Largest NYSE Short Interest Percent Decreases as of Nov. 15

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



Ticker                                                                     
Symbol   Company                        Nov. 15       Oct. 31      % Change   
=============================================================================
TYH      TECH BULL 3X                   252,793       893,992       -71.7
SDY      SPDR S&P DIV ETF               498,564     1,530,361       -67.4
BKH      BLACK HILLS CORP             2,855,368     7,126,534       -59.9
QID      PROSHARES QQQ                  519,556     1,271,224       -59.1
CMP      COMPASS MINERALS               383,903       915,666       -58.1
PDS      PRECISION DRILL              1,721,525     3,787,226       -54.5
BIL      SPDR BARCLAYS CA               695,374     1,482,423       -53.1
IJS      ISHARES-SP SCVAL               208,369       440,205       -52.7
UL       UNILEVER PLC-ADR             1,387,736     2,905,552       -52.2
MSM      MSC INDL DIRECT                333,362       686,682       -51.5
ETP      ENERGY TRANSF PA             2,219,591     4,439,294       -50.0
GAB      GABELLI EQUITY                 236,018       470,970       -49.9
IWS      ISHARES-RUS M V                666,661     1,323,717       -49.6
RYH      RYDEX-S&P EW HEA               486,783       964,758       -49.5
WDC      WESTERN DIGITAL              3,015,654     5,949,544       -49.3
VEA      VANGUARD MSCI EA               383,021       755,032       -49.3
TEF      TELEFONICA-ADR               3,287,715     6,468,739       -49.2
TNA      SMALL CAP BULL 3             2,631,883     5,166,681       -49.1
CHT      CHUNGHWA TEL-ADR               280,241       538,709       -48.0
AUQ      AURICO GOLD INC              7,171,164    13,637,578       -47.4
BNO      UNITED STATES BR               383,455       718,344       -46.6
NGG      NATIONAL GRI-ADR               662,303     1,228,580       -46.1
TAN      GUGGENHEIM SOLAR               698,586     1,273,886       -45.2
IYZ      ISHARES-DJ TELEC               270,068       485,267       -44.3
DCM      NTT DOCOMO-ADR                 694,884     1,248,556       -44.3
DBC      POWERSHARES DB C             2,457,524     4,350,409       -43.5
VIIX     VELOCITY VIX                   270,947       479,068       -43.4
FDN      FIRST TR INTRNET               210,906       371,482       -43.2
UUP      POWERSHARES DB U             2,700,258     4,698,602       -42.5
DRC      DRESSER-RAND GRO             2,240,315     3,876,748       -42.2
TMX      TELEF MEXI-ADR L               579,074       999,552       -42.1
SHY      ISHARES 1-3 YR                 607,389     1,044,620       -41.9
UNT      UNIT CORP                      386,993       665,462       -41.8
EBR      ELETROBRAS-ADR                 489,574       821,997       -40.4
TGP      TEEKAY LNG PARTN               505,846       846,887       -40.3
CP       CANADIAN PACIFIC             3,198,995     5,350,453       -40.2
STD      BANCO SANTAN-ADR            16,804,486    27,986,050       -40.0
RRC      RANGE RESOURCES              5,482,318     8,996,260       -39.1
TZA      SMALL CAP BEAR 3             3,098,574     5,040,999       -38.5
IAU      ISHARES GOLD TRU             4,467,105     7,256,435       -38.4
TTH      TELECOM HOLDRS                 310,967       503,990       -38.3
ARCO     ARCOS DORADOS-A              2,426,351     3,887,162       -37.6
WSM      WILLIAMS-SONOMA              2,291,497     3,667,297       -37.5
DJP      IPATH DJ UBS CMD               422,279       665,953       -36.6
DGP      PW DB GOLD DBL L               293,815       462,154       -36.4
PJP      POWERSH-PHARMA                 290,197       452,803       -35.9
ACTV     ACTIVE NETWORK I             1,095,171     1,697,761       -35.5
