Largest NYSE Short Interest Percent Decreases as of Jan. 13

The following are the 200 largest short interest percent decreases on the New York Stock Exchange 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   
=============================================================================
DJP      IPATH DJ UBS CMD               740,472     2,508,082       -70.5
VWO      VANGUARD MSCI EM             5,714,104    13,660,285       -58.2
RWR      SPDR DOW JONES R               244,510       483,334       -49.4
VTI      VANGUARD TL SK E               821,300     1,534,808       -46.5
DBD      DIEBOLD INC                  1,741,705     3,162,465       -44.9
JPM/WS   JPMORGAN CH-CW18               579,307     1,020,649       -43.2
AGG      ISHARES BARCLAYS             1,186,597     2,081,073       -43.0
CMLP     CRESTWOOD MIDSTR               318,184       552,638       -42.4
NGG      NATIONAL GRI-ADR               763,238     1,313,480       -41.9
MLPN     CREDIT SUISSE CU             1,577,784     2,708,466       -41.7
AWC      ALUMINA LTD-ADR                307,391       525,687       -41.5
RYH      RYDEX-S&P EW HEA               630,218     1,070,680       -41.1
XSD      SPDR S&P SEMICON               278,301       471,289       -40.9
UWM      PROSHARES ULTRA                296,968       502,054       -40.8
IAU      ISHARES GOLD TRU             2,063,234     3,474,688       -40.6
DZZ      PWR GOLD DBL SHR               392,500       654,498       -40.0
CSJ      ISHARES-BAR 1-3Y               368,770       605,673       -39.1
TZA      DIR SMCAP BEAR3X             4,563,640     7,359,826       -38.0
HYG      ISH-IBOXX H/Y CO             3,319,968     5,327,669       -37.7
SH       PROSHARES SHORT                309,004       490,552       -37.0
BXC      BLUELINX HOLDING               227,840       353,428       -35.5
OSK      OSHKOSH CORP                 2,442,916     3,783,511       -35.4
SCO      PRSH-U/S CRU OIL               216,542       330,102       -34.4
GAB      GABELLI EQUITY                 236,142       357,555       -34.0
POT      POTASH CORP SAS              5,058,793     7,547,850       -33.0
THI      TIM HORTONS INC                375,371       557,873       -32.7
VT       VANGUARD-TOT WOR               205,944       303,896       -32.2
BGU      DIR LG CAP BL 3X               372,637       547,975       -32.0
HRC      HILL-ROM HOLDING               983,276     1,440,711       -31.8
LLL      L-3 COMM HLDGS               3,193,744     4,575,781       -30.2
LNT      ALLIANT ENERGY                 946,364     1,350,350       -29.9
BIL      SPDR BARCLAYS CA               372,943       530,442       -29.7
IYC      ISHARES-DJ CN SR               248,550       352,933       -29.6
KBR      KBR INC                        794,387     1,126,327       -29.5
HUN      HUNTSMAN CORP                4,283,115     6,016,975       -28.8
AXS      AXIS CAPITAL                 1,404,812     1,973,286       -28.8
ARR      ARMOUR RESIDENTI             6,496,587     9,112,254       -28.7
SHY      ISHARES 1-3 YR                 591,660       825,003       -28.3
BGZ      DIR LG CAP BR 3X               772,886     1,075,567       -28.1
RTH      MARKET VECTORS R               889,699     1,220,769       -27.1
IGT      INTL GAME TECH               4,205,116     5,745,800       -26.8
IWP      ISHARES-RUS M GR               403,519       550,955       -26.8
FAZ      DIR FIN BEAR 3X              5,493,894     7,460,250       -26.4
TNB      THOMAS & BETTS                 694,909       941,784       -26.2
IEO      ISHARES-DJ O&G                 494,165       669,634       -26.2
JRN      JOURNAL COMMUN-A             1,226,139     1,653,960       -25.9
PGR      PROGRESSIVE CORP             5,957,145     7,989,895       -25.4
