Largest NYSE Short Interest Percent Increases as of June 15

The following are the 200 largest short interest percent increases on the New York Stock Exchange 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   
=============================================================================
VIV      TELESP-ADR                   2,368,923       392,320       503.8
SVM      SILVERCORP METAL             1,809,190       350,072       416.8
PSQ      PROSHARES SHORT                728,592       255,461       185.2
DVY      ISHARES-DJ DIV                 564,811       203,836       177.1
TCK      TECK RESOURCES-B             7,725,547     2,878,607       168.4
FRX      FOREST LABS INC             21,152,947     8,060,663       162.4
XIV      VELOCITYSH INV V               879,754       373,953       135.3
SMN      PROSHARES ULTRAS               816,183       347,956       134.6
PH       PARKER HANNIFIN              4,538,221     1,943,013       133.6
ING      ING GROEP-ADR                3,523,906     1,596,398       120.7
VWO      VANGUARD MSCI EM            21,330,050     9,680,879       120.3
EWT      ISHARES-TAIWAN               8,090,027     3,709,779       118.1
FRC      FIRST REPUBLIC B             2,401,808     1,105,946       117.2
DXD      PROSHARES ULTRAS             1,342,495       622,236       115.8
LTD      LIMITED BRANDS              14,065,466     6,612,282       112.7
CAJ      CANON INC-ADR                1,045,914       496,654       110.6
LNKD     LINKEDIN CORP-A              2,295,791     1,133,797       102.5
KBR      KBR INC                      2,122,295     1,097,087        93.4
KRA      KRATON PERFORMAN             1,188,988       616,039        93.0
WSH      WILLIS GRP HLDGS             2,527,596     1,311,813        92.7
SEMG     SEMGROUP CORP-A                684,881       361,348        89.5
PLD      PROLOGIS INC                13,913,878     7,393,684        88.2
PBR/A    PETROBRAS-SP ADR            10,786,389     5,750,474        87.6
TM       TOYOTA MOTOR-ADR             1,747,078       940,200        85.8
APO      APOLLO GLOBAL                  995,055       547,565        81.7
DRC      DRESSER-RAND GRO             6,086,553     3,352,538        81.6
ITUB     ITAU UNIBANC-ADR            14,630,308     8,119,835        80.2
BVN      BUENAVENTURA-ADR             3,188,222     1,774,272        79.7
CIS      CAMELOT INFO-ADR             3,558,321     1,984,418        79.3
OB       ONEBEACON INS-A                843,616       474,654        77.7
PZA      POWERSH-I N M B                431,190       243,294        77.2
RWR      SPDR DOW JONES R               534,184       303,752        75.9
RL       POLO RALPH LAURE             4,188,799     2,384,554        75.7
KH       CHINA KANGHU-ADR             1,186,882       676,380        75.5
EWH      ISHARES-HONGKONG             9,827,627     5,619,626        74.9
PBW      POWERSH-W CL ENR               819,462       468,645        74.9
CYB      WISDOMTR CHINA                 414,275       241,734        71.4
TMV      DIR-D 20Y+T BEAR               645,075       377,887        70.7
TSM      TAIWAN SEMIC-ADR            33,018,144    19,710,507        67.5
ATLS     ATLAS ENERGY LP              1,100,323       657,364        67.4
KID      KID BRANDS INC                 696,935       419,058        66.3
HYG      ISH-IBOXX H/Y CO             3,794,798     2,288,474        65.8
ETE      ENERGY TRANSFER              1,046,777       631,991        65.6
EGN      ENERGEN CORP                   988,836       613,122        61.3
CZZ      COSAN LTD - A                2,437,077     1,511,443        61.2
PHB      POWERSH FNDL H/Y               441,241       275,055        60.4
HIX      WESTERN AS H/I 2               431,360       269,425        60.1
SIX      SIX FLAGS ENTERT             1,380,621       866,930        59.3
