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Largest Nasdaq Short Interest Percent Decreases as of Nov. 30

The following are the 200 largest short interest percent decreases on the Nasdaq Stock Market as of the Nov. 30 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                                                     
Symbol   Company                        Nov. 30       Nov. 15      % Change   
=============================================================================
GGAL     GRUPO GALICI-ADR               860,754     2,344,896       -63.3
MYL      MYLAN INC                   33,779,563    87,188,537       -61.3
BUCY     BUCYRUS INTERNAT             1,703,951     4,261,726       -60.0
ISLN     ISILON SYSTEMS I             1,623,395     3,433,406       -52.7
SMT      SMART TECHNOL-A              3,045,640     6,200,676       -50.9
CMCSK    COMCAST CORP-SPL             7,769,600    15,557,765       -50.1
XOMA     XOMA LTD                       262,968       491,515       -46.5
SCSS     SELECT COMFORT C             2,883,940     5,321,818       -45.8
ARCC     ARES CAPITAL COR             1,914,445     3,406,450       -43.8
RSCR     RES-CARE INC                   468,143       800,197       -41.5
VOD      VODAFONE GRP-ADR             7,912,488    12,962,536       -39.0
SPRD     SPREADTRUM-ADR               1,080,238     1,722,925       -37.3
SYNT     SYNTEL INC                     397,031       623,764       -36.3
STX      SEAGATE TECHNOLO            10,594,788    16,459,248       -35.6
CHTR     CHARTER COM-A                  457,521       680,880       -32.8
BCSI     BLUE COAT SYSTEM             3,015,568     4,471,036       -32.6
REVU     PRINCETON REVIEW             1,128,329     1,644,096       -31.4
LBTYK    LIBERTY GLOBAL-C             1,795,596     2,583,139       -30.5
STMP     STAMPS.COM INC                 290,320       414,903       -30.0
MAT      MATTEL INC                   9,682,062    13,670,401       -29.2
TECD     TECH DATA CORP               1,210,890     1,686,943       -28.2
PWRD     PERFECT WORL-ADR             1,434,540     1,996,038       -28.1
ALXA     ALEXZA PHARMACEU             2,776,028     3,862,115       -28.1
LCUT     LIFETIME BRANDS                311,022       432,405       -28.1
PRWT     PREMIERWEST BANC             3,317,926     4,590,940       -27.7
NOVL     NOVELL INC                   3,349,644     4,574,591       -26.8
BMC      BMC SOFTWARE INC             3,354,341     4,551,714       -26.3
BRCD     BROCADE COMM SYS            19,907,860    26,942,904       -26.1
MICC     MILLICOM INTL                  928,727     1,247,593       -25.6
ASEI     AMERICAN SCIENCE               231,377       309,999       -25.4
LKQX     LKQ CORP                     2,623,729     3,504,948       -25.1
CENT     CENTRAL GARDEN                 261,776       349,473       -25.1
NGBF     NEW GENERATION B               297,149       395,966       -25.0
CSUN     CHINA SUNERG-ADR             1,037,732     1,375,508       -24.6
CRXL     CRUCELL-ADR                    324,516       429,374       -24.4
UTIW     UTI WORLDWIDE                1,939,646     2,555,646       -24.1
PTNR     PARTNER COMM-ADR               284,155       374,091       -24.0
DTV      DIRECTV-A                   18,188,424    23,943,075       -24.0
TIBX     TIBCO SOFTWARE               6,201,814     8,123,113       -23.7
ASIA     ASIAINFO-LINKAGE             2,846,075     3,683,696       -22.7
RGNC     REGENCY ENERGY P               326,710       421,946       -22.6
CERS     CERUS CORP                   3,554,777     4,590,488       -22.6
BAGL     EINSTEIN NOAH RE               216,050       278,915       -22.5
IBKR     INTERACTIVE BROK             1,993,819     2,552,457       -21.9
ASPS     ALTISOURCE PORT                259,844       331,553       -21.6
CAST     CHINACAST EDUCAT               974,208     1,242,491       -21.6
