Largest Nasdaq Short Interest Percent Decreases as of June 15

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



Ticker                                                                     
Symbol   Company                        June 15       May 31       % Change   
=============================================================================
SYMX     SYNTHESIS ENERGY               509,517     1,497,885       -66.0
COGO     COGO GROUP INC                 685,888     1,294,895       -47.0
SCEI     SINO CLEAN ENERG               733,391     1,343,127       -45.4
MEOH     METHANEX CORP                  259,387       470,699       -44.9
SMT      SMART TECHNOL-A              2,426,222     4,242,639       -42.8
BRCM     BROADCOM CORP-A              8,277,221    13,567,047       -39.0
NTWK     NETSOL TECH INC                592,500       968,324       -38.8
CTCM     CTC MEDIA INC                1,040,185     1,668,552       -37.7
SVVS     SAVVIS INC                   1,507,565     2,399,694       -37.2
RYAAY    RYANAIR HLDG-ADR               993,328     1,493,681       -33.5
APRI     APRICUS BIOSCIEN             1,342,569     2,008,261       -33.1
CNIT     CHINA INFORMATIO             1,191,793     1,781,576       -33.1
NATR     NATURE'S SUNSHNE               489,564       723,469       -32.3
UTIW     UTI WORLDWIDE                1,765,017     2,548,781       -30.8
FEED     AGFEED INDUSTRIE             2,002,748     2,867,756       -30.2
DSCO     DISCOVERY LABS                 626,633       886,777       -29.3
ERIC     ERICSSON LM-ADR              7,374,905    10,401,179       -29.1
ASCA     AMERISTAR CASINO               955,535     1,340,546       -28.7
HEAT     SMARTHEAT INC                1,625,105     2,274,325       -28.5
GCVRZ    SANOFI CVR                   2,717,168     3,793,797       -28.4
CPKI     CALIF PIZZA KITC             1,013,719     1,406,294       -27.9
JSDA     JONES SODA CO                  732,922     1,011,741       -27.6
CPWR     COMPUWARE CORP               2,733,982     3,744,234       -27.0
MIPS     MIPS TECH INC                4,813,742     6,586,889       -26.9
HBAN     HUNTINGTON BANC             15,190,808    20,558,089       -26.1
CYBX     CYBERONICS                   1,892,264     2,558,619       -26.0
EROC     EAGLE ROCK ENERG               238,200       321,300       -25.9
ISYS     INTEGRAL SYSTEMS               978,456     1,319,076       -25.8
SYNT     SYNTEL INC                     626,887       843,474       -25.7
VISN     VISIONCHINA -ADR               356,562       477,439       -25.3
LNDC     LANDEC CORP                    805,943     1,069,243       -24.6
QNST     QUINSTREET INC               4,180,408     5,544,663       -24.6
MCRI     MONARCH CASINO                 307,622       407,547       -24.5
GLUU     GLU MOBILE INC               3,097,086     4,091,258       -24.3
PARD     PONIARD PHARMACE             1,061,798     1,397,240       -24.0
IRIS     IRIS INTERNATION               695,779       913,477       -23.8
VNET     21VIANET-ADR                 1,477,964     1,930,392       -23.4
ATVI     ACTIVISION BLIZZ            13,362,993    17,428,367       -23.3
OVRL     OVERLAND STORAGE               213,535       278,330       -23.3
LSTR     LANDSTAR SYSTEM              1,535,526     1,995,023       -23.0
BMC      BMC SOFTWARE INC             3,519,824     4,564,618       -22.9
UEPS     NET 1 UEPS TECH                262,726       339,501       -22.6
THOR     THORATEC CORP                3,581,452     4,627,073       -22.6
PWRD     PERFECT WORL-ADR               613,130       791,371       -22.5
ABBC     ABINGTON BANCORP               534,402       688,741       -22.4
NGPC     NGP CAP RES CO                 721,236       928,127       -22.3
FRME     FIRST MERCHANTS                782,132     1,003,483       -22.1
