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   
=============================================================================
THI      TIM HORTONS INC              6,856,152       592,637      1056.9
IHG      INTERCONTIN-ADR              5,903,000     1,183,399       398.8
BND      VANGUARD TOTAL B             2,483,120       579,919       328.2
LYB      LYONDELLBASELL-A            11,574,343     4,102,440       182.1
OEF      ISHARES-SP100                3,794,298     1,450,252       161.6
VIG      VANGUARD DVD A E             1,108,169       426,400       159.9
CBE      COOPER INDS                  5,349,164     2,224,546       140.5
UUP      POWERSHARES DB U             6,485,025     2,700,258       140.2
SAN      BANCO SANTAN-ADR             2,074,832       895,189       131.8
PVX      PROVIDENT ENERGY             1,220,801       544,986       124.0
TNA      DIR SM CAP BL 3X             5,877,225     2,631,883       123.3
FAS      DIR FIN BULL 3X              4,115,530     1,856,875       121.6
SPXU     PROSHARES ULTRAP             3,429,246     1,612,551       112.7
RYH      RYDEX-S&P EW HEA             1,028,394       486,783       111.3
EUO      PROSH-UL/SHO EUR             2,237,581     1,095,622       104.2
NZT      TELECOM NEW-ADR                683,564       335,334       103.8
SH       PROSHARES SHORT              1,436,627       715,287       100.8
FXY      CRYSHS-JAPANESE              1,083,761       568,788        90.5
GIB      CGI GROUP INC-A              2,836,441     1,511,203        87.7
EDZ      DIR EMR MKT BR3X             1,194,183       637,039        87.5
SHY      ISHARES 1-3 YR               1,106,051       607,389        82.1
CR       CRANE CO                       640,615       360,084        77.9
EWQ      ISHARES-FRANCE                 788,621       447,021        76.4
CS       CREDIT SUISS-ADR             3,922,625     2,238,920        75.2
SQM      QUIMICA Y-SP ADR             1,936,044     1,105,939        75.1
ASH      ASHLAND INC                  4,117,181     2,364,935        74.1
TRH      TRANSATLANTIC HL             1,331,653       768,226        73.3
MBT      MOBILE TELES-ADR             4,526,651     2,636,652        71.7
VEA      VANGUARD MSCI EA               653,849       383,021        70.7
IYF      ISHARES-DJ FN SC               568,876       339,253        67.7
SLH      SOLERA HOLDINGS              1,189,839       712,353        67.0
IWV      ISHARES-RS 3000              4,422,742     2,659,922        66.3
EBR      ELETROBRAS-ADR                 810,159       489,574        65.5
TZA      DIR SMCAP BEAR3X             5,109,607     3,098,574        64.9
XES      SPDR OIL & GAS E               481,644       295,831        62.8
RY       ROYAL BANK OF CA            18,335,075    11,302,334        62.2
CBT      CABOT CORP                     942,047       581,226        62.1
FAZ      DIR FIN BEAR 3X              4,605,584     2,862,382        60.9
UPRO     PROSHARES ULTRAP               815,853       508,111        60.6
EDC      DIR EM BULL 3X                 595,153       371,669        60.1
RS       RELIANCE STEEL               1,906,099     1,199,381        58.9
IWS      ISHARES-RUS M V              1,058,650       666,661        58.8
SOXL     DIR SEMI BULL 3X               489,399       309,821        58.0
AFG      AMER FINL GROUP                724,982       459,144        57.9
CCO      CLEAR CHANNEL-A                821,852       522,506        57.3
CPO      CORN PRODUCTS                1,090,605       702,612        55.2
LSI      LSI CORP                    14,334,126     9,298,980        54.1
UBS      UBS AG-REG                   7,508,771     4,907,586        53.0
BCS      BARCLAYS PLC-ADR            11,008,890     7,207,313        52.7