ALL      ALLSTATE CORP                6,406,751     9,871,989       -35.1
KBE      SPDR S&P BANK ET             8,086,569    12,348,464       -34.5
TRH      TRANSATLANTIC HL               768,226     1,168,534       -34.3
IWD      ISHARES-RS 1K VL             2,896,209     4,345,556       -33.4
MOS      MOSAIC CO/THE                5,229,661     7,792,075       -32.9
TEL      TE CONNECTIVITY              7,761,805    11,516,331       -32.6
TWM      PROSHARES ULTRAS               345,448       512,436       -32.6
IDX      MKT VECT-INDONEN               969,634     1,433,779       -32.4
EMN      EASTMAN CHEMICAL             3,617,280     5,337,083       -32.2
EWW      ISHARES-MEXICO               3,375,910     4,940,383       -31.7
PVX      PROVIDENT ENERGY               544,986       795,792       -31.5
EWL      ISHARES-SWITZERL               288,096       419,967       -31.4
CRI      CARTER'S INC                 3,517,571     5,101,636       -31.1
MFG      MIZUHO FINAN-ADR               844,639     1,224,503       -31.0
SSL      SASOL LTD-SP ADR               238,296       345,431       -31.0
NKA      NISKA GAS STORAG               223,453       323,239       -30.9
PEG      PUB SERV ENTERP              4,885,278     7,061,360       -30.8
THD      ISHARES THAI                   200,411       289,521       -30.8
STJ      ST JUDE MEDICAL              4,256,793     6,121,371       -30.5
HCC      HCC INSURANCE                  795,196     1,141,824       -30.4
IWP      ISHARES-RUS M GR               460,184       659,735       -30.2
SNI      SCRIPPS NET-CL A             3,263,028     4,671,451       -30.1
SRE      SEMPRA ENERGY                2,694,698     3,834,445       -29.7
FXY      CRYSHS-JAPANESE                568,788       807,521       -29.6
L        LOEWS CORP                   2,417,376     3,425,645       -29.4
CMS      CMS ENERGY CORP             12,480,790    17,601,491       -29.1
BR       BROADRIDGE FINL              1,564,015     2,205,001       -29.1
MCK      MCKESSON CORP                2,233,081     3,144,790       -29.0
WAB      WABTEC CORP                    318,836       448,483       -28.9
HIX      WESTERN AS H/I 2               487,685       683,707       -28.7
IXC      ISHARES-GLB ENRG               333,157       465,689       -28.5
CNC      CENTENE CORP                 2,339,644     3,266,874       -28.4
DVY      ISHARES-DJ DIV                 757,001     1,054,757       -28.2
XL       XL GROUP PLC                 3,185,303     4,436,871       -28.2
IYH      ISHARES-DJ HEALT               332,032       461,815       -28.1
TUR      ISHARES TURKEY                 282,617       391,910       -27.9
DXD      PROSHARES ULTRAS               707,734       979,079       -27.7
MAS      MASCO CORP                  12,034,745    16,618,473       -27.6
RGP      REGENCY ENERGY P               796,703     1,098,766       -27.5
MET      METLIFE INC                 22,014,570    30,288,321       -27.3
LPR      LONE PINE RESOUR             1,041,803     1,432,882       -27.3
ACM      AECOM TECHNOLOGY             2,095,752     2,864,419       -26.8
JTP      NUVEEN QUALITY                 372,116       507,830       -26.7
CSE      CAPITALSOURCE IN             8,098,742    11,006,622       -26.4
BEN      FRANKLIN RES INC             3,050,918     4,144,217       -26.4
EQT      EQT CORP                     2,343,941     3,182,182       -26.3
ICF      ISHARES-REALTY M               825,032     1,118,825       -26.3
EEP      ENBRIDGE ENERGY              1,090,361     1,477,597       -26.2
ASH      ASHLAND INC                  2,364,935     3,198,479       -26.1
DRN      DIREXION-R E-BUL               446,902       603,964       -26.0
OAS      OASIS PETROLEUM              7,441,957    10,035,952       -25.8
EDE      EMPIRE DISTRICT              1,642,776     2,212,325       -25.7
