Largest Nasdaq Short Interest Percent Decreases as of Jan. 13
By Bloomberg News -
2012-01-26T15:01:53Z
The following are the 200 largest short interest percent decreases on the Nasdaq Stock Market as of the Jan. 13 settlement date. This list includes securities with a short position of at least 200,000 shares.
Ticker Symbol Company Jan. 13 Dec. 30 % Change ============================================================================= GRFS GRIFOLS SA-ADR 1,301,162 3,889,185 -66.5 DISH DISH NETWORK-A 3,840,468 6,960,550 -44.8 CYOU CHANGYOU.COM-ADR 220,030 372,326 -40.9 BMTI BIOMIMETIC THERA 1,023,649 1,708,899 -40.1 BRKL BROOKLINE BANCRP 3,070,568 4,840,972 -36.6 BBEP BREITBURN ENERGY 333,242 513,335 -35.1 NPSP NPS PHARM INC 4,475,619 5,935,181 -24.6 HEAT SMARTHEAT INC 505,064 668,709 -24.5 VALV SHENGKAI INNOVAT 217,739 288,190 -24.4 TKLC TEKELEC 1,832,472 2,421,029 -24.3 CMCSK COMCAST CORP-SPL 10,916,622 14,415,061 -24.3 FWLT FOSTER WHEELER 1,724,138 2,272,487 -24.1 IPCM IPC THE HOSPITAL 2,057,972 2,709,068 -24.0 ISRG INTUITIVE SURGIC 788,618 1,036,274 -23.9 STKL SUNOPTA INC 775,181 1,017,035 -23.8 SFLY SHUTTERFLY INC 6,418,856 8,370,913 -23.3 ACWI ISHARES MSCI ACW 370,690 482,582 -23.2 TNDM NEUTRAL TANDEM I 1,092,752 1,407,884 -22.4 CNMD CONMED CORP 1,518,948 1,955,176 -22.3 SMSI SMITH MICRO SOFT 1,638,170 2,107,377 -22.3 ACOR ACORDA THERAPEUT 3,194,668 4,039,766 -20.9 ANGO ANGIODYNAMICS IN 729,446 917,105 -20.5 CWCO CONS WATER CO-OR 539,268 676,877 -20.3 TITN TITAN MACHINERY 1,173,209 1,469,478 -20.2 ALIM ALIMERA SCIENCES 587,454 735,102 -20.1 ALTI ALTAIR NANOTECHN 949,718 1,185,960 -19.9 COMV COMVERGE INC 704,008 878,262 -19.8 MANH MANHATTAN ASSOC 590,774 736,448 -19.8 HSOL HANWHA SOLAR-ADR 2,674,722 3,315,329 -19.3 BBOX BLACK BOX CORP 469,925 577,930 -18.7 OCLS OCULUS INNOVATIV 444,523 546,067 -18.6 PRIM PRIMORIS SERVICE 983,303 1,199,180 -18.0 VRSK VERISK ANALYTI-A 948,740 1,151,511 -17.6 ATX AT CROSS CO-A 317,895 385,746 -17.6 MOSY MOSYS INC 2,139,521 2,593,584 -17.5 EDMC EDUCATION MGMT 3,879,000 4,697,322 -17.4 ATRO ASTRONICS CORP 369,563 447,076 -17.3 HITK HI-TECH PHARMACA 1,130,784 1,366,836 -17.3 MODL MMODAL INC 1,247,692 1,506,735 -17.2 PDCO PATTERSON COS 4,585,892 5,510,921 -16.8 VCLK VALUECLICK INC 7,213,381 8,647,750 -16.6 NATR NATURE'S SUNSHNE 741,388 888,536 -16.6 HURN