Largest NYSE Short Interest Ratios as of April 29

The following are the 200 largest short interest ratios on the New York Stock Exchange as of the April 29 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                             Avg. Daily    Days To   
Symbol   Company                        April 29     Volume       Cover   
=============================================================================
PRIS     PRISA A-ADR                  3,466,490      21,937       158.0
ELR      SPDR DOW JONES L               253,835       1,692       150.0
UTH      UTILITIES HLDRS                677,282       4,833       140.1
PPA      POWERSH-AERO&DEF             2,533,626      31,783        79.7
RCI      ROGERS COMMUNI-B            23,727,305     332,253        71.4
CBZ      CBIZ INC                     8,317,417     132,913        62.6
TXI      TEXAS INDUSTRIES             4,978,527      85,755        58.1
JOE      ST JOE CO                   21,446,601     378,234        56.7
MPX      MARINE PRODUCTS                508,397       9,584        53.0
HEI      HEICO CORP                   3,980,091      76,726        51.9
DOLE     DOLE FOOD CO INC             9,389,770     181,076        51.9
BDH      BROADBAND HOLDRS               345,201       6,977        49.5
FBP      FIRST BANCORP PR             5,115,129     105,819        48.3
AVD      AMER VANGUARD                1,943,881      44,293        43.9
PRS      PRIMUS GUARANTY                855,554      20,583        41.6
ESC      EMERITUS CORP                3,409,657      84,151        40.5
TR       TOOTSIE ROLL IND             2,532,361      64,334        39.4
XNY      CHINA XINIYA-ADR             3,185,719      81,450        39.1
RBA      RITCHIE BROS                11,993,699     327,373        36.6
CIA      CITIZENS INC                 1,777,592      49,542        35.9
BPI      BRIDGEPOINT EDUC            10,037,255     279,766        35.9
SCL      STEPAN CO                      550,527      15,441        35.7
MEG      MEDIA GENERAL-A              4,582,239     136,254        33.6
CCSC     COUNTRY-SPON ADR             1,398,464      41,627        33.6
ZZ       SEALY CORP                  13,329,787     397,210        33.6
FC       FRANKLIN COVEY                 531,055      16,638        31.9
BBX      BANKATLANTIC B-A             5,793,330     182,079        31.8
TRK      SPEEDWAY MOTORSP               994,677      31,730        31.3
BMO      BANK OF MONTREAL            19,196,133     615,638        31.2
CM       CAN IMPL BK COMM             4,704,850     151,476        31.1
BKH      BLACK HILLS CORP             6,065,752     196,229        30.9
ADC      AGREE REALTY                 1,112,385      36,293        30.7
DFT      DUPONT FABROS TE            13,370,336     458,105        29.2
RDY      DR REDDY'S-ADR               4,378,917     150,986        29.0
MR       MINDRAY MEDI-ADR            14,429,566     503,380        28.7
WPO      WASHINGTON POS-B               866,903      30,982        28.0
RY       ROYAL BANK OF CA            11,187,391     411,372        27.2
TAC      TRANSALTA CORP                 901,658      33,499        26.9
AM       AMER GREETINGS-A             7,302,058     272,431        26.8
ODC      OIL DRI CORP                   205,418       7,713        26.6
TYL      TYLER TECHNOLOG              3,225,613     121,350        26.6
RST      ROSETTA STONE IN             3,577,620     135,803        26.3
PKY      PARKWAY PPTYS/MD             1,621,197      61,600        26.3
WMK      WEIS MARKETS INC               552,788      21,011        26.3
FMD      FIRST MARBLEHEAD             4,077,819     155,690        26.2
RDK      RUDDICK CORP                 4,312,152     164,773        26.2
GFF      GRIFFON CORP                 2,255,765      87,962        25.6
BWS      BROWN SHOE CO                7,774,266     308,945        25.2
AKO/B    EMBOT ANDINA-ADR               253,486      10,106        25.1
CBU      COMMUNITY BANK S             3,641,631     145,564        25.0
AIN      ALBANY INTL CORP             2,184,714      87,963        24.8
NFP      NATIONAL FINANCI             6,061,516     245,692        24.7
GRB      GERBER SCI INC                 852,856      34,734        24.6
NOAH     NOAH HOLDING-ADS             1,698,590      69,401        24.5
OFG      ORIENTAL FINL                2,364,098      97,159        24.3
GVA      GRANITE CONSTR               5,285,048     218,444        24.2
STRI     STR HOLDINGS INC             7,900,044     336,166        23.5
TREX     TREX CO INC                  2,585,438     110,124        23.5
PULS     PULSE ELECTRONIC             3,259,456     139,884        23.3
WST      WEST PHARMACEUT              2,406,990     103,586        23.2
CRH      CRH PLC-ADR                  1,810,963      78,139        23.2
ETM      ENTERCOM COMM-A              2,427,797     105,237        23.1
HVT      HAVERTY FURNITUR               687,020      29,796        23.1
LXP      LEXINGTON REALTY            10,390,418     457,945        22.7
