Largest NYSE Short Interest Percent Increases as of Nov. 30

The following are the 200 largest short interest percent increases on the New York Stock Exchange 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   
=============================================================================
EUO      PROSH-UL/SHO EUR             2,449,198       317,750       670.8
VEU      VANGUARD FTSE AL             1,366,835       253,764       438.6
IRE      BANK IRELAND-ADR            15,553,778     4,568,371       240.5
AHD      ATLAS PIPELINE H               736,086       216,351       240.2
CHMT     CHEMTURA CORP                6,873,591     2,202,412       212.1
KSS      KOHLS CORP                  25,154,234     9,753,340       157.9
PVX      PROVIDENT ENER-U             2,475,744     1,002,260       147.0
IWP      ISHARES-RUS M GR               826,664       337,824       144.7
LEA      LEAR CORP                    2,275,754       931,621       144.3
DEM      WISDOMTREE EMG M               479,167       204,228       134.6
TZA      SMALL CAP BEAR 3             6,323,618     2,735,575       131.2
FDN      FIRST TR INTRNET               514,102       228,525       125.0
KRO      KRONOS WORLDWIDE               436,587       207,154       110.8
PT       PORTUGAL TEL-ADR               485,434       233,210       108.2
PGF      POWERSHARES FIN                418,423       204,894       104.2
BT       BT GROUP-SPON AD               449,303       225,656        99.1
BKH      BLACK HILLS CORP             6,121,316     3,167,036        93.3
CKH      SEACOR HOLDINGS                588,392       304,578        93.2
RSG      REPUBLIC SVCS                3,718,637     1,958,225        89.9
VWO      VANGUARD EM MK E            14,733,454     7,795,243        89.0
EWH      ISHARES-HONGKONG            23,115,154    12,326,003        87.5
CBD      PAO ACUCAR-ADR               2,237,390     1,219,351        83.5
PPO      POLYPORE INTERNA             2,078,099     1,159,533        79.2
PHI      PHILIPP LONG-ADR               459,678       263,033        74.8
AIZ      ASSURANT INC                 1,726,551     1,002,585        72.2
FXP      PROSHARES ULTRAS               543,357       316,832        71.5
PIE      POWERSHARES DWA                572,155       335,286        70.6
GGP      GENERAL GROWTH P             4,757,362     2,793,456        70.3
STNG     SCORPIO TANKERS                561,573       331,048        69.6
BCS      BARCLAYS PLC-ADR             3,681,959     2,186,989        68.4
LYG      LLOYDS BANKING G             1,840,293     1,102,664        66.9
AIB      ALLIED IRISH-ADR            16,087,347     9,766,606        64.7
WSH      WILLIS GRP HLDGS               987,732       601,941        64.1
RBS      ROYAL BANK-S ADR             1,140,248       695,508        63.9
PWR      QUANTA SERVICES             12,634,676     7,714,140        63.8
REN      RESOLUTE ENERGY              4,176,619     2,556,590        63.4
IR       INGERSOLL-RAND              27,959,716    17,117,740        63.3
COL      ROCKWELL COLLINS             3,016,109     1,851,828        62.9
EWJ      ISHARES-JAPAN               25,828,688    16,031,745        61.1
PSO      PEARSON PLC-ADR              1,018,085       635,105        60.3
AH       ACCRETIVE HEALTH               947,118       601,136        57.6
WRC      WARNACO GROUP IN             3,670,654     2,349,377        56.2
ABX      BARRICK GOLD CRP            15,602,167    10,042,872        55.4
HMC      HONDA MOTOR-ADR                627,991       405,052        55.0
PDM      PIEDMONT OFFIC-A             2,153,090     1,391,372        54.7
NVO      NOVO-NORDISK-ADR               584,950       378,508        54.5
DXD      PROSHARES ULTRAS               553,756       358,562        54.4