HURON CONSULTING 583,407 698,842 -16.5 TYPE MONOTYPE IMAGING 993,574 1,190,058 -16.5 CLMS CALAMOS ASSET-A 466,214 557,209 -16.3 GEVA SYNAGEVA BIOPHAR 323,120 384,373 -15.9 SPSC SPS COMMERCE INC 548,361 650,674 -15.7 REGN REGENERON PHARM 7,464,429 8,853,523 -15.7 ARBA ARIBA INC 1,810,104 2,142,412 -15.5 DWSN DAWSON GEOPHYS 588,376 692,861 -15.1 WCAA WCA WASTE CORP 518,388 610,142 -15.0 NXST NEXSTAR BROADC-A 344,231 403,695 -14.7 CPWM COST PLUS INC/CA 2,472,722 2,895,183 -14.6 HOGS ZHONGPIN INC 3,195,480 3,737,039 -14.5 LBTYK LIBERTY GLOBAL-C 437,503 511,070 -14.4 ALOG ANALOGIC CORP 494,226 577,304 -14.4 CCRN CROSS COUNTRY HE 697,394 812,785 -14.2 LABL MULTI-COLOR CORP 309,563 360,494 -14.1 CFNL CARDINAL FINL CP 635,720 739,711 -14.1 ANTH ANTHERA PHARMACE 1,051,963 1,220,194 -13.8 TRGL TOREADOR RES 672,611 779,934 -13.8 VRML VERMILLION INC 279,495 323,970 -13.7 FLEX FLEXTRONICS INTL 9,611,783 11,139,833 -13.7 GERN GERON CORP 7,732,434 8,958,284 -13.7 NLNK NEWLINK GENETICS 253,373 293,526 -13.7 CISG CNINSURE INC-ADR 2,440,358 2,823,418 -13.6 INHX INHIBITEX INC 2,324,339 2,687,680 -13.5 XOMA XOMA CORP 638,982 738,545 -13.5 ACTG ACACIA RESEARCH 2,047,828 2,363,868 -13.4 VIA VIACOM INC-A 384,952 444,290 -13.4 LULU LULULEMON ATH 12,889,502 14,846,888 -13.2 SCOK SINOCOKING COAL 258,222 296,381 -12.9 MDRX ALLSCRIPTS HEALT 4,000,842 4,592,054 -12.9 TLEO TALEO CORP-A 2,733,032 3,131,171 -12.7 PWER POWER-ONE INC 9,552,084 10,942,576 -12.7 FBNK FIRST CONNECTICU 574,563 656,864 -12.5 VCBI VIRGINIA COMM BA 865,710 989,618 -12.5 IART INTEGRA LIFESCIE 971,013 1,109,572 -12.5 AAWW ATLAS AIR WORLDW 923,332 1,054,959 -12.5 SUNH SUN HEALTHCARE G 1,564,852 1,787,090 -12.4 MOBI SKY-MOBI LTD-ADR 578,924 659,932 -12.3 ASGN ON ASSIGNMENT 1,065,258 1,213,705 -12.2 ZOLL ZOLL MEDICAL 927,434 1,055,777 -12.2 GLCH GLEACHER & CO IN 2,298,504 2,614,438 -12.1 LECO LINCOLN ELECTRIC 493,297 559,464 -11.8 COWN COWEN GROUP-A 4,009,064 4,542,985 -11.8 FXEN FX ENERGY INC 3,439,643 3,896,416 -11.7 WMAR WEST MARINE INC 419,391 474,997 -11.7 VOXX AUDIOVOX CORP-A 560,168 633,130 -11.5 IPXL IMPAX LABS INC 3,261,623 3,685,265 -11.5 FFCH FIRST FIN HLDGS 463,024 523,147 -11.5 HOTT HOT TOPIC INC 2,335,707 2,638,703 -11.5 USPH US PHYSICAL THER 311,317 351,658 -11.5 HALL HALLMARK FINL 375,624 424,046 -11.4 OSIS OSI SYSTEMS INC 575,429 