NNN      NATIONAL RETAIL              9,734,597     429,964        22.6
WGL      WGL HLDGS INC                3,292,532     146,246        22.5
GSH      GUANGSHEN RA-ADR             1,366,878      61,134        22.4
EPR      ENTERTAINMENT PR             3,835,986     172,100        22.3
BGG      BRIGGS & STRATTN             7,933,016     357,056        22.2
BBW      BUILD-A-BEAR WOR             1,514,373      68,400        22.1
WGO      WINNEBAGO INDS               4,781,076     216,288        22.1
CQB      CHIQUITA BRANDS              4,644,182     210,948        22.0
KRE      SPDR KBW REGIONA            41,528,939   1,895,746        21.9
AOI      ALLIANCE ONE INT             7,142,563     327,163        21.8
SJI      SOUTH JERSEY IND             1,380,845      63,334        21.8
EVC      ENTRAVISION CO-A             2,140,736      99,369        21.5
TD       TORONTO DOM BANK            10,803,152     501,755        21.5
LNN      LINDSAY CORP                 2,375,119     110,913        21.4
ABM      ABM INDUSTRIES               3,594,638     171,054        21.0
UVV      UNIVERSAL CORP               2,873,773     139,168        20.6
BRP      BROOKFIELD RESID               370,267      18,246        20.3
HAE      HAEMONETICS CORP             2,339,922     115,533        20.3
SWH      SOFTWARE HOLDRS                223,867      11,111        20.1
WR       WESTAR ENERGY IN            16,343,072     814,189        20.1
NPK      NATL PRESTO INDS               493,867      24,610        20.1
KW       KENNEDY-WILSON H               760,800      37,916        20.1
FICO     FAIR ISAAC CORP              3,860,355     192,697        20.0
CGA      CHINA GREEN AGRI             3,268,838     163,882        19.9
DGW      DUOYUAN GLOB-ADR             3,173,621     159,174        19.9
OPY      OPPENHEIMER HO-A               434,247      21,787        19.9
CVO      CENVEO INC                   3,636,524     182,965        19.9
MVC      MVC CAPITAL INC                792,234      39,943        19.8
HIL      HILL INTERNATION             1,036,809      52,597        19.7
MLM      MARTIN MAR MTLS              6,989,425     356,961        19.6
FII      FEDERATED INV-B             14,502,186     747,130        19.4
CATO     CATO CORP-A                  1,956,709     101,412        19.3
LFL      LAN AIRLINES-ADR             6,149,475     319,304        19.3
BXG      BLUEGREEN CORP                 608,199      31,685        19.2
PFS      PROVIDENT FINANC             3,477,207     181,730        19.1
PNX      PHOENIX COS                  6,358,644     332,686        19.1
EXP      EAGLE MATERIALS              3,645,596     191,150        19.1
DLR      DIGITAL REALTY              17,665,235     933,776        18.9
THO      THOR INDUSTRIES              4,958,189     263,622        18.8
BPZ      BPZ RESOURCES IN            15,320,655     815,072        18.8
RLI      RLI CORP                     1,696,942      91,282        18.6
CHG      CH ENERGY GROUP                670,225      36,197        18.5
DIN      DINEEQUITY INC               2,214,355     119,708        18.5
KEX      KIRBY CORP                   4,062,441     220,462        18.4
BKE      THE BUCKLE INC               4,659,004     253,146        18.4
PBY      PEP BOYS MM&J                6,654,117     362,212        18.4
PWY      POWERSH-DY S/C V               242,666      13,247        18.3
REN      RESOLUTE ENERGY              5,971,616     326,080        18.3
RLD      REALD INC                    8,477,729     464,532        18.3
VMC      VULCAN MATERIALS            18,745,483   1,031,433        18.2
SKY      SKYLINE CORP                   411,937      22,710        18.1
TUC      MAC-GRAY CORP                  333,702      18,411        18.1
GCAP     GAIN CAPITAL HOL             1,447,523      79,922        18.1
HGG      HHGREGG INC                 10,451,094     578,864        18.1
SR       STANDARD REGISTE               860,985      47,760        18.0
MTN      VAIL RESORTS                 2,735,451     152,034        18.0
STC      STEWART INFO SVC             1,997,513     111,151        18.0
AEL      AMER EQUITY INVT             6,536,547     363,888        18.0
FNB      FNB CORP                    12,711,504     709,853        17.9
MNI      MCCLATCHY CO-A              25,039,924   1,401,613        17.9
CO       CHINA CORD BLOOD               340,400      19,253        17.7
ACH      ALUMINUM COR-ADR             4,245,773     242,499        17.5
CACI     CACI INTL-A                  3,234,200     184,949        17.5
SAH      SONIC AUTOMOTI-A            10,294,760     588,822        17.5
NWN      NORTHWEST NAT GS             1,761,329     100,954        17.4
PVA      PENN VIRGINIA                8,025,008     460,829        17.4
THS      TREEHOUSE FOODS              3,125,886     182,765        17.1
ENZ      ENZO BIOCHEM INC             1,629,659      95,551        17.1
EXAM     EXAMWORKS GROUP              2,195,020     129,413        17.0