OCNW     OCCAM NETWORKS I               393,228       499,605       -21.3
ATLS     ATLAS ENERGY INC             2,384,146     3,012,802       -20.9
OXGN     OXIGENE INC                  1,957,610     2,466,563       -20.6
EPAY     BOTTOMLINE TECH              1,362,440     1,712,320       -20.4
GLDD     GREAT LAKES DRED             1,657,339     2,072,396       -20.0
NIHD     NII HOLDING INC              4,154,776     5,183,875       -19.9
MEDQ     MEDQUIST INC                   343,562       426,864       -19.5
RGLD     ROYAL GOLD INC               1,243,722     1,536,795       -19.1
GOLD     RANDGOLD RES-ADR               901,566     1,111,328       -18.9
NTAP     NETAPP INC                  18,463,971    22,704,216       -18.7
TGA      TRANSGLOBE ENERG               243,983       299,337       -18.5
GOOG     GOOGLE INC-CL A              3,780,587     4,630,247       -18.4
CMCSA    COMCAST CORP-A              53,367,489    65,320,250       -18.3
GPOR     GULFPORT ENERGY              1,021,589     1,246,782       -18.1
NXPI     NXP SEMICONDUCTO             1,225,133     1,494,619       -18.0
HMIN     HOME INNS & -ADR             1,475,327     1,798,504       -18.0
FSTR     FOSTER (LB) CO-A               242,599       294,029       -17.5
ZBRA     ZEBRA TECH CORP                940,360     1,138,087       -17.4
SVNT     SAVIENT PHARMACE            12,004,720    14,524,913       -17.4
KEYN     KEYNOTE SYSTEMS                225,463       272,018       -17.1
ISIL     INTERSIL CORP-A             12,704,623    15,302,051       -17.0
NBIX     NEUROCRINE BIOSC             2,482,174     2,987,493       -16.9
ININ     INTERACTIVE INT                430,490       517,115       -16.8
AVNR     AVANIR PHARM INC            12,377,768    14,838,658       -16.6
MITI     MICROMET INC                 3,885,896     4,648,984       -16.4
CELL     BRIGHTPOINT INC              2,244,906     2,679,887       -16.2
RICK     RICKS CABARET                  202,372       241,043       -16.0
CRUS     CIRRUS LOGIC INC             9,073,830    10,757,485       -15.7
TNDM     NEUTRAL TANDEM I             2,485,236     2,945,271       -15.6
HOTT     HOT TOPIC INC                2,925,987     3,460,558       -15.4
SMCI     SUPER MICRO COMP               956,847     1,131,255       -15.4
ONTY     ONCOTHYREON INC              1,580,845     1,865,376       -15.3
EXXI     ENERGY XXI BERMU             4,344,855     5,124,340       -15.2
PRGS     PROGRESS SOFTWAR             1,656,800     1,947,876       -14.9
ASTI     ASCENT SOLAR TEC             1,402,152     1,646,719       -14.9
AMZN     AMAZON.COM INC               9,464,058    11,110,588       -14.8
PCAR     PACCAR INC                  15,206,638    17,837,225       -14.7
KMGB     KMG CHEMICALS                  201,696       236,523       -14.7
GIGM     GIGAMEDIA LTD                  935,152     1,096,040       -14.7
IFSIA    INTERFACE INC-A              2,425,180     2,841,762       -14.7
ALGT     ALLEGIANT TRAVEL             4,252,604     4,982,129       -14.6
ASCA     AMERISTAR CASINO             1,147,407     1,342,006       -14.5
HAFC     HANMI FINL CORP              3,748,242     4,383,929       -14.5
PLCM     POLYCOM INC                  5,900,117     6,890,761       -14.4
QSFT     QUEST SOFTWARE               2,267,097     2,647,375       -14.4
LIFE     LIFE TECHNOLOGIE             4,299,380     5,019,962       -14.4
MELI     MERCADOLIBRE INC             3,646,259     4,257,316       -14.4
ALTH     ALLOS THERAPEUT             12,450,497    14,522,217       -14.3
EWBC     EAST WEST BNCRP              3,774,283     4,396,142       -14.1
ACAS     AMERICAN CAPITAL            16,982,663    19,751,367       -14.0
MELA     MELA SCIENCES IN             6,669,921     7,752,100       -14.0
SORL     SORL AUTO PARTS                292,001       339,241       -13.9
