Largest NYSE Short Interest Changes as of Jan. 13

The following are the 50 largest short interest changes on the New York Stock Exchange as of the Jan. 13 settlement date. The table ranks the top 50 positive changes followed by the top negative changes.

TOP 50 INCREASES


Ticker                                                                   
Symbol   Company                    Jan. 13        Dec. 30         Change    
=============================================================================
NOK      NOKIA CORP-ADR           182,899,726    147,871,251     35,028,475
BAC      BANK OF AMERICA          186,089,564    157,043,447     29,046,117
SPY      SPDR S&P 500 ETF         313,206,118    286,188,371     27,017,747
EMC      EMC CORP/MASS            127,592,729    104,139,795     23,452,934
F        FORD MOTOR CO            147,102,703    128,284,340     18,818,363
STD      BANCO SANTAN-ADR          51,622,348     33,385,179     18,237,169
EEM      ISHARES-EMG MKT           60,160,737     45,400,125     14,760,612
AA       ALCOA INC                 75,249,156     64,299,994     10,949,162
MAR      MARRIOTT INTL-A           23,347,472     13,719,251      9,628,221
CX       CEMEX SAB-SP ADR          91,825,746     82,904,123      8,921,623
NYB      NY COMM BANCORP           26,481,766     18,037,092      8,444,674
C        CITIGROUP INC             50,286,799     42,239,208      8,047,591
GM       GENERAL MOTORS C          62,261,024     54,742,366      7,518,658
JPM      JPMORGAN CHASE            40,619,899     33,426,569      7,193,330
SCHW     SCHWAB (CHARLES)          31,857,464     25,332,742      6,524,722
FXI      ISHARES FTSE CHI          27,450,580     21,095,689      6,354,891
XLP      SPDR-CONS STAPLE          18,807,184     13,155,776      5,651,408
DIS      WALT DISNEY CO            44,965,612     39,628,579      5,337,033
S        SPRINT NEXTEL CO          79,320,833     74,139,538      5,181,295
WAG      WALGREEN CO               29,175,449     24,011,650      5,163,799
T        AT&T INC                  57,431,626     52,277,342      5,154,284
TSM      TAIWAN SEMIC-ADR          20,856,241     15,801,112      5,055,129
WFC      WELLS FARGO & CO          47,129,732     42,304,767      4,824,965
DNR      DENBURY RESOURCE          15,264,969     10,555,647      4,709,322
MMI      MOTOROLA MOBILIT          10,986,582      6,319,242      4,667,340
MS       MORGAN STANLEY            24,655,556     20,079,749      4,575,807
UNG      US NAT GAS FD LP          22,434,980     17,932,092      4,502,888
KBE      SPDR S&P BANK ET           8,111,507      3,632,199      4,479,308
XLV      SPDR-HEALTH CARE          29,303,824     24,829,817      4,474,007
IYR      ISHARES-DJ REAL           34,080,200     29,622,842      4,457,358
MRK      MERCK & CO                31,795,112     27,345,870      4,449,242
DOW      DOW CHEMICAL CO           26,158,117     21,714,981      4,443,136
EWZ      ISHARES-BRAZIL            28,623,755     24,220,882      4,402,873
ALU      ALCATEL-LUCE-ADR          22,543,237     18,239,868      4,303,369
JNJ      JOHNSON&JOHNSON           43,322,386     39,052,142      4,270,244
XRX      XEROX CORP                16,148,598     12,106,110      4,042,488
GLD      SPDR GOLD TRUST           19,600,456     15,575,243      4,025,213
HTZ      HERTZ GLOBAL HOL          31,629,008     27,723,736      3,905,272
PHH      PHH CORP                   9,760,593      6,030,153      3,730,440
EWT      ISHARES-TAIWAN            11,311,864      7,595,697      3,716,167
XRT      SPDR S&P RETAIL           55,321,578     51,645,632      3,675,946
AES      AES CORP                  11,371,036      7,704,774      3,666,262
GLW      CORNING INC               21,747,926     18,144,584      3,603,342
WMB      WILLIAMS COS INC          20,803,029     17,209,047      3,593,982
UUP      POWERSHARES DB U          13,041,193      9,593,961      3,447,232
XLF      SPDR-FINL SELECT         181,616,845    178,189,936      3,426,909
SVU      SUPERVALU INC             60,372,639     56,959,714      3,412,925
TLT      ISHARES BARCLAYS          14,751,846     11,371,245      3,380,601
IPG      INTERPUBLIC GRP           13,113,662      9,791,276      3,322,386
RGC      REGAL ENTERTAI-A          21,720,988     18,415,403      3,305,585