648,573 -11.3 JSDA JONES SODA CO 230,483 259,709 -11.3 COHR COHERENT INC 685,770 772,645 -11.2 OMCL OMNICELL INC 1,393,434 1,567,936 -11.1 WBMD WEBMD HEALTH COR 2,779,275 3,124,821 -11.1 PKOH PARK OHIO HLDGS 250,783 281,421 -10.9 ODFL OLD DOMINION FRT 1,632,171 1,830,744 -10.8 TICC TICC CAPITAL COR 963,755 1,079,822 -10.7 HAFC HANMI FINL CORP 1,141,007 1,276,565 -10.6 GCVRZ SANOFI CVR 500,479 559,771 -10.6 LTBR LIGHTBRIDGE CORP 204,908 229,127 -10.6 SRCE 1ST SOURCE CORP 362,480 405,107 -10.5 HGIC HARLEYSVILLE GRP 1,427,561 1,595,136 -10.5 FBNC FIRST BANCORP/NC 356,340 397,955 -10.5 XRTX XYRATEX LTD 1,232,789 1,376,563 -10.4 LHCG LHC GROUP INC 1,211,155 1,352,135 -10.4 ECTE ECHO THERAPEUTIC 821,647 916,799 -10.4 SUPX SUPERTEX INC 307,272 342,851 -10.4 MIDD MIDDLEBY CORP 1,063,411 1,186,532 -10.4 SMRT STEIN MART INC 1,051,461 1,173,178 -10.4 UFCS UNITED FIRE & CA 620,725 691,559 -10.2 POWR POWERSECURE INTE 1,147,226 1,278,061 -10.2 COOL MAJESCO ENTERTAI 2,031,720 2,262,259 -10.2 NWPX NORTHWEST PIPE 362,870 404,032 -10.2 VICL VICAL INC 5,795,557 6,443,690 -10.1 CYBX CYBERONICS 2,442,585 2,715,490 -10.0 OKSB SOUTHWEST BAN/OK 720,706 800,830 -10.0 INSP INFOSPACE INC 1,398,237 1,552,222 -9.9 EXLP EXTERRAN PARTNER 248,615 275,940 -9.9 MTRX MATRIX SERVICE 761,596 844,893 -9.9 GAIN GLADSTONE INVEST 487,817 541,113 -9.8 ISSI INTEGRAT SIL SOL 908,768 1,007,989 -9.8 GIFI GULF ISLAND FABR 435,345 482,703 -9.8 PRTS US AUTO PARTS NE 823,601 912,839 -9.8 POWL POWELL INDS INC 235,626 261,097 -9.8 ANSS ANSYS INC 965,749 1,069,631 -9.7 PRAN PRANA BIOTEC-ADR 418,778 463,707 -9.7 MRNA MARINA BIOTECH I 421,116 466,209 -9.7 INWK INNERWORKINGS IN 6,669,297 7,382,081 -9.7 MCRI MONARCH CASINO 246,740 273,006 -9.6 ABAX ABAXIS INC 1,545,905 1,710,040 -9.6 JJSF J & J SNACK FOOD 338,636 374,500 -9.6 DRWI DRAGONWAVE INC 2,349,688 2,598,442 -9.6 SYNO SYNOVIS LIFE TEC 295,835 327,136 -9.6 BGCP BGC PARTNERS-A 4,497,286 4,972,148 -9.6 RENT RENTRAK CORP 465,634 514,745 -9.5 PLXT PLX TECHNOLOGY 1,654,952 1,829,087 -9.5 BRKS BROOKS AUTOMATIO 2,068,110 2,284,451 -9.5 GSIT GSI TECHNOLOGY 638,813 705,454 -9.4 LMIA LMI AEROSPACE 241,415 266,594 -9.4 CFFN CAPITOL FEDERAL 1,582,503 1,747,495 -9.4 LAYN LAYNE CHRISTENSN 600,086 662,292 -9.4 DATE JIAYUAN.COM INTE 577,331 637,132 -9.4 CAC CAMDEN NATIONAL 203,675 224,723 -9.4 GOOG