FLIR     FLIR SYSTEMS                 7,919,838     9,198,447       -13.9
ONXX     ONYX PHARM                   4,607,151     5,346,375       -13.8
LNCR     LINCARE HOLDINGS             8,124,953     9,428,373       -13.8
LEAP     LEAP WIRELESS                6,964,605     8,060,325       -13.6
DIET     EDIETS.COM INC                 214,042       246,169       -13.1
QGEN     QIAGEN NV                    8,341,674     9,588,606       -13.0
STKL     SUNOPTA INC                    209,976       241,326       -13.0
JACK     JACK IN THE BOX              3,784,070     4,342,117       -12.9
NVDA     NVIDIA CORP                 27,927,758    32,015,537       -12.8
DORM     DORMAN PRODUCTS                347,898       398,440       -12.7
CYCC     CYCLACEL PHARMAC             1,555,974     1,781,860       -12.7
IPSU     IMPERIAL SUGAR                 724,004       828,735       -12.6
BWLD     BUFFALO WILD WIN             2,556,570     2,921,635       -12.5
COGO     COGO GROUP INC                 233,698       266,966       -12.5
FWLT     FOSTER WHEELER               3,971,560     4,531,582       -12.4
ATML     ATMEL CORP                  11,568,761    13,198,582       -12.3
HOGS     ZHONGPIN INC                 2,977,498     3,394,971       -12.3
AKAM     AKAMAI TECHNOLOG             7,882,173     8,980,966       -12.2
CHKP     CHECK POINT SOFT             4,009,706     4,563,904       -12.1
SPLS     STAPLES INC                 19,189,010    21,816,640       -12.0
KCAP     KOHLBERG CAPITAL               654,152       743,386       -12.0
SEED     ORIGIN AGRITECH              1,671,515     1,896,208       -11.8
SCOR     COMSCORE INC                 1,391,259     1,577,311       -11.8
AMCC     APPLIED MICRO CI             4,407,258     4,994,829       -11.8
BANR     BANNER CORPORATI               842,400       954,495       -11.7
EXAS     EXACT SCIENCES               3,820,936     4,327,847       -11.7
ERIC     ERICSSON LM-ADR             25,119,146    28,449,201       -11.7
NXTM     NXSTAGE MEDICAL              1,864,889     2,111,905       -11.7
SHPGY    SHIRE PLC-ADR                2,008,605     2,272,342       -11.6
RCRC     RC2 CORP                       727,804       822,386       -11.5
BIOF     BIOFUEL ENERGY C               308,363       348,323       -11.5
SPRT     SUPPORT.COM INC              1,656,632     1,871,253       -11.5
WSTL     WESTELL TECH-A                 254,771       287,688       -11.4
GAME     SHANDA GAMES-ADR               736,233       831,342       -11.4
VRNM     VERENIUM CORP                  977,548     1,103,365       -11.4
JBLU     JETBLUE AIRWAYS             40,510,070    45,723,333       -11.4
LCAPA    LIBERTY-CAP A                1,368,812     1,542,427       -11.3
CCIH     CHINACACHE-ADR                 265,428       298,997       -11.2
NICE     NICE SYSTEMS-ADR               326,860       368,194       -11.2
KVHI     KVH INDUSTRIES                 486,861       547,868       -11.1
CAAS     CHINA AUTOMOTIVE             1,074,602     1,207,633       -11.0
HCBK     HUDSON CITY BNCP            13,285,178    14,916,324       -10.9
ONCY     ONCOLYTICS BIO                 734,746       824,954       -10.9
BEBE     BEBE STORES INC              1,427,510     1,602,502       -10.9
CUTR     CUTERA INC                     496,571       557,296       -10.9
SAPE     SAPIENT CORP                 4,596,234     5,150,673       -10.8
ANSS     ANSYS INC                    2,426,383     2,716,986       -10.7
TNAV     TELENAV INC                    240,934       269,718       -10.7
URBN     URBAN OUTFITTER             17,432,235    19,509,784       -10.6
LTRE     LEARNING TREE                  212,480       237,704       -10.6
BBBY     BED BATH &BEYOND             9,080,321    10,147,195       -10.5
TTES     T-3 ENERGY SERVI               400,719       447,790       -10.5