CI       CIGNA CORP                   4,505,858     2,857,070        57.7
NVE      NV ENERGY INC                5,442,802     3,455,960        57.5
AGU      AGRIUM INC                   1,261,740       803,952        56.9
CVE      CENOVUS ENERGY               6,826,038     4,351,199        56.9
ACW      ACCURIDE CORP                  500,398       319,050        56.8
JOF      JAPAN SM CAP FD                328,506       210,697        55.9
NOAH     NOAH HOLDING-ADS             3,384,418     2,174,501        55.6
ASH      ASHLAND INC                  2,085,479     1,340,662        55.6
EWI      ISHARES-ITALY                3,704,415     2,386,347        55.2
FVE      FIVE STAR QUA                1,590,030     1,028,864        54.5
COO      COOPER COS INC                 689,253       446,793        54.3
STR      QUESTAR CORP                 3,142,182     2,040,383        54.0
TNA      SMALL CAP BULL 3             2,228,884     1,460,071        52.7
WLK      WESTLAKE CHEMICA             1,888,034     1,240,640        52.2
NMM      NAVIOS MARITIME              1,211,608       800,317        51.4
CBI      CHICAGO BRIDG-NY             1,099,975       727,746        51.1
AIZ      ASSURANT INC                 1,312,681       877,286        49.6
AGQ      PRSH-ULT SILVER              1,317,219       881,219        49.5
SJM      JM SMUCKER CO                2,398,475     1,608,657        49.1
VIT      VANCEINFO TE-ADR             7,625,192     5,126,230        48.7
WES      WESTERN GAS PART               469,953       315,946        48.7
GIB      CGI GROUP INC-A                677,920       459,896        47.4
EWU      ISHARES-UNITED K             3,888,639     2,643,200        47.1
HDB      HDFC BANK-ADR                  482,644       328,273        47.0
IMAX     IMAX CORP                    5,035,788     3,431,817        46.7
PPA      POWERSH-AERO&DEF             5,536,045     3,773,597        46.7
FIS      FIDELITY NATIONA             2,305,275     1,578,978        46.0
SFUN     SOUFUN HOLDI-ADR             1,969,576     1,349,568        45.9
SCCO     SOUTHERN COPPER              5,821,253     3,996,954        45.6
HPQ      HEWLETT-PACKARD             23,145,030    15,978,068        44.9
EC       ECOPETROL-SP ADR             1,299,512       897,587        44.8
DEM      WISDOMTREE EMG M               513,372       354,810        44.7
LOW      LOWE'S COS INC              14,854,086    10,278,141        44.5
JPM/WS   JPMORGAN CH-CW18               484,397       336,069        44.1
PNW      PINNACLE WEST                1,772,523     1,230,471        44.1
BRP      BROOKFIELD RESID             1,075,566       748,110        43.8
RLD      REALD INC                   11,986,651     8,339,711        43.7
SMG      SCOTTS MIRACLE-A             3,215,695     2,238,283        43.7
ISS      ISOFTSTONE -ADS              2,764,078     1,928,936        43.3
RBC      REGAL BELOIT                 1,594,443     1,119,557        42.4
SRE      SEMPRA ENERGY                3,069,497     2,158,008        42.2
CEL      CELLCOM ISRAEL                 624,293       439,061        42.2
OXY      OCCIDENTAL PETE              7,305,864     5,159,145        41.6
UNG      US NAT GAS FD LP            29,220,533    20,643,485        41.5
MGI      MONEYGRAM INTERN             3,437,600     2,433,912        41.2
SGOL     ETFS GOLD TRUST                416,629       295,265        41.1
DHT      DHT HOLDINGS INC             4,443,544     3,150,462        41.0
DBC      POWERSHARES DB C             3,110,716     2,205,756        41.0
GFA      GAFISA SA-ADR                4,759,532     3,379,696        40.8
IWD      ISHARES-RS 1K VL             2,792,886     1,997,391        39.8
SOXL     DIR DAILY S B 3X               318,541       228,935        39.1
SYA      SYMETRA FINANCIA               516,428       372,219        38.7