ESSA     ESSA BANCORP INC               408,290       522,887       -21.9
AAXJ     ISHAR ASIA EX-JP               388,166       497,089       -21.9
ACET     ACETO CORP                     909,066     1,162,885       -21.8
LPTH     LIGHTPATH TECH-A               203,545       260,370       -21.8
WIFI     BOINGO WIRELESS                318,454       407,018       -21.8
VTSS     VITESSE SEMICOND             1,096,272     1,398,987       -21.6
AATI     ADVANCED ANALOGI             1,557,750     1,983,016       -21.4
YONG     YONGYE INTERNATI             3,883,648     4,932,090       -21.3
ABFS     ARKANSAS BEST                1,549,007     1,965,945       -21.2
SPAR     SPARTAN MOTORS               1,395,212     1,768,647       -21.1
VRSK     VERISK ANALYTI-A               570,002       722,480       -21.1
SLRC     SOLAR CAPITAL LT               431,341       542,317       -20.5
DSPG     DSP GROUP INC                  732,882       921,244       -20.4
GLBL     GLOBAL INDS LTD              6,134,902     7,667,093       -20.0
INFY     INFOSYS LTD-ADR              7,443,240     9,298,166       -19.9
MSFG     MAINSOURCE FINAN               800,989       998,073       -19.7
TRMB     TRIMBLE NAVIG                1,076,422     1,339,445       -19.6
CTFO     CHINA TRANSINFO                384,033       476,992       -19.5
MHLD     MAIDEN HOLDINGS              1,849,380     2,294,866       -19.4
MYGN     MYRIAD GENETICS              5,777,965     7,166,471       -19.4
CZNC     CITIZENS & NORTH               412,955       510,662       -19.1
LOGI     LOGITECH INTER-R            18,628,246    22,997,763       -19.0
CSGP     COSTAR GROUP INC             2,617,281     3,224,179       -18.8
CBOE     CBOE HOLDINGS IN             2,992,934     3,686,573       -18.8
SIAL     SIGMA-ALDRICH                2,519,636     3,095,458       -18.6
BSTC     BIOSPECIFICS TEC               354,161       435,022       -18.6
POZN     POZEN INC                    1,281,587     1,572,287       -18.5
PBCT     PEOPLE'S UNITED             15,600,007    19,112,818       -18.4
NWS      NEWS CORP-B                  3,502,545     4,277,310       -18.1
ANSS     ANSYS INC                    1,461,211     1,783,206       -18.1
VICR     VICOR CORP                   1,509,095     1,831,453       -17.6
PVTB     PRIVATEBANCORP               3,409,864     4,131,719       -17.5
PAAS     PAN AMER SILVER              1,569,397     1,898,781       -17.3
COIN     CONVERTED ORGANI             1,737,572     2,099,471       -17.2
MCRL     MICREL INC                   2,720,008     3,285,232       -17.2
GNTX     GENTEX CORP                  3,130,740     3,780,759       -17.2
ERTS     ELECTRONIC ARTS             16,345,826    19,733,788       -17.2
DISH     DISH NETWORK-A               2,879,845     3,449,342       -16.5
SOHU     SOHU.COM INC                 2,744,437     3,287,128       -16.5
JASO     JA SOLAR HOL-ADR            16,380,722    19,607,901       -16.5
NLST     NETLIST INC                    855,215     1,021,699       -16.3
LCAPA    LIBERTY-CAP A                  635,572       758,635       -16.2
GNOM     COMPLETE GENOMIC               895,084     1,066,618       -16.1
VSCP     VIRTUALSCOPICS I               250,580       298,104       -15.9
ROLL     RBC BEARINGS INC               770,324       915,715       -15.9
SONC     SONIC CORP                   4,652,725     5,509,454       -15.6
AGYS     AGILYSYS INC                   802,115       949,527       -15.5
ZOLL     ZOLL MEDICAL                 1,735,452     2,047,331       -15.2
SYNO     SYNOVIS LIFE TEC               355,119       418,258       -15.1
CRRC     COURIER CORP                   368,055       433,143       -15.0
TWER     TOWERSTREAM CORP               949,298     1,115,736       -14.9
ARCC     ARES CAPITAL COR             3,648,156     4,281,577       -14.8
