Largest Nasdaq Short Interest Percent Increases as of Nov. 30
By Bloomberg News -
2012-12-12T16:26:31Z
The following are the 200 largest short interest percent increases on the Nasdaq Stock Market 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 ============================================================================= PACT PACTERA TECH 4,361,319 383,940 1035.9 BMC BMC SOFTWARE INC 15,477,362 2,226,626 595.1 CYTK CYTOKINETICS INC 2,012,167 579,254 247.4 THOR THORATEC CORP 3,841,027 1,133,405 238.9 ACWI ISHARES MSCI ACW 896,378 393,846 127.6 EFII ELEC FOR IMAGING 2,477,610 1,096,075 126.0 CPRT COPART INC 2,157,051 1,026,164 110.2 GLCH GLEACHER & CO IN 901,968 439,267 105.3 ASML ASML HOLDING-NY 21,971,492 10,870,814 102.1 CMCSK COMCAST CORP-SPL 13,794,727 7,003,349 97.0 ECPG ENCORE CAPITAL G 2,071,782 1,088,117 90.4 CYCC CYCLACEL PHARMAC 756,091 400,318 88.9 NVTL NOVATEL WIRELESS 909,798 514,037 77.0 BANR BANNER CORPORATI 1,173,298 686,285 71.0 DISCK DISCOVERY COMM-C 566,926 341,247 66.1 LBTYK LIBERTY GLOBAL-C 931,068 564,720 64.9 NVDA NVIDIA CORP 22,599,925 13,733,949 64.6 IMOS CHIPMOS TECH 662,233 412,290 60.6 NXST NEXSTAR BROADC-A 511,571 323,820 58.0 GNMK GENMARK DIAGNOST 853,560 542,376 57.4 INSM INSMED INC 1,408,901 933,159 51.0 SUPN SUPERNUS PHARMAC 887,297 595,690 49.0 PACW PACWEST BANCORP 2,289,534 1,563,153 46.5 SOXX ISHARES PHLX SOX 714,660 494,917 44.4 ATVI ACTIVISION BLIZZ 20,431,464 14,192,151 44.0 NVDQ NOVADAQ TECHNOLO 1,103,499 767,836 43.7 ACAD ACADIA PHARMACEU 3,491,371 2,436,406 43.3 BKMU BANK MUTUAL CORP 1,389,005 969,758 43.2 GSVC GSV CAPITAL CORP 1,509,458 1,075,405 40.4 ALGN ALIGN TECHNOLOGY 8,901,477 6,352,025 40.1 MFLX MULTI-FINELINE E 281,935 202,218 39.4 ROST ROSS STORES INC 4,487,960 3,276,915 37.0 RGEN REPLIGEN CORP 2,123,088 1,553,605 36.7 CCRN CROSS COUNTRY HE 798,985 585,574 36.4 FFIV F5 NETWORKS 4,155,302 3,065,928 35.5 ANAC ANACOR PHARMACEU 675,423 498,970 35.4 DLTR DOLLAR TREE INC 6,012,890 4,471,090 34.5 BLKB BLACKBAUD INC 2,896,687 2,154,828 34.4 OSIS OSI SYSTEMS INC 671,465 500,138 34.3 IPHS INNOPHOS HOLDING 691,251 515,661 34.1 ANAD ANADIGICS INC 2,697,562 2,013,185 34.0 ASNA ASCENA RETAIL GR 6,208,197 4,644,486 33.7 PSMI PEREGRINE SEMICO 334,196 250,734 33.3 LAYN LAYNE CHRISTENSN 1,231,604 925,015 33.1 CELG CELGENE CORP 6,128,151 4,608,482 33.0 HTWR HEARTWARE INTERN 2,078,401 1,568,648 32.5 BEAV B/E AEROSPACE IN 1,909,781 1,447,550 31.9 RLOC REACHLOCAL INC 1,277,927 969,686 31.8 UTSI UTSTARCOM HOLDIN 574,711 436,210 31.8 TSRA TESSERA TECHNOL 1,888,406 1,433,414 31.7 HERO HERCULES OFFSHOR 14,468,207 11,068,309 30.7 LMCA LIBERTY MEDIA -A 857,654 661,797 29.6 HUBG HUB GROUP-A 1,279,122 988,202 29.4 SNPS SYNOPSYS INC 1,304,164 1,009,739 29.2 PLFE PRESIDENTIAL LIF 885,087 685,497 29.1 ECTE ECHO THERAPEUTIC 643,150 500,062 28.6 SLGN SILGAN HOLDINGS 437,891 341,654 28.2 SUBK SUFFOLK BANCORP 329,229 256,883 28.2 CHKP CHECK POINT SOFT 4,636,714 3,619,148 28.1 BRCD BROCADE COMM SYS 19,756,864 15,454,156 27.8 HSIC HENRY SCHEIN INC 3,303,690 2,584,432 27.8 BIOS BIOSCRIP INC 1,403,736 1,107,389 26.8 NYMT NEW YORK MTGE 3,515,048 2,774,283 26.7 DELL