DIG      PROSHARES ULTRA                517,005       373,996        38.2
SRS      PROSHARES ULTRAS             2,376,106     1,720,896        38.1
DGX      QUEST DIAGNOSTIC             4,378,683     3,173,819        38.0
FXP      PROSHARES ULTRAS               499,376       362,061        37.9
ECL      ECOLAB INC                   6,007,662     4,357,317        37.9
FBN      FURNITURE BRANDS             4,608,014     3,344,056        37.8
AME      AMETEK INC                   1,018,626       739,516        37.7
AL       AIR LEASE C                  2,972,582     2,164,715        37.3
EMB      ISHARES-JPM EM B               408,169       297,372        37.3
EIX      EDISON INTL                  2,786,034     2,031,442        37.1
NQ       NETQIN MOBILE IN             1,476,697     1,077,565        37.0
EEV      PROSHARES ULTRA                449,470       328,629        36.8
CHT      CHUNGHWA TEL-ADR               524,411       383,825        36.6
LNT      ALLIANT ENERGY               1,741,030     1,276,541        36.4
KGC      KINROSS GOLD                 6,499,650     4,772,451        36.2
TZA      SMALL CAP BEAR 3             2,857,714     2,098,787        36.2
TNP      TSAKOS ENERGY NA               342,076       251,448        36.0
CIG      CEMIG SA-ADR                 5,331,320     3,925,581        35.8
SH       PROSHARES SHORT                972,424       716,720        35.7
STNG     SCORPIO TANKERS              1,143,244       843,514        35.5
JNK      SPDR BARCLAYS                8,133,258     6,013,025        35.3
DOW      DOW CHEMICAL CO             17,018,717    12,608,596        35.0
EWA      ISHARES-AUSTRALI             6,080,250     4,537,342        34.0
UAN      CVR PARTNERS LP                541,659       405,735        33.5
XHB      SPDR S&P HOMEBUI            14,522,186    10,884,414        33.4
EL       ESTEE LAUDER                 2,555,034     1,915,939        33.4
STV      CHINA DIGITA-ADR               442,631       332,362        33.2
DHF      DREYFUS HI-YLD                 893,568       671,032        33.2
DV       DEVRY INC                    1,981,071     1,489,560        33.0
HXM      DESARROLLADO-ADR             2,639,413     1,985,209        33.0
SSD      SIMPSON MFG                  2,851,877     2,147,518        32.8
SWC      STILLWATER MININ            12,486,439     9,409,538        32.7
PBY      PEP BOYS MM&J                9,565,712     7,220,537        32.5
CHKM     CHESAPEAKE MIDST               302,594       228,906        32.2
DOV      DOVER CORP                   3,661,571     2,782,334        31.6
WFT      WEATHERFORD INTL            26,735,096    20,325,221        31.5
PKG      PACKAGING CORP               2,275,370     1,738,092        30.9
IHG      INTERCONTIN-ADR                736,140       562,822        30.8
APD      AIR PRODS & CHEM             2,765,904     2,114,927        30.8
MCP      MOLYCORP INC                10,785,251     8,257,704        30.6
APC      ANADARKO PETROLE             6,128,651     4,694,465        30.6
FO       FORTUNE BRANDS               2,033,595     1,561,904        30.2
IAG      IAMGOLD CORP                 2,710,341     2,085,084        30.0
KMX      CARMAX INC                  12,392,808     9,536,482        30.0
CP       CANADIAN PACIFIC             2,265,234     1,744,674        29.8
JKS      JINKOSOLAR-ADR               6,008,805     4,630,854        29.8
ARO      AEROPOSTALE INC              9,815,546     7,569,018        29.7
PHO      POWERSH-WATER RE               260,933       201,276        29.6
OC       OWENS CORNING                7,249,725     5,605,459        29.3
UWM      PROSHARES ULTRA                563,169       435,639        29.3
GS       GOLDMAN SACHS GP             5,722,060     4,429,042        29.2
CFX      COLFAX CORP                  1,365,455     1,058,242        29.0
CSA      COGDELL SPENCER              2,510,457     1,949,396        28.8