SPW      SPX CORP                     1,053,598       692,429        52.2
ATR      APTARGROUP INC               1,111,595       732,601        51.7
ACM      AECOM TECHNOLOGY             3,177,727     2,095,752        51.6
SIG      SIGNET JEWELERS              3,439,250     2,286,371        50.4
UAN      CVR PARTNERS LP              1,064,909       711,452        49.7
NMR      NOMURA HLDGS-ADR             1,196,741       801,249        49.4
EPI      WISDOMTREE INDIA             9,016,091     6,054,309        48.9
JPM/WS   JPMORGAN CH-CW18             1,665,259     1,124,219        48.1
GCA      GLOBAL CASH ACCE             3,065,233     2,073,647        47.8
EJ       E-HOUSE CHIN-ADS             2,434,717     1,647,325        47.8
IVV      ISHARES-S&P 500              2,758,033     1,868,835        47.6
NDZ      NORDION INC                    529,652       363,683        45.6
CHT      CHUNGHWA TEL-ADR               407,353       280,241        45.4
DOV      DOVER CORP                   4,454,557     3,073,338        44.9
GR       GOODRICH CORP                1,787,617     1,237,495        44.5
DQ       DAQO NEW ENE-ADR               518,837       360,929        43.8
BBD      BRADESCO-ADR                23,140,826    16,159,597        43.2
VNM      MKT VECT-VIETNAM               337,408       235,806        43.1
MWV      MEADWESTVACO COR             2,346,260     1,640,311        43.0
VGK      VANGUARD MSCI EU             7,600,850     5,336,447        42.4
MBB      ISHARES BARCLY M               286,422       201,228        42.3
SSL      SASOL LTD-SP ADR               338,793       238,296        42.2
BIN      PROGRESSIVE WAST               361,723       254,913        41.9
CFN      CAREFUSION CORP              2,815,296     1,993,375        41.2
AVY      AVERY DENNISON               4,539,606     3,225,864        40.7
DVA      DAVITA INC                   2,626,635     1,869,815        40.5
PEP      PEPSICO INC                 13,761,454     9,809,421        40.3
EDU      NEW ORIENTAL-ADR             4,604,227     3,285,056        40.2
LRN      K12 INC                      5,392,587     3,851,253        40.0
JEC      JACOBS ENGIN GRP             3,868,465     2,763,038        40.0
PT       PORTUGAL TEL-ADR               766,607       548,359        39.8
MSM      MSC INDL DIRECT                465,057       333,362        39.5
SBX      SEABRIGHT HOLDIN               959,722       691,972        38.7
STJ      ST JUDE MEDICAL              5,900,166     4,256,793        38.6
SPR      SPIRIT AEROSYS-A             4,666,199     3,383,247        37.9
OPK      OPKO HEALTH                 18,237,222    13,226,421        37.9
DGS      WISDOMTREE EMERG               377,329       274,791        37.3
EEV      PROSHARES ULTRA                440,209       320,726        37.3
KMT      KENNAMETAL INC               2,124,183     1,549,239        37.1
FHN      FIRST HORIZON NA            11,971,638     8,741,652        36.9
IEV      ISHARES-S&P EURO             1,941,904     1,419,060        36.8
ARE      ALEXANDRIA REAL              1,711,956     1,253,069        36.6
AET      AETNA INC                    5,599,646     4,098,890        36.6
PC       PANASONIC-ADR                  747,292       548,786        36.2
JNS      JANUS CAPITAL GR            10,727,132     7,881,494        36.1
EZU      ISHARES-EMU INDX               613,688       451,971        35.8
QLD      PROSHARES ULTRA                788,777       582,364        35.4
ALB      ALBEMARLE CORP               2,325,864     1,719,100        35.3
IHS      IHS INC-CLASS A              1,388,082     1,026,160        35.3
WAB      WABTEC CORP                    427,982       318,836        34.2
CNS      COHEN & STEERS               4,211,417     3,142,183        34.0