HCC      HCC INSURANCE                  914,704       592,320        54.4
EWM      ISHARES-MALAYSIA             3,145,135     2,044,069        53.9
GDI      GARDNER DENVER                 827,508       540,121        53.2
STD      BANCO SANTAN-ADR            13,086,650     8,554,860        53.0
COT      COTT CORP                    1,116,486       734,172        52.1
ST       SENSATA TECHNOLO             1,399,604       922,229        51.8
VGK      VANGUARD EUR ETF             1,695,913     1,124,511        50.8
PAY      VERIFONE SYSTEMS             6,579,158     4,362,611        50.8
AB       ALLIANCEBERNSTEI               520,175       345,623        50.5
RF       REGIONS FINANCIA            65,772,349    43,994,855        49.5
SH       PROSHARES SHORT                457,503       306,121        49.5
SPF      STANDARD PACIFIC            16,744,829    11,225,880        49.2
AMLP     ALERIAN MLP ETF              2,522,744     1,709,076        47.6
IL       INTRALINKS HOLDI             1,014,347       688,197        47.4
VIG      VANGUARD DVD A E               554,175       376,520        47.2
IM       INGRAM MICRO INC             1,974,867     1,341,917        47.2
DYP      DUOYUAN PRINTING               709,695       484,594        46.5
GES      GUESS? INC                   4,544,931     3,105,815        46.3
NTT      NIPPON TELEG-ADR               894,438       612,567        46.0
HAR      HARMAN INTL                  1,496,325     1,025,507        45.9
DGS      WISDOMTREE EMERG               864,110       593,574        45.6
PFS      PROVIDENT FINANC             4,883,200     3,369,428        44.9
UN       UNILEVER NV-NYS              3,685,790     2,569,293        43.5
SJT      SAN JUAN BASIN                 933,072       650,687        43.4
EEM      ISHARES-EMG MKT             42,004,639    29,318,782        43.3
IWV      ISHARES-RS 3000                524,705       366,979        43.0
EWO      ISHARES MSCI AUS               372,694       260,831        42.9
MJN      MEAD JOHNSON                 2,974,600     2,082,970        42.8
VXX      IPATH-S&P S/T FU            21,833,049    15,380,854        41.9
FLS      FLOWSERVE CORP               2,077,776     1,465,436        41.8
MFG      MIZUHO FINAN-ADR             2,041,963     1,440,847        41.7
ABB      ABB LTD-ADR                  3,859,036     2,725,675        41.6
EL       ESTEE LAUDER                 5,210,421     3,702,424        40.7
FMC      FMC CORP                     1,107,678       787,939        40.6
TUP      TUPPERWARE BRAND             1,554,997     1,107,373        40.4
EZA      ISHARES-S AFR IN               490,584       351,035        39.8
DVA      DAVITA INC                   2,407,291     1,724,327        39.6
UNG      US NAT GAS FD LP            23,693,208    17,006,629        39.3
HHC      HOWARD HUGHE                   502,516       361,132        39.2
NU       NORTHEAST UTILS              3,306,312     2,376,122        39.1
AAV      ADVANTAGE OIL &                756,866       544,722        38.9
HRZ      HORIZON LINES-A              1,195,940       864,255        38.4
DOG      PROSHARES SHORT                298,506       216,041        38.2
CODE     SPANSION INC-A               1,467,709     1,063,270        38.0
HGT      HUGOTON ROYALTY                484,942       351,771        37.9
ETR      ENTERGY CORP                 2,155,884     1,565,914        37.7
IWF      ISHARES-RS 1K GR             1,000,584       728,657        37.3
EWI      ISHARES-ITALY                1,961,614     1,432,337        37.0
FTO      FRONTIER OIL                 7,294,398     5,329,878        36.9
E        ENI SPA-ADR                  1,014,488       743,495        36.4
ACV      ALBERTO-CULVER                 489,784       359,178        36.4
EM       EMDEON INC-A                   558,502       410,083        36.2