IEO      ISHARES-DJ O&G                 401,863       541,139       -25.7
CRL      CHARLES RIVER LA             1,096,677     1,467,575       -25.3
NKE      NIKE INC -CL B               3,491,419     4,670,630       -25.2
AFG      AMER FINL GROUP                459,144       611,265       -24.9
UGP      ULTRAPAR PA-ADR                342,687       455,510       -24.8
JLL      JONES LANG LASAL               791,159     1,050,795       -24.7
LII      LENNOX INTL INC              1,420,223     1,884,583       -24.6
CXW      CORRECTIONS CORP             2,068,505     2,742,651       -24.6
GCAP     GAIN CAPITAL HOL               807,192     1,064,333       -24.2
CUK      CARNIVAL PLC-ADR               360,267       474,378       -24.1
RLD      REALD INC                    4,787,259     6,289,189       -23.9
MMC      MARSH & MCLENNAN             6,309,369     8,284,713       -23.8
PSO      PEARSON PLC-ADR                540,724       709,501       -23.8
HS       HEALTHSPRING INC             2,819,261     3,694,983       -23.7
SQNS     SEQUANS COMM-ADR               867,543     1,136,039       -23.6
VNQ      VANGUARD REIT ET             2,493,218     3,263,329       -23.6
IRM      IRON MOUNTAIN                7,842,938    10,230,720       -23.3
ABC      AMERISOURCEBERGE             6,337,060     8,237,633       -23.1
THI      TIM HORTONS INC                592,637       769,408       -23.0
PWR      QUANTA SERVICES              5,116,780     6,622,676       -22.7
RGC      REGAL ENTERTAI-A            14,372,022    18,598,408       -22.7
KGC      KINROSS GOLD                 4,491,349     5,806,817       -22.7
UAN      CVR PARTNERS LP                711,452       917,924       -22.5
NVE      NV ENERGY INC                3,363,248     4,337,839       -22.5
SOL      RENESOLA LTD-ADR             5,567,391     7,153,441       -22.2
CEG      CONSTELLAT ENER              2,934,045     3,762,583       -22.0
FRZ      REDDY ICE HOLD                 448,440       574,899       -22.0
JEC      JACOBS ENGIN GRP             2,763,038     3,528,615       -21.7
PX       PRAXAIR INC                  3,694,971     4,718,291       -21.7
GKK      GRAMERCY CAPITAL               497,316       634,665       -21.6
NVO      NOVO-NORDISK-ADR               546,604       696,835       -21.6
SIX      SIX FLAGS ENTERT             3,500,872     4,458,934       -21.5
NXY      NEXEN INC                    1,934,040     2,462,805       -21.5
KSS      KOHLS CORP                  11,170,356    14,215,712       -21.4
EWM      ISHARES-MALAYSIA             2,346,989     2,976,898       -21.2
DE       DEERE & CO                   7,797,277     9,888,853       -21.2
DBO      POWERSHARES DB O               266,845       338,325       -21.1
AN       AUTONATION INC               8,596,349    10,890,848       -21.1
HP       HELMERICH & PAYN             3,923,945     4,969,341       -21.0
DGX      QUEST DIAGNOSTIC             6,372,632     8,053,973       -20.9
JNK      SPDR BARCLAYS                7,024,156     8,807,192       -20.2
EDR      EDUCATION REALTY             3,212,428     4,026,313       -20.2
FCN      FTI CONSULTING               4,021,053     5,035,570       -20.1
PSA      PUBLIC STORAGE               3,803,539     4,762,756       -20.1
HYG      ISH-IBOXX H/Y CO             3,931,152     4,921,329       -20.1
ITUB     ITAU UNIBANC-ADR            15,494,236    19,395,165       -20.1
IEZ      ISHARES-DJ O E S               272,098       339,137       -19.8
HNT      HEALTH NET INC               2,770,828     3,453,232       -19.8
OZM      OCH-ZIFF CAPIT-A             1,178,909     1,469,202       -19.8
TGT      TARGET CORP                  9,065,438    11,294,283       -19.7
RS       RELIANCE STEEL               1,199,381     1,490,872       -19.6
AGRO     ADECOAGRO SA                   283,365       352,054       -19.5