TOP 50 DECREASES


Ticker                                                                   
Symbol   Company                    Jan. 13        Dec. 30         Change    
=============================================================================
VWO      VANGUARD MSCI EM           5,714,104     13,660,285     -7,946,181
GEN      GENON ENERGY INC          25,097,334     31,092,142     -5,994,808
XLI      SPDR-INDU SELECT          32,253,390     36,917,496     -4,664,106
VZ       VERIZON COMMUNIC          41,710,906     45,079,260     -3,368,354
GGP      GENERAL GROWTH P          13,654,729     16,819,706     -3,164,977
CIM      CHIMERA INV CORP          20,332,455     23,270,070     -2,937,615
VALE     VALE SA-SP ADR            25,623,029     28,444,479     -2,821,450
TZA      DIR SMCAP BEAR3X           4,563,640      7,359,826     -2,796,186
ARR      ARMOUR RESIDENTI           6,496,587      9,112,254     -2,615,667
FNB      FNB CORP                  12,918,391     15,529,185     -2,610,794
POT      POTASH CORP SAS            5,058,793      7,547,850     -2,489,057
MO       ALTRIA GROUP INC          17,308,444     19,437,315     -2,128,871
HL       HECLA MINING CO           19,958,016     22,080,156     -2,122,140
PGR      PROGRESSIVE CORP           5,957,145      7,989,895     -2,032,750
HYG      ISH-IBOXX H/Y CO           3,319,968      5,327,669     -2,007,701
FAZ      DIR FIN BEAR 3X            5,493,894      7,460,250     -1,966,356
DJP      IPATH DJ UBS CMD             740,472      2,508,082     -1,767,610
HUN      HUNTSMAN CORP              4,283,115      6,016,975     -1,733,860
KOG      KODIAK OIL & GAS          28,689,174     30,306,512     -1,617,338
IGT      INTL GAME TECH             4,205,116      5,745,800     -1,540,684
MRX      MEDICIS PHARM-A            4,559,971      6,099,185     -1,539,214
NEE      NEXTERA ENERGY             9,698,982     11,222,914     -1,523,932
JEF      JEFFERIES GROUP           20,976,103     22,490,096     -1,513,993
ABV      AMBEV-PRF ADR              6,787,476      8,297,907     -1,510,431
UNH      UNITEDHEALTH GRP          11,228,924     12,708,207     -1,479,283
MGM      MGM RESORTS INTE          38,689,226     40,166,192     -1,476,966
ABT      ABBOTT LABS               17,456,041     18,930,663     -1,474,622
DBD      DIEBOLD INC                1,741,705      3,162,465     -1,420,760
IAU      ISHARES GOLD TRU           2,063,234      3,474,688     -1,411,454
VTR      VENTAS INC                 9,113,418     10,511,262     -1,397,844
HCP      HCP INC                   18,437,621     19,827,408     -1,389,787
BTU      PEABODY ENERGY             9,762,926     11,145,566     -1,382,640
LLL      L-3 COMM HLDGS             3,193,744      4,575,781     -1,382,037
VLY      VALLEY NATL BANC          19,633,861     20,992,244     -1,358,383
GOL      GOL-ADR                    6,060,010      7,415,118     -1,355,108
FTI      FMC TECHNOLOGIES          13,217,466     14,568,151     -1,350,685
BA       BOEING CO/THE             12,862,108     14,206,455     -1,344,347
OSK      OSHKOSH CORP               2,442,916      3,783,511     -1,340,595
HRB      H&R BLOCK INC             15,267,566     16,577,262     -1,309,696
DIA      SPDR DJIA TRUST           12,426,886     13,678,364     -1,251,478
MFC      MANULIFE FIN               4,419,187      5,666,558     -1,247,371
AXP      AMERICAN EXPRESS           7,297,899      8,517,558     -1,219,659
RF       REGIONS FINANCIA          20,427,124     21,631,143     -1,204,019
LEN      LENNAR CORP-A             31,822,613     33,019,484     -1,196,871
MR       MINDRAY MEDI-ADR          13,404,127     14,588,975     -1,184,848
GCI      GANNETT CO                18,990,585     20,125,506     -1,134,921
MLPN     CREDIT SUISSE CU           1,577,784      2,708,466     -1,130,682
DD       DU PONT (EI)              12,221,733     13,335,538     -1,113,805
BMY      BRISTOL-MYER SQB          29,729,052     30,786,571     -1,057,519
ED       CONS EDISON INC           10,350,571     11,343,811       -993,240

*-- Data includes ETF positions.

-- Bloomberg News

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