GOOGLE INC-CL A 3,614,883 3,988,346 -9.4 IILG INTERVAL LEISURE 1,180,085 1,301,960 -9.4 LXRX LEXICON PHARMACE 9,374,232 10,336,941 -9.3 SCHL SCHOLASTIC CORP 2,360,202 2,601,935 -9.3 FELE FRANKLIN ELEC CO 1,008,613 1,111,209 -9.2 SNDA SHANDA INTER-ADR 801,517 882,927 -9.2 BELFB BEL FUSE INC-B 232,267 255,290 -9.0 CRIC CHINA REAL-ADR 617,678 678,809 -9.0 MDAS MEDASSETS INC 1,638,449 1,799,766 -9.0 NWS NEWS CORP-B 3,275,045 3,597,480 -9.0 BOFI BOFI HOLDING INC 798,220 876,073 -8.9 NNBR NN INC 805,568 884,058 -8.9 TTEK TETRA TECH INC 3,019,186 3,312,710 -8.9 RECN RESOURCES CONNEC 1,852,000 2,031,834 -8.9 CHDN CHURCHILL DOWNS 303,170 332,561 -8.8 GCOM GLOBECOMM SYS 789,734 866,121 -8.8 CSFL CENTERSTATE BANK 883,164 968,336 -8.8 RNWK REALNETWORKS INC 1,038,037 1,137,778 -8.8 OPTT OCEAN POWER TECH 852,767 934,326 -8.7 SENEA SENECA FOODS-A 361,227 395,729 -8.7 STAN STANDARD PARKING 428,451 469,114 -8.7 INTX INTERSECTIONS IN 446,790 488,952 -8.6 DFR CIFC CORP 369,376 404,190 -8.6 JKHY JACK HENRY 3,118,745 3,412,046 -8.6 SOMX SOMAXON PHARMACE 4,440,220 4,857,618 -8.6 KMGB KMG CHEMICALS 302,231 330,596 -8.6 GEOI GEORESOURCES INC 2,396,027 2,620,787 -8.6 RSYS RADISYS CORP 954,407 1,043,689 -8.6 GLUU GLU MOBILE INC 7,599,776 8,308,957 -8.5 BLDR BUILDERS FIRSTSO 2,437,509 2,663,407 -8.5 WTBA WEST BANCORP 425,851 465,275 -8.5 UNTK UNITEK GLOBAL SE 335,640 366,677 -8.5 STFC STATE AUTO FINL 370,298 404,421 -8.4 GSOL GLOBAL SOURCES 557,194 608,076 -8.4 CRMT AMERICA'S CAR-MA 319,819 348,964 -8.4 FMER FIRSTMERIT CORP 6,048,323 6,599,457 -8.4 FRME FIRST MERCHANTS 676,241 737,841 -8.3 LMNR LIMONEIRA CO 275,843 300,880 -8.3 FLIC FIRST OF LONG IS 209,999 228,983 -8.3 WASH WASH TRUST BANC 492,253 536,569 -8.3 COHU COHU INC 589,121 642,043 -8.2 BIRT ACTUATE CORP 965,232 1,051,741 -8.2 WRLD WORLD ACCEPTANCE 1,934,033 2,106,984 -8.2 SURG SYNERGETICS USA 816,572 889,584 -8.2 IVAC INTEVAC INC 769,237 837,819 -8.2 LKFN LAKELAND FINL 415,673 452,715 -8.2 LIWA LIHUA INTERNATIO 2,063,531 2,245,691 -8.1 SCVL SHOE CARNIVAL 315,910 343,550 -8.0 UCTT ULTRA CLEAN HOLD 813,755 884,542 -8.0 SPNC SPECTRANETICS 1,179,611 1,281,893 -8.0 SCSC SCANSOURCE INC 1,029,040 1,118,198 -8.0 MASI MASIMO CORP 4,302,901 4,674,818 -8.0
*-- Data includes ETF positions.
-- Bloomberg News
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