DELL INC 72,960,454 57,644,332 26.6 TECUA TECUMSEH PROD-A 450,862 358,726 25.7 SGYP SYNERGY PHARMACE 3,160,627 2,529,310 25.0 MLNK MODUSLINK GLOBAL 1,118,187 896,773 24.7 ARCT AMERICAN REALTY 5,208,009 4,194,364 24.2 WEN WENDY'S CO/THE 14,615,956 11,778,589 24.1 STX SEAGATE TECHNOLO 45,190,450 36,460,766 23.9 APOG APOGEE ENTERPR 765,223 617,806 23.9 DFRG DEL FRISCO'S RES 385,668 311,636 23.8 CACC CREDIT ACCEPTANC 269,961 218,360 23.6 GLPW GLOBAL POWER EQU 701,895 568,707 23.4 CYTR CYTRX CORP 658,559 534,572 23.2 BBEP BREITBURN ENERGY 1,021,174 829,760 23.1 SUMR SUMMER INFANT IN 246,080 200,018 23.0 TTS TILE SHOP HLDGS 1,681,653 1,369,461 22.8 FARM FARMER BROS CO 318,010 259,115 22.7 MCRS MICROS SYSTEMS 5,784,590 4,719,467 22.6 SATS ECHOSTAR CORP-A 403,351 329,151 22.5 CASS CASS INFORMATION 528,199 432,328 22.2 ACIW ACI WORLDWIDE IN 1,955,345 1,609,911 21.5 ZNGA ZYNGA INC- CL A 13,228,390 10,897,471 21.4 PACB PACIFIC BIOSCIEN 2,175,318 1,793,998 21.3 GCOM GLOBECOMM SYS 1,848,407 1,524,554 21.2 ACET ACETO CORP 628,351 518,755 21.1 GK G & K SERVICES-A 325,653 269,313 20.9 FBNC FIRST BANCORP/NC 371,579 307,304 20.9 CMVT COMVERSE TECH 8,148,588 6,743,793 20.8 TCRD THL CREDIT INC 532,983 441,418 20.7 BIRT ACTUATE CORP 1,692,148 1,402,798 20.6 CCXI CHEMOCENTRYX INC 537,083 445,769 20.5 EA ELECTRONIC ARTS 23,168,758 19,229,736 20.5 MCGC MCG CAPITAL CORP 2,086,684 1,732,533 20.4 STRL STERLING CONSTRU 437,349 363,215 20.4 GEVA SYNAGEVA BIOPHAR 1,040,485 865,077 20.3 NDAQ NASDAQ OMX GROUP 4,914,827 4,086,471 20.3 LHCG LHC GROUP INC 586,533 488,610 20.0 SUNS SOLAR SENIOR CAP 269,596 224,888 19.9 ATHX ATHERSYS INC 261,182 217,945 19.8 MKTG RESPONSYS INC 2,018,332 1,684,720 19.8 FIZZ NATL BEVERAGE 524,945 438,840 19.6 OCFC OCEANFIRST FINL 343,353 287,389 19.5 MAPP MAP PHARMACEUTIC 5,918,986 4,954,542 19.5 FCBC FIRST COMMUNI BC 417,600 349,912 19.3 BBOX BLACK BOX CORP 550,108 461,662 19.2 TBNK TERRITORIAL BANC 271,533 227,941 19.1 AMSF AMERISAFE INC 362,412 304,240 19.1 LVNTA LIBERTY VENTUR-A 389,652 327,157 19.1 DEST DESTINATION MATE 381,159 320,472 18.9 LINC LINCOLN EDUCATIO 1,238,788 1,042,142 18.9 CWTR COLDWATER CREEK 2,553,934 2,148,670 18.9 ROCK GIBRALTAR INDUST 689,621 580,472 18.8 AMWD AMER WOODMARK CO 421,443 354,772 18.8 EPIQ EPIQ SYSTEMS INC 680,210 574,090 18.5 NATR NATURE'S SUNSHNE 579,476 489,292 18.4 POWL POWELL INDS INC 249,340 210,805 18.3 HWAY HEALTHWAYS INC 2,336,287 1,976,837 18.2 ARQL ARQULE INC 3,251,247 2,751,266 18.2 TSRO TESARO INC 636,277 538,566 18.1 NBTB NBT BANCORP INC 1,798,252 1,522,526 18.1 EOPN E2OPEN INC 805,854 682,319 18.1 ENTG ENTEGRIS INC 4,063,005 3,441,412 18.1 ATRO ASTRONICS CORP 347,884 294,740 18.0 BCPC BALCHEM CORP 784,854 665,026 18.0 MRCY MERCURY SYSTEMS 1,456,649 1,234,986 17.9 MANH MANHATTAN ASSOC 1,245,545 1,056,449 17.9 NANO NANOMETRICS INC 822,391 698,987 17.7 MNST MONSTER BEVERAGE 4,839,656 4,115,343 17.6 ALTE ALTERRA CAPITAL 2,590,228 2,202,834 17.6 CASY CASEY'S GENERAL 2,104,162 1,789,886 17.6 EBAY EBAY INC 15,014,004 12,775,501 17.5 ECTY ECOTALITY INC 248,163 211,205 17.5 TFSL TFS FINANCIAL CO 2,161,118 1,839,630 17.5 FBNK FIRST CONNECTICU