MRX      MEDICIS PHARM-A              4,559,971     6,099,185       -25.2
CBT      CABOT CORP                     484,295       646,066       -25.0
GSI      GENERAL STEEL HO               765,677     1,016,412       -24.7
GLL      PRSH-ULTSH GOLD                373,755       495,069       -24.5
EDE      EMPIRE DISTRICT              1,230,924     1,616,266       -23.8
BVN      BUENAVENTURA-ADR               772,421     1,009,046       -23.5
IJH      ISHARES-SP MID               1,140,348     1,471,386       -22.5
TNA      DIR SM CAP BL 3X             2,450,034     3,147,473       -22.2
GKK      GRAMERCY CAPITAL               307,015       394,228       -22.1
MFC      MANULIFE FIN                 4,419,187     5,666,558       -22.0
IWV      ISHARES-RS 3000              1,608,839     2,055,779       -21.7
AEE      AMEREN CORP                  2,937,711     3,732,008       -21.3
KORS     MICHAEL KORS HOL               591,843       750,738       -21.2
BPL      BUCKEYE PARTNERS               355,632       449,463       -20.9
CSA      COGDELL SPENCER              1,787,136     2,255,999       -20.8
TW       TOWERS WATSON-A                523,181       658,271       -20.5
OKE      ONEOK INC                    2,004,792     2,522,216       -20.5
RSP      RYDEX-S&P EQ ETF               307,283       386,466       -20.5
KMPR     KEMPER CORP                    385,047       483,835       -20.4
DTE      DTE ENERGY CO                1,259,916     1,581,968       -20.4
NVE      NV ENERGY INC                1,748,295     2,194,714       -20.3
CKH      SEACOR HOLDINGS                348,370       435,799       -20.1
THD      ISHARES THAI                   316,916       395,682       -19.9
MPR      MET-PRO CORP                   405,244       503,292       -19.5
GEN      GENON ENERGY INC            25,097,334    31,092,142       -19.3
SKM      SK TELECOM-ADR               1,047,225     1,297,006       -19.3
VGK      VANGUARD MSCI EU             3,580,310     4,433,552       -19.2
NTT      NIPPON TELEG-ADR               835,737     1,032,609       -19.1
GGP      GENERAL GROWTH P            13,654,729    16,819,706       -18.8
EPB      EL PASO PIPELINE               677,586       832,404       -18.6
IDT      IDT CORP-CLASS B               541,743       665,068       -18.5
PPS      POST PROPERTIES              3,281,916     4,025,961       -18.5
GOL      GOL-ADR                      6,060,010     7,415,118       -18.3
PGN      PROGRESS ENERGY              1,964,182     2,401,300       -18.2
ABV      AMBEV-PRF ADR                6,787,476     8,297,907       -18.2
UNS      UNISOURCE ENERGY             1,630,062     1,982,578       -17.8
BORN     CHINA NEW BO-ADR               692,415       835,336       -17.1
JPS      NUVEEN QUALITY P               311,719       375,243       -16.9
EWQ      ISHARES-FRANCE                 495,728       596,533       -16.9
FNB      FNB CORP                    12,918,391    15,529,185       -16.8
VEA      VANGUARD MSCI EA               903,771     1,083,356       -16.6
ROG      ROGERS CORP                    826,921       988,897       -16.4
CBE      COOPER INDS                  3,424,137     4,092,847       -16.3
EGO      ELDORADO GOLD                2,711,804     3,240,295       -16.3
TGH      TEXTAINER GROUP              1,089,175     1,300,276       -16.2
RNR      RENAISSANCERE                1,749,171     2,087,637       -16.2
PNM      PNM RESOURCES                2,694,276     3,214,751       -16.2
AMP      AMERIPRISE FINAN             2,877,099     3,427,050       -16.0
DOV      DOVER CORP                   3,043,543     3,621,008       -15.9
SJM      JM SMUCKER CO                1,126,082     1,336,951       -15.8
PBT      PERMIAN BASIN                  486,106       576,531       -15.7
CYD      CHINA YUCHAI                   452,555       535,872       -15.5