CTB      COOPER TIRE & RU             3,094,876     3,844,212       -19.5
MHP      MCGRAW-HILL COS              6,054,794     7,520,045       -19.5
DZZ      PWR GOLD DBL SHR               589,898       731,798       -19.4
USO      UNITED STATES OI            33,061,262    40,977,340       -19.3
THC      TENET HEALTHCARE            29,551,274    36,619,345       -19.3
CSX      CSX CORP                    10,744,171    13,293,716       -19.2
CHMT     CHEMTURA CORP                3,997,087     4,943,784       -19.1
BIN      PROGRESSIVE WAST               254,913       315,138       -19.1
FICO     FAIR ISAAC CORP              2,241,002     2,769,606       -19.1
AVT      AVNET INC                    2,086,969     2,578,682       -19.1
TYC      TYCO INTL LTD                5,198,713     6,420,704       -19.0
PLL      PALL CORP                    2,937,440     3,624,783       -19.0
CS       CREDIT SUISS-ADR             2,238,920     2,760,535       -18.9
CR       CRANE CO                       360,084       443,750       -18.9
TTC      TORO CO                        886,380     1,091,385       -18.8
MON      MONSANTO CO                  7,398,245     9,102,083       -18.7
PGN      PROGRESS ENERGY              2,184,790     2,686,670       -18.7
WLL      WHITING PETROLEU             4,292,014     5,267,866       -18.5
UNH      UNITEDHEALTH GRP            11,867,231    14,562,704       -18.5
SMH      SEMICONDUCTOR HL            14,465,678    17,747,868       -18.5
ANH      ANWORTH MORTGAGE             4,932,540     6,045,491       -18.4
SUG      SOUTHERN UNION               1,903,723     2,332,561       -18.4
PFG      PRINCIPAL FINL               8,536,856    10,455,291       -18.3
MHK      MOHAWK INDS                  2,394,913     2,932,133       -18.3
KSU      KANSAS CITY SOUT             2,797,646     3,425,189       -18.3
B        BARNES GROUP INC             2,792,413     3,411,007       -18.1
MOO      MKT VECT-AGRIBUS             1,151,708     1,406,729       -18.1
ELN      ELAN CORP-ADR                6,811,444     8,319,646       -18.1
WLT      WALTER ENERGY                1,841,780     2,247,806       -18.1
MFB      MAIDENFORM BRAND             1,650,876     2,014,136       -18.0
QEP      QEP RESOURCES IN             3,905,370     4,760,525       -18.0
CYN      CITY NATL CORP               2,153,014     2,624,331       -18.0
ITC      ITC HOLDINGS COR             2,766,361     3,366,577       -17.8
AAN      AARON'S INC                  3,808,140     4,634,356       -17.8
TRV      TRAVELERS COS IN             7,762,823     9,442,081       -17.8
RBN      ROBBINS & MYERS              1,490,167     1,810,749       -17.7
STZ      CONSTELLATION-A              2,627,067     3,177,198       -17.3
OIS      OIL STATES INTL              2,136,180     2,581,195       -17.2
WSH      WILLIS GRP HLDGS             1,424,475     1,720,537       -17.2
BC       BRUNSWICK CORP               8,047,993     9,716,533       -17.2
CM       CAN IMPL BK COMM             1,262,999     1,521,919       -17.0
AXS      AXIS CAPITAL                 1,504,801     1,812,212       -17.0
MGA      MAGNA INTL                   2,008,562     2,413,941       -16.8
BPL      BUCKEYE PARTNERS             1,064,186     1,276,760       -16.6
HCP      HCP INC                     21,419,121    25,694,840       -16.6
BX       BLACKSTONE GROUP             8,200,143     9,836,793       -16.6
BTE      BAYTEX ENERGY CO             1,123,407     1,346,474       -16.6
UYG      PROSHARES ULTRA                953,228     1,142,480       -16.6
CEO      CNOOC LTD-ADR                  267,718       320,753       -16.5

*-- Data includes ETF positions.

-- Bloomberg News

To contact Bloomberg News for this story: newsdev@bloomberg.net

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.