,251     9,714,037       -16.2
CBK      CHRISTOPHER & B              1,038,092     1,237,680       -16.1
GPN      GLOBAL PAYMENTS              2,408,695     2,871,796       -16.1
KFY      KORN/FERRY INTL              1,730,553     2,062,131       -16.1
IT       GARTNER INC                  4,191,262     4,993,724       -16.1
CMI      CUMMINS INC                  5,599,120     6,667,074       -16.0
EBR/B    ELETROBRAS-ADR P               415,018       493,493       -15.9
GBX      GREENBRIER COS               1,022,024     1,213,874       -15.8
WNR      WESTERN REFINING             9,265,319    10,998,858       -15.8
EXC      EXELON CORP                 17,199,422    20,401,420       -15.7
IRF      INTL RECTIFIER               3,536,737     4,190,849       -15.6
SVR      SYNIVERSE HOLDIN             2,207,101     2,615,110       -15.6
CML      COMPELLENT TECH              1,775,641     2,103,436       -15.6
SCS      STEELCASE INC-A              3,445,511     4,074,929       -15.4
MDT      MEDTRONIC INC               10,774,128    12,740,853       -15.4
PLT      PLANTRONICS INC              1,799,912     2,127,258       -15.4
WLP      WELLPOINT INC                4,217,538     4,982,869       -15.4

*-- 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 00:13 GMT

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