TOWR     TOWER INTERNATIO               420,014       326,212        28.8
FDX      FEDEX CORP                   4,368,666     3,395,707        28.7
MTD      METTLER-TOLEDO                 831,477       646,601        28.6
CFI      CULP INC                       464,302       361,848        28.3
NOV      NATL OILWELL VAR             8,122,298     6,339,342        28.1
PLL      PALL CORP                      918,290       717,193        28.0
CBD      PAO ACUCAR-ADR               1,999,941     1,563,467        27.9
CVS      CVS CAREMARK COR            17,216,440    13,460,650        27.9
ZLC      ZALE CORP                    2,889,303     2,259,258        27.9
AVY      AVERY DENNISON               3,916,286     3,063,547        27.8
ZSL      PRSH-ULTSH SILVE             3,351,534     2,623,203        27.8
IEF      ISHARES 7-10 YR              2,529,887     1,980,224        27.8
END      ENDEAVOUR INTERN             2,176,023     1,703,546        27.7
UBS      UBS AG-REG                   5,652,158     4,426,645        27.7
VIP      VIMPELCOM LT-ADR             1,606,882     1,258,862        27.6
IRE      BANK IRELAND-ADR             4,080,872     3,197,674        27.6
CXO      CONCHO RESOURCES             2,836,509     2,223,695        27.6
YOKU     YOUKU.COM IN-ADR            11,520,300     9,036,902        27.5
EPP      ISHARES MSCI PAC               602,484       472,668        27.5
IXC      ISHARES-GLB ENRG               256,396       201,436        27.3
ARX      AEROFLEX HOLDING               462,316       363,317        27.2
NS       NUSTAR ENERGY LP               400,114       314,885        27.1
DAL      DELTA AIR LI                15,663,549    12,337,017        27.0
KR       KROGER CO                   14,518,358    11,454,508        26.7
OME      OMEGA PROTEIN CP               381,235       300,805        26.7
SLB      SCHLUMBERGER LTD            14,082,496    11,112,046        26.7
IVV      ISHARES-S&P 500              1,236,370       976,179        26.7
EWM      ISHARES-MALAYSIA             4,216,280     3,333,225        26.5
KWR      QUAKER CHEMICAL                533,104       421,630        26.4
HBC      HSBC HOLDING-ADR             3,324,757     2,632,370        26.3
MTL      MECHEL-SPON ADR              3,656,693     2,898,090        26.2
BGY      BLACKROCK INTERN               397,313       314,928        26.2
IAU      ISHARES GOLD TRU             3,490,628     2,768,350        26.1
CCG      CAMPUS CREST COM             1,974,750     1,566,775        26.0
MAN      MANPOWER INC                 1,607,047     1,275,095        26.0
MA       MASTERCARD INC-A             1,357,351     1,077,441        26.0
CHMT     CHEMTURA CORP                1,100,655       876,828        25.5
CVH      COVENTRY HEALTH              2,389,213     1,903,742        25.5
IHI      ISHARES-DJ MED D               676,828       539,413        25.5
EOG      EOG RESOURCES                8,989,171     7,164,510        25.5
IJR      ISHARES-S&P S/C              4,007,841     3,196,739        25.4
GNW      GENWORTH FINANCI            13,598,294    10,851,078        25.3
AER      AERCAP HOLDINGS                620,882       495,786        25.2
SDY      SPDR S&P DIV ETF               432,314       345,342        25.2
GDX      MKT VECT-GOLD MI            15,270,153    12,212,845        25.0
GGP      GENERAL GROWTH P            11,636,707     9,313,883        24.9
BXC      BLUELINX HOLDING               713,496       571,317        24.9

*-- Data includes ETF positions.

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

Press spacebar to pause and continue. Press esc to stop.

Bloomberg reserves the right to remove comments but is under no obligation to do so, or to explain individual moderation decisions.

Please enable JavaScript to view the comments powered by Disqus.