KBR      KBR INC                      2,451,654     1,801,506        36.1
SKH      SKILLED HEALTHCA             2,026,778     1,491,451        35.9
EFX      EQUIFAX INC                  1,981,945     1,462,112        35.6
AVY      AVERY DENNISON               2,335,970     1,730,919        35.0
HNP      HUANENG POWR-ADR               543,424       402,777        34.9
WBC      WABCO HOLDINGS                 882,890       654,544        34.9
FTK      FLOTEK INDS                  5,369,573     3,981,232        34.9
STP      SUNTECH POWE-ADR            19,662,603    14,698,907        33.8
TYH      TECH BULL 3X                   328,827       246,101        33.6
SJM      JM SMUCKER CO                1,616,255     1,212,200        33.3
TYP      TECH BEAR 3X                   327,573       245,930        33.2
TRH      TRANSATLANTIC HL               660,417       496,736        33.0
ARW      ARROW ELECTRONIC             3,308,459     2,491,675        32.8
JLL      JONES LANG LASAL             1,099,071       829,879        32.4
BAM      BROOKFIELD ASS-A             1,114,171       842,274        32.3
BGZ      LARGE CAP BEAR               1,771,515     1,341,854        32.0
BTE      BAYTEX ENERGY-UN               416,447       316,099        31.7
CRD/B    CRAWFORD & CO-B                969,602       736,039        31.7
QTM      QUANTUM CORP                13,806,846    10,498,687        31.5
CLI      MACK-CALI REALTY             2,128,135     1,619,100        31.4
SPN      SUPERIOR ENERGY              3,372,052     2,567,746        31.3
BR       BROADRIDGE FINL              3,563,636     2,714,587        31.3
AAN      AARON'S INC                  8,670,066     6,608,379        31.2
FIS      FIDELITY NATIONA             3,742,609     2,853,530        31.2
MFB      MAIDENFORM BRAND             1,111,625       847,765        31.1
TKR      TIMKEN CO                    1,909,060     1,456,746        31.0
MEE      MASSEY ENERGY CO             9,472,265     7,239,792        30.8
KRA      KRATON PERFORMAN               988,964       755,912        30.8
LAB      LABRANCHE & CO               2,240,278     1,713,119        30.8
AXS      AXIS CAPITAL                 1,847,815     1,414,697        30.6
RWR      SPDR DOW JONES R               588,363       451,769        30.2
ZTR      ZWEIG TOTL RETRN             1,403,692     1,078,368        30.2
SQM      QUIMICA Y-SP ADR             2,827,505     2,172,306        30.2
PHG      PHILIPS ELEC-NY                875,435       672,950        30.1
CVC      CABLEVISION SY-A             5,797,899     4,457,193        30.1
TIP      ISHARES US TREAS               419,912       322,842        30.1
CNH      CNH GLOBAL NV                  403,583       310,582        29.9
MDU      MDU RES GROUP                1,821,253     1,401,722        29.9
DRL      DORAL FINL CORP              1,183,450       913,259        29.6
CWH      COMMONWEALTH REI             1,313,865     1,015,594        29.4
AFG      AMER FINL GROUP                640,530       495,192        29.3
XHB      SPDR S&P HOMEBUI            17,390,410    13,482,212        29.0
PVR      PENN VIRGINIA RE             1,186,700       921,021        28.8
APD      AIR PRODS & CHEM             2,027,749     1,576,103        28.7
RAH      RALCORP HLDGS                1,907,711     1,482,909        28.6
SUR      CNA SURETY CORP                492,129       383,194        28.4
PKG      PACKAGING CORP               3,013,852     2,351,597        28.2
HUB/B    HUBBELL INC -B               1,018,263       794,926        28.1
PBR      PETROBRAS SA-ADR            14,212,968    11,133,311        27.7
XLB      SPDR-MATERIALS              18,447,208    14,453,925        27.6
MDR      MCDERMOTT INTL               2,929,660     2,297,411        27.5