TK       TEEKAY CORP                  1,513,383     1,790,533       -15.5
ERY      DIR ENERGY BR 3X             2,546,851     3,013,162       -15.5
GMT      GATX CORP                    2,501,878     2,950,039       -15.2
CIA      CITIZENS INC                 1,592,254     1,875,563       -15.1
SSO      PROSHARES ULTRA              1,409,475     1,659,135       -15.0
ELP      COPEL-ADR PR B                 291,887       343,404       -15.0
BWP      BOARDWALK PIPELI               667,322       783,271       -14.8
FLS      FLOWSERVE CORP               1,029,131     1,207,790       -14.8
VNQ      VANGUARD REIT ET             2,983,518     3,482,195       -14.3
AXP      AMERICAN EXPRESS             7,297,899     8,517,558       -14.3
MOG/A    MOOG INC-CLASS A             1,387,186     1,617,025       -14.2
MITT     AG MORTGAGE INVE               266,033       309,912       -14.2
TTC      TORO CO                        520,586       606,108       -14.1
PNG      PAA NATURAL GAS                213,094       247,959       -14.1
TDG      TRANSDIGM GROUP                641,758       746,312       -14.0
PHG      PHILIPS ELEC-NY              3,105,321     3,608,306       -13.9
FAS      DIR FIN BULL 3X              3,178,140     3,685,160       -13.8
HI       HILLENBRAND INC              1,785,380     2,069,297       -13.7
DGX      QUEST DIAGNOSTIC             5,225,926     6,056,677       -13.7
NEE      NEXTERA ENERGY               9,698,982    11,222,914       -13.6
ABM      ABM INDUSTRIES               2,632,714     3,046,285       -13.6
FXF      CRYSHS-SWISS FRA               336,586       388,656       -13.4
VTR      VENTAS INC                   9,113,418    10,511,262       -13.3
UAM      UNIVERSAL AMERIC               951,184     1,096,602       -13.3
NOR      NORANDA ALUMINUM             1,050,479     1,210,512       -13.2
NMM      NAVIOS MARITIME                427,418       492,272       -13.2
NOAH     NOAH HOLDING-ADS             2,286,538     2,633,175       -13.2
GVA      GRANITE CONSTR               3,430,981     3,950,658       -13.2
RBN      ROBBINS & MYERS              1,212,417     1,395,610       -13.1
IHS      IHS INC-CLASS A              1,019,648     1,173,668       -13.1
RAS      RAIT FINANCIAL T             5,182,748     5,963,873       -13.1
ALE      ALLETE INC                   1,072,753     1,234,209       -13.1
PXP      PLAINS EXPLORATI             5,748,823     6,609,399       -13.0
CIS      CAMELOT INFO-ADR             2,373,783     2,728,508       -13.0
ALJ      ALON USA ENERGY                884,716     1,016,200       -12.9
ARW      ARROW ELECTRONIC             1,859,886     2,135,302       -12.9
CTS      CTS CORP                     1,343,702     1,542,652       -12.9
BAH      BOOZ ALLEN HAMIL             1,314,141     1,508,682       -12.9
WEC      WISCONSIN ENERGY             5,119,261     5,872,995       -12.8
STZ      CONSTELLATION-A              2,493,993     2,859,274       -12.8
MTU      MITSUBISHI U-ADR             2,115,455     2,423,662       -12.7
KS       KAPSTONE PAPER A             1,410,944     1,615,599       -12.7
XLI      SPDR-INDU SELECT            32,253,390    36,917,496       -12.6
CIM      CHIMERA INV CORP            20,332,455    23,270,070       -12.6
HR       HEALTHCARE RLTY              2,983,929     3,413,944       -12.6
PWR      QUANTA SERVICES              3,479,337     3,979,257       -12.6
AET      AETNA INC                    4,976,430     5,688,018       -12.5
MSM      MSC INDL DIRECT                328,128       374,670       -12.4
CMG      CHIPOTLE MEXICAN             2,601,371     2,969,828       -12.4
BTU      PEABODY ENERGY               9,762,926    11,145,566       -12.4
MUSA     METALS USA HOLDI               499,658       570,003       -12.3