CHDX     CHINDEX INTL INC               418,109       467,060       -10.5
UCBI     UNITED COMMUNITY             5,227,614     5,828,311       -10.3
AMAT     APPLIED MATERIAL            20,798,060    23,170,642       -10.2
GMAN     GORDMANS STORES                254,090       282,978       -10.2
TXCC     TRANSWITCH CORP                241,912       269,346       -10.2
RJET     REPUBLIC AIRWAYS             8,131,609     9,051,552       -10.2
VCLK     VALUECLICK INC               6,709,643     7,467,227       -10.1
CETV     CENTRAL EURO M-A             2,763,846     3,074,590       -10.1
NTRS     NORTHERN TRUST               6,050,664     6,729,363       -10.1
FIBK     FIRST INTER/MT                 376,439       418,480       -10.0
CELG     CELGENE CORP                 9,453,832    10,505,488       -10.0
SMSI     SMITH MICRO SOFT             1,758,828     1,954,402       -10.0
CVLT     COMMVAULT SYSTEM             2,356,742     2,618,657       -10.0
SPPI     SPECTRUM PHARMAC             3,463,367     3,847,593       -10.0
WCRX     WARNER CHILCOT-A             3,204,295     3,558,802       -10.0
CRZO     CARRIZO OIL&GAS              3,976,175     4,410,377        -9.8
TICC     TICC CAPITAL COR               728,186       807,576        -9.8
CASY     CASEY'S GENERAL              2,223,909     2,463,681        -9.7
MLNX     MELLANOX TECHNOL             1,331,414     1,474,318        -9.7
ALKS     ALKERMES INC                 5,240,252     5,802,171        -9.7
PEBO     PEOPLES BANC INC               262,868       290,943        -9.6
ULTR     ULTRAPETROL                    655,480       725,401        -9.6
ANDS     ANADYS PHARMACEU               702,199       776,992        -9.6
KITD     KIT DIGITAL INC              4,619,996     5,111,535        -9.6
WFMI     WHOLE FOODS MKT             12,094,432    13,350,334        -9.4
LIOX     LIONBRIDGE TECH              1,752,636     1,934,582        -9.4
BIOS     BIOSCRIP INC                 2,770,688     3,058,184        -9.4
VNDA     VANDA PHARMACEUT             2,190,393     2,415,720        -9.3
MILL     MILLER PETROLEUM             1,322,021     1,457,804        -9.3
QCOM     QUALCOMM INC                28,285,999    31,186,437        -9.3
IVAC     INTEVAC INC                  1,274,357     1,404,518        -9.3
SENEA    SENECA FOODS-A                 573,277       631,691        -9.2
SYKE     SYKES ENTERPRISE             1,259,532     1,387,388        -9.2
LWSN     LAWSON SOFTWARE              4,763,306     5,244,177        -9.2
CWTR     COLDWATER CREEK              2,873,950     3,163,668        -9.2
AXTI     AXT INC                      1,036,344     1,140,393        -9.1
CROX     CROCS INC                    8,407,144     9,242,952        -9.0
SANM     SANMINA-SCI CORP             6,790,201     7,461,346        -9.0
HERO     HERCULES OFFSHOR             8,364,268     9,190,599        -9.0
AUDC     AUDIOCODES LTD                 200,797       220,455        -8.9
AMAG     AMAG PHARMACEUTI             1,849,307     2,030,099        -8.9
NTCT     NETSCOUT SYSTEMS             1,150,458     1,262,722        -8.9
GIFI     GULF ISLAND FABR               359,286       394,320        -8.9
RIGL     RIGEL PHARMACEUT             2,654,796     2,912,504        -8.8
JDAS     JDA SOFTWARE GRP             2,486,290     2,726,251        -8.8
AMLN     AMYLIN PHARM INC            11,860,882    13,000,069        -8.8
AGNC     AMERICAN CAPITAL             2,188,862     2,398,622        -8.7
BJRI     BJ'S RESTAURANTS             4,141,731     4,533,742        -8.6
ATNI     ATLANTIC TELE-NE               415,548       454,835        -8.6
EURX     EURAND NV                      783,874       857,713        -8.6

*-- Data includes ETF positions.

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

-0- Dec/09/2010 23:46 GMT

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