SSW      SEASPAN CORP                   791,090       621,611        27.3
TKC      TURKCELL ILE-ADR             2,666,690     2,100,820        26.9
HBI      HANESBRANDS INC              6,047,829     4,765,557        26.9
WLP      WELLPOINT INC                5,350,181     4,217,538        26.9
XLE      SPDR-ENERGY SEL             40,028,206    31,588,614        26.7
ENS      ENERSYS                      1,983,498     1,565,747        26.7
AVT      AVNET INC                    4,187,587     3,312,011        26.4
LZB      LA-Z-BOY INC                 5,906,478     4,677,100        26.3
KS       KAPSTONE PAPER A             1,783,381     1,413,477        26.2
SWS      SWS GROUP INC                1,784,358     1,414,325        26.2
NVE      NV ENERGY INC                6,638,858     5,264,266        26.1
CEG      CONSTELLAT ENER              1,998,674     1,587,349        25.9
CMC      COMMERCIAL METAL             4,098,406     3,258,141        25.8
IOO      ISHARES-S&P GLOB               588,396       467,885        25.8
ORB      ORBITAL SCIENCES             2,635,090     2,098,788        25.6
EDE      EMPIRE DISTRICT              2,024,010     1,612,912        25.5
STJ      ST JUDE MEDICAL              6,452,669     5,142,766        25.5
SPR      SPIRIT AEROSYS-A             4,980,603     3,970,391        25.4
HNT      HEALTH NET INC               3,235,218     2,580,619        25.4
EE       EL PASO ELECTRIC             1,474,127     1,176,435        25.3
RKT      ROCK-TENN CO-A               1,480,389     1,181,602        25.3
WG       WILLBROS GROUP               2,242,018     1,791,952        25.1
USM      US CELLULAR CORP               320,589       256,586        24.9
PCEF     POWERSH CEF INC                398,788       319,263        24.9
AGN      ALLERGAN INC                 4,673,907     3,746,859        24.7
JNY      JONES GROUP INC              4,435,603     3,562,356        24.5
PFF      ISHARES S&P PREF             1,482,460     1,192,626        24.3
PEG      PUB SERV ENTERP              7,546,579     6,073,560        24.3
APU      AMERIGAS PARTNER               266,033       214,162        24.2
EOS      EATON VA-EEI II                273,791       220,409        24.2
WEC      WISCONSIN ENERGY             2,672,705     2,152,632        24.2
WPP      WAUSAU PAPER COR             1,874,780     1,511,957        24.0
NRGY     INERGY LP                      323,914       261,651        23.8
WFC/WS   WELLS FARGO-CW18               369,803       298,852        23.7
URS      URS CORP                     1,384,640     1,119,241        23.7
REMX     MARKET VECTORS R               677,053       548,255        23.5
AGL      AGL RESOURCES                  676,861       548,606        23.4
RAS      RAIT FINANCIAL T             7,258,712     5,884,145        23.4
HR       HEALTHCARE RLTY              4,114,711     3,336,585        23.3
THI      TIM HORTONS INC                531,255       431,986        23.0
OXY      OCCIDENTAL PETE             10,921,489     8,883,081        22.9
CKP      CHECKPOINT SYS               1,293,667     1,054,986        22.6
CAG      CONAGRA FOODS                7,754,162     6,324,408        22.6
LYB      LYONDELLBASELL-A             4,518,366     3,690,629        22.4
HAL      HALLIBURTON CO              21,086,858    17,251,943        22.2
BWC      BABCOCK & WILCOX             2,199,316     1,800,728        22.1
JNS      JANUS CAPITAL GR            20,230,215    16,566,940        22.1
ABT      ABBOTT LABS                  8,572,700     7,021,060        22.1
SHO      SUNSTONE HOTEL               5,128,224     4,200,848        22.1
HSC      HARSCO CORP                  2,313,494     1,898,685        21.8

*-- 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 23:44 GMT

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