RGA      REINSURANCE GROU               670,161       500,097        34.0
AME      AMETEK INC                   1,098,796       821,746        33.7
CIS      CAMELOT INFO-ADR             2,736,267     2,047,943        33.6
IM       INGRAM MICRO INC             3,961,513     2,966,629        33.5
CSE      CAPITALSOURCE IN            10,812,021     8,098,742        33.5
CRY      CRYOLIFE INC                 1,251,099       942,769        32.7
ALEX     ALEXANDER & BALD             1,581,721     1,193,352        32.5
THD      ISHARES THAI                   265,426       200,411        32.4
VIP      VIMPELCOM LT-ADR             6,381,956     4,832,048        32.1
WMS      WMS INDS INC                 6,186,837     4,685,294        32.0
HBC      HSBC HOLDING-ADR             4,200,147     3,187,920        31.8
TK       TEEKAY CORP                  2,159,798     1,642,770        31.5
DBO      POWERSHARES DB O               350,592       266,845        31.4
VVC      VECTREN CORP                 1,093,432       832,465        31.3
AAT      AMERICAN ASSETS              1,489,235     1,134,494        31.3
HDB      HDFC BANK-ADR                2,238,432     1,708,235        31.0
LGF      LIONS GATE                   5,114,276     3,903,804        31.0
IYT      ISHARES-DJ US TR             2,602,074     1,987,170        30.9
AIQ      ALLIANCE HEALTHC             1,146,246       876,094        30.8
KBR      KBR INC                      1,012,013       775,945        30.4
ARW      ARROW ELECTRONIC             2,683,622     2,059,250        30.3
CSL      CARLISLE COS INC             1,091,902       837,936        30.3
UWM      PROSHARES ULTRA                871,728       669,269        30.3
CBI      CHICAGO BRIDG-NY             1,517,779     1,165,735        30.2
IWR      ISHARES-RUS M/C                776,272       597,026        30.0
PFF      ISHARES S&P PREF             1,263,915       973,253        29.9
CXW      CORRECTIONS CORP             2,683,808     2,068,505        29.7
AJG      ARTHUR J GALLAGH             2,537,359     1,956,721        29.7
ACI      ARCH COAL INC               13,103,788    10,111,632        29.6
TMK      TORCHMARK CORP               4,286,237     3,308,075        29.6
KOG      KODIAK OIL & GAS            29,935,314    23,138,647        29.4
TNB      THOMAS & BETTS               1,184,848       916,676        29.3
IEF      ISHARES 7-10 YR              3,505,875     2,712,467        29.3
KRO      KRONOS WORLDWIDE             3,728,980     2,885,459        29.2
BF/B     BROWN-FORMAN -B              1,600,233     1,239,561        29.1
EWC      ISHARES-CANADA               3,822,757     2,961,780        29.1
HNP      HUANENG POWR-ADR               434,559       336,771        29.0
AGCO     AGCO CORP                    3,309,115     2,565,016        29.0
XLB      SPDR-MATERIALS              30,170,033    23,392,593        29.0
EWG      ISHARES-GERMANY              8,103,426     6,295,429        28.7
MDU      MDU RES GROUP                1,816,828     1,412,105        28.7
WDR      WADDELL & REED-A             4,399,510     3,422,595        28.5
TAN      GUGGENHEIM SOLAR               894,014       698,586        28.0
SNA      SNAP-ON INC                  1,027,198       803,977        27.8
PRX      PAR PHARMACEUTIC             1,621,446     1,271,543        27.5
XL       XL GROUP PLC                 4,058,202     3,185,303        27.4
BLK      BLACKROCK INC                1,672,728     1,314,102        27.3
CYT      CYTEC INDS                   2,053,748     1,619,231        26.8
CCJ      CAMECO CORP                  6,807,973     5,368,650        26.8
KMPR     KEMPER CORP                    565,085       445,959        26.7
AZZ      AZZ INC                        547,165       431,974        26.7