ASYS     AMTECH SYS INC               1,108,347     1,298,597       -14.7
OUTD     OUTDOOR CHANNEL                643,826       754,109       -14.6
CHSI     CATALYST HEALTH              1,822,564     2,132,406       -14.5
CPSI     COMPUTER PROGRAM               308,746       361,044       -14.5
CWTR     COLDWATER CREEK              4,493,542     5,253,062       -14.5
CINF     CINCINNATI FIN              10,293,950    12,031,523       -14.4
ALTR     ALTERA CORP                 13,430,090    15,677,446       -14.3
FLML     FLAMEL TECH-ADR                318,812       370,607       -14.0
ALTE     ALTERRA CAPITAL              3,164,373     3,676,580       -13.9
PMTI     PALOMAR MED TECH               814,493       946,230       -13.9
ZBRA     ZEBRA TECH CORP                569,124       659,684       -13.7
FFNW     FIRST FINANCIAL                317,185       367,210       -13.6
OCLR     OCLARO INC                   6,570,165     7,587,850       -13.4
HOTT     HOT TOPIC INC                2,704,606     3,122,640       -13.4
TSCO     TRACTOR SUPPLY               3,218,710     3,714,681       -13.4
AFFX     AFFYMETRIX INC               8,730,215    10,075,215       -13.3
OREX     OREXIGEN THERAPE             4,902,469     5,655,086       -13.3
MCBC     MACATAWA BANK                1,178,196     1,358,905       -13.3
SPMD     SUPERMEDIA INC               3,712,382     4,279,996       -13.3
PCAR     PACCAR INC                   6,797,550     7,835,083       -13.2
CATM     CARDTRONICS INC              1,195,778     1,378,212       -13.2
KSWS     K-SWISS INC-A                3,448,889     3,973,003       -13.2
SNPS     SYNOPSYS INC                 1,647,038     1,896,418       -13.2
KUTV     KU6 MEDIA-ADR                  594,858       684,903       -13.1
NVLS     NOVELLUS SYS                 9,176,543    10,552,950       -13.0
PETM     PETSMART INC                 2,722,913     3,130,579       -13.0
EXEL     EXELIXIS INC                13,832,936    15,897,053       -13.0
BNVI     BIONOVO INC                    394,084       450,935       -12.6
OPXT     OPNEXT INC                   1,716,149     1,961,943       -12.5
CRIC     CHINA REAL-ADR               1,300,798     1,483,860       -12.3
MAKO     MAKO SURGICAL                5,617,176     6,407,456       -12.3
CCIX     COLEMAN CABLE IN               516,878       589,461       -12.3
DAKT     DAKTRONICS INC               1,937,981     2,209,985       -12.3
LKQX     LKQ CORP                     2,067,025     2,354,856       -12.2
PANL     UNIVERSAL DISPLA             4,702,895     5,353,918       -12.2
GLDD     GREAT LAKES DRED             2,642,206     3,007,559       -12.1
BSDM     BSD MEDICAL                  2,545,894     2,897,705       -12.1
IMKTA    INGLES MARKETS-A               347,206       395,013       -12.1
CDII     CHINA DIRECT IND               648,305       737,495       -12.1
TRNX     TORNIER NV                     450,010       511,746       -12.1
GMET     GEOMET INC                     273,586       310,999       -12.0
SYMC     SYMANTEC CORP                7,971,309     9,059,292       -12.0
MXIM     MAXIM INTEGRATED             6,359,004     7,221,092       -11.9
KAMN     KAMAN CORP                   1,377,455     1,560,345       -11.7
INHX     INHIBITEX INC                3,021,295     3,421,894       -11.7
NVTL     NOVATEL WIRELESS             4,784,001     5,418,262       -11.7
CTXS     CITRIX SYSTEMS               4,070,179     4,597,614       -11.5
NXPI     NXP SEMICONDUCTO             1,303,120     1,471,085       -11.4
LVLT     LEVEL 3 COMM INC           172,640,343   194,621,347       -11.3
MTSC     MTS SYSTEMS CORP               461,191       519,714       -11.3
ABMD     ABIOMED INC                  2,019,028     2,274,446       -11.2