AG       FIRST MAJESTIC S             1,911,666     2,180,787       -12.3
SRTY     PROSHARES ULTRAP               247,309       281,853       -12.3
EBR/B    ELETROBRAS-ADR P             2,848,264     3,244,304       -12.2
FUR      WINTHROP REALTY                897,478     1,022,022       -12.2
DNI      DIVIDEND AND INC               484,624       550,282       -11.9
EWI      ISHARES-ITALY                2,332,164     2,647,471       -11.9
IHI      ISHARES-DJ MED D               288,714       327,657       -11.9
BALT     BALTIC TRADING L               850,454       964,816       -11.9
DCM      NTT DOCOMO-ADR               1,222,320     1,386,528       -11.8
MDR      MCDERMOTT INTL               3,420,591     3,879,337       -11.8
VR       VALIDUS HOLDINGS             1,907,845     2,162,892       -11.8
FMC      FMC CORP                       759,930       861,386       -11.8
CEC      CEC ENTERTAINMNT               667,043       755,062       -11.7
SOA      SOLUTIA INC                  3,154,920     3,571,022       -11.7
UNH      UNITEDHEALTH GRP            11,228,924    12,708,207       -11.6
PLT      PLANTRONICS INC              3,217,552     3,640,641       -11.6
GTS      TRIPLE-S MGMT-B                568,198       642,081       -11.5
NRG      NRG ENERGY                   4,442,011     5,017,532       -11.5
SIG      SIGNET JEWELERS              3,203,714     3,617,663       -11.4
VNO      VORNADO RLTY TST             4,467,273     5,040,844       -11.4
BFS      SAUL CENTERS INC               239,857       270,559       -11.3
GCH      GREATER CHINA FD               261,666       295,058       -11.3
UN       UNILEVER NV-NYS              2,684,552     3,027,081       -11.3
AZZ      AZZ INC                        488,914       550,655       -11.2
PSE      PIONEER SOUTHWES               203,682       229,189       -11.1
STAG     STAG INDUSTRIAL                725,622       816,243       -11.1
LYB      LYONDELLBASELL-A             4,228,321     4,755,688       -11.1
CWT      CALIF WATER SRVC             1,134,951     1,275,520       -11.0
MO       ALTRIA GROUP INC            17,308,444    19,437,315       -11.0
IL       INTRALINKS HOLDI             1,261,012     1,413,194       -10.8
DK       DELEK US HOLDING             1,023,015     1,145,571       -10.7
BTE      BAYTEX ENERGY CO               908,172     1,016,218       -10.6
SMP      STANDARD MOTOR                 763,642       854,480       -10.6
CUB      CUBIC CORP                     364,311       407,619       -10.6
ENV      ENVESTNET INC                  724,159       810,154       -10.6
MTE      MAHANAGAR-ADR                  211,690       236,827       -10.6
ATO      ATMOS ENERGY                   444,170       496,883       -10.6
GWW      WW GRAINGER INC              1,702,062     1,902,813       -10.6
DBV      POWERSH D G10 CU               286,358       319,971       -10.5
GCAP     GAIN CAPITAL HOL               342,649       382,855       -10.5
HHS      HARTE-HANKS INC              1,455,071     1,623,468       -10.4
ENH      ENDURANCE SPECIA               304,981       339,776       -10.2
THO      THOR INDUSTRIES              4,122,836     4,591,717       -10.2
WAIR     WESCO AIRCRAFT H               876,638       976,203       -10.2
FCF      FIRST COMMON FIN             4,802,903     5,345,508       -10.2
SFUN     SOUFUN HOLDI-ADR             1,902,547     2,114,825       -10.0
AON      AON CORP                     3,462,566     3,847,280       -10.0
VALE     VALE SA-SP ADR              25,623,029    28,444,479        -9.9
CNX      CONSOL ENERGY                4,791,804     5,318,459        -9.9
MRH      MONTPELIER RE                2,744,097     3,044,843        -9.9

*-- Data includes ETF positions.

-- Bloomberg News

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