IXC      ISHARES-GLB ENRG               421,811       333,157        26.6
WDC      WESTERN DIGITAL              3,815,815     3,015,654        26.5
CE       CELANESE CORP-A              2,878,196     2,278,254        26.3
XYL      XYLEM INC                    4,395,333     3,480,077        26.3
JEF      JEFFERIES GROUP             31,844,305    25,224,521        26.2
EWW      ISHARES-MEXICO               4,256,313     3,375,910        26.1
LOW      LOWE'S COS INC              24,022,863    19,101,781        25.8
FNV      FRANCO-NEVADA CO               989,827       787,873        25.6
FII      FEDERATED INV-B              8,473,155     6,755,555        25.4
RNR      RENAISSANCERE                2,216,484     1,767,820        25.4
ITG      INVESTMENT TECH              4,666,044     3,725,200        25.3
AHT      ASHFORD HOSPITAL             5,338,556     4,262,179        25.3
YZC      YANZHOU COAL-ADR               763,382       610,095        25.1
AMG      AFFIL MANAGERS               1,272,888     1,018,441        25.0
GEF      GREIF INC-CL A               1,056,420       846,326        24.8
CMP      COMPASS MINERALS               478,969       383,903        24.8
PSS      COLLECTIVE BRAND            15,817,890    12,690,226        24.6
SDS      PROSHARES ULTRAS            10,729,237     8,609,610        24.6
NU       NORTHEAST UTILS              3,151,960     2,536,905        24.2
PGF      POWERSHARES FIN                377,064       303,532        24.2
CMLP     CRESTWOOD MIDSTR               331,501       267,003        24.2
K        KELLOGG CO                   5,602,360     4,512,705        24.1
XLK      SPDR-TECH SEL S             22,614,038    18,225,500        24.1
FLS      FLOWSERVE CORP               1,540,336     1,241,780        24.0
XLF      SPDR-FINL SELECT           247,165,157   199,320,225        24.0
EWJ      ISHARES-JAPAN               20,540,266    16,588,771        23.8
PDS      PRECISION DRILL              2,131,024     1,721,525        23.8
BUD      ANHEUSER-SPN ADR             1,841,025     1,487,592        23.8
DCM      NTT DOCOMO-ADR                 859,508       694,884        23.7
LNC      LINCOLN NATL CRP            15,035,201    12,156,693        23.7
BCR      CR BARD INC                  2,251,595     1,821,785        23.6
GS       GOLDMAN SACHS GP             9,774,728     7,910,515        23.6
FDS      FACTSET RESEARCH             1,649,200     1,334,843        23.6
PKG      PACKAGING CORP               1,870,563     1,514,984        23.5
RPM      RPM INTL INC                 3,380,418     2,743,042        23.2
FTE      FRANCE TELEC-ADR             1,175,816       954,349        23.2
FMX      FOMENTO ECON-ADR             1,655,112     1,343,968        23.2
ARG      AIRGAS INC                   1,243,671     1,010,194        23.1
INP      IPATH MSCI INDIA               506,959       411,912        23.1
AA       ALCOA INC                   66,182,258    53,780,096        23.1
UGI      UGI CORP                     1,583,483     1,287,406        23.0
FCG      FIRST TR ISE CHI               766,589       624,541        22.7
BAS      BASIC ENERYG SVS             2,677,127     2,181,473        22.7
MS       MORGAN STANLEY              27,407,473    22,340,112        22.7
IWD      ISHARES-RS 1K VL             3,546,581     2,896,209        22.5
PL       PROTECTIVE LIFE              4,210,246     3,442,106        22.3
CRM      SALESFORCE.COM              13,652,320    11,162,805        22.3
MAN      MANPOWER INC                 2,182,248     1,784,439        22.3
PNM      PNM RESOURCES                4,412,640     3,608,986        22.3

*-- Data includes ETF positions.

-- Bloomberg News

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