ALKS     ALKERMES INC                 5,629,476     6,340,760       -11.2
TELK     TELIK INC                      297,989       335,499       -11.2
RICK     RICKS CABARET                  214,724       241,748       -11.2
EDMC     EDUCATION MGMT               4,993,928     5,606,442       -10.9
SWIR     SIERRA WIRELESS              1,193,076     1,338,765       -10.9
FINL     FINISH LINE-A                4,755,090     5,331,943       -10.8
NTES     NETEASE.COM-ADR              2,534,570     2,835,337       -10.6
CERP     CEREPLAST INC                  380,177       425,236       -10.6
AEIS     ADV ENERGY INDS              1,656,653     1,851,732       -10.5
CAST     CHINACAST EDUCAT             8,754,954     9,781,536       -10.5
AUTC     AUTOCHINA INTERN               344,024       384,297       -10.5
XTEX     CROSSTEX ENERGY                202,656       226,335       -10.5
PDCO     PATTERSON COS                3,630,847     4,053,291       -10.4
USTR     UNITED STATIONER             2,458,608     2,742,314       -10.3
TTWO     TAKE-TWO INTERAC            10,356,507    11,544,431       -10.3
TIBX     TIBCO SOFTWARE               7,988,227     8,898,790       -10.2
PURE     PURE BIOSCIENCE              3,393,271     3,779,399       -10.2
QSFT     QUEST SOFTWARE               3,227,319     3,594,364       -10.2
CPNO     COPANO ENERGY-UN               736,658       820,173       -10.2
UTSI     UTSTARCOM INC                6,922,973     7,701,836       -10.1
SMOD     SMART MODULAR TE             2,370,732     2,636,516       -10.1
CAKE     CHEESECAKE FACTO             8,924,883     9,920,250       -10.0
IBCP     INDEP BANK/MICH                782,235       869,196       -10.0
CSTR     COINSTAR INC                10,854,519    12,057,295       -10.0
CLMS     CALAMOS ASSET-A                798,164       885,193        -9.8
DCOM     DIME COMM BNCSHS             1,328,268     1,472,853        -9.8
FULT     FULTON FINANCIAL             5,314,998     5,890,639        -9.8
AMGN     AMGEN INC                   18,451,099    20,437,690        -9.7
SHOR     SHORETEL INC                 1,994,279     2,208,755        -9.7
VRNM     VERENIUM CORP                  234,929       259,989        -9.6
FALC     FALCONSTOR SOFTW             1,274,923     1,410,568        -9.6
TFSL     TFS FINANCIAL CO             2,995,404     3,314,048        -9.6
DRYS     DRYSHIPS INC                17,335,483    19,168,178        -9.6
UCTT     ULTRA CLEAN HOLD             1,179,728     1,303,859        -9.5
CBLI     CLEVELAND BIOLAB             2,087,354     2,304,875        -9.4
DEER     DEER CONSUMER PR             2,740,583     3,025,680        -9.4
SHOO     STEVEN MADDEN                2,206,037     2,435,396        -9.4
QLIK     QLIK TECHNOLOGIE             1,671,170     1,844,653        -9.4
AMWD     AMER WOODMARK CO               354,566       391,248        -9.4
VPFG     VIEWPOINT FINANC               606,339       668,873        -9.3
STNR     STEINER LEISURE                478,802       527,934        -9.3
PRGS     PROGRESS SOFTWAR             2,641,142     2,911,850        -9.3
LLNW     LIMELIGHT NETWOR             7,023,731     7,742,980        -9.3
ASTM     AASTROM BIOSCIEN             2,955,150     3,257,360        -9.3
SCSS     SELECT COMFORT C             2,866,347     3,158,741        -9.3
SEED     ORIGIN AGRITECH                736,846       811,949        -9.2
BGFV     BIG 5 SPORTING                 633,171       697,379        -9.2
WERN     WERNER ENT                   4,314,315     4,749,143        -9.2
HIMX     HIMAX TECHNO-ADR               277,643       305,431        -9.1
RVBD     RIVERBED TECHNOL             8,648,059     9,512,239        -9.1

*-- Data includes ETF positions.

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

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