EXL      EXCEL TRUST INC                813,461      47,981        17.0
AHS      AMN HEALTHCARE               2,456,961     146,268        16.8
BGC      GEN CABLE CORP               8,277,700     494,705        16.7
GCO      GENESCO INC                  2,895,652     173,722        16.7
MLR      MILLER INDS/TENN               277,250      16,753        16.5
VGR      VECTOR GROUP LTD             4,390,529     265,572        16.5
CHH      CHOICE HOTELS                2,380,645     144,204        16.5
STE      STERIS CORP                  3,610,348     218,715        16.5
WG       WILLBROS GROUP               3,382,209     205,364        16.5
PRO      PROS HOLDINGS IN               903,284      54,869        16.5
IVC      INVACARE CORP                2,196,771     133,901        16.4
LRN      K12 INC                      3,680,208     224,581        16.4
ALC      ASSISTED LIVIN-A               253,958      15,634        16.2
PHX      PANHANDLE OIL-A                254,269      15,702        16.2
USU      USEC INC                    19,387,474   1,200,560        16.1
DEL      DELTIC TIMBER                  598,407      37,168        16.1
TRNO     TERRENO REALTY C               267,849      16,678        16.1
GY       GENCORP INC                  5,807,675     362,722        16.0
MSO      MARTHA STEWART-A             4,372,597     273,820        16.0
EGP      EASTGROUP PROP               1,401,374      87,936        15.9
PEI      PENN REIT                    5,295,938     333,183        15.9
DFG      DELPHI FINL GRP              2,479,781     156,413        15.9
TY       TRI-CONTL CORP               1,018,576      64,265        15.8
DSW      DSW INC-CL A                 6,759,235     427,497        15.8
CPN      CALPINE CORP                23,567,145   1,500,390        15.7
PNY      PIEDMONT NAT GAS             3,236,141     206,313        15.7
SYX      SYSTEMAX INC                   762,010      48,612        15.7
MDP      MEREDITH CORP                8,403,386     536,479        15.7
SFI      ISTAR FINANCIAL             15,902,258   1,017,243        15.6
CNS      COHEN & STEERS               2,041,718     130,797        15.6
HTH      HILLTOP HOLDINGS             1,650,204     105,908        15.6
WBS      WEBSTER FINL                 6,028,586     388,420        15.5
FFG      FBL FINL GROUP-A               536,916      34,694        15.5
SBH      SALLY BEAUTY HOL             8,772,076     567,423        15.5
PPD      PREPAID LEGAL SE               943,786      61,251        15.4
PQ       PETROQUEST ENERG             7,004,290     454,663        15.4
ACO      AMCOL INTL CORP              2,108,005     138,041        15.3
BRC      BRADY CORP - A               1,855,271     121,946        15.2
OMI      OWENS & MINOR                6,351,835     417,921        15.2
INN      SUMMIT HOTEL PRO             1,048,109      69,089        15.2
EDE      EMPIRE DISTRICT              2,106,424     139,028        15.2
KCP      KENNETH COLE-A                 448,645      29,641        15.1
WRI      WEINGARTEN RLTY             10,735,991     710,305        15.1
TGI      TRIUMPH GROUP                1,718,690     114,258        15.0
ADX      ADAMS EXPRESS CO             1,653,317     110,010        15.0
AHC      AH BELO CORP-A                 655,205      43,598        15.0
ORA      ORMAT TECHNOLOGI             1,743,126     116,462        15.0
WAL      WESTERN ALLIANCE             5,760,745     385,909        14.9
GPX      GP STRATEGIES                  415,602      27,872        14.9
GMT      GATX CORP                    6,196,753     418,297        14.8
XOP      SPDR OIL&GAS EXP            41,372,635   2,817,353        14.7
PZN      PZENA INVES-CL A               397,808      27,104        14.7
MPR      MET-PRO CORP                   381,489      25,995        14.7
TNS      TNS INC                        849,262      57,992        14.6
GET      GAYLORD ENTMNT               5,716,556     390,479        14.6
CLB      CORE LABS NV                 7,642,635     522,815        14.6
EM       EMDEON INC-A                 1,040,035      71,384        14.6
AOL      AOL INC                     14,420,074     990,823        14.6
PCL      PLUM CREEK TIMBR            15,971,042   1,098,729        14.5
FLO      FLOWERS FOODS                9,433,547     651,978        14.5
PAC      GRUPO AEROPO-ADR               694,210      48,095        14.4
FRM      FURMANITE CORP                 988,304      68,674        14.4
FSR      FLAGSTONE REINSU             1,964,340     136,678        14.4
MF       MF GLOBAL HOLDIN            18,765,913   1,307,219        14.4
DDS      DILLARDS INC-A              12,337,859     859,971        14.3
DEXO     DEX ONE CORP                 4,984,077     348,442        14.3
ONE      HIGHER ONE HOLD              3,312,655     231,734        14.3

*-- Data includes ETF positions.

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

-0- May/11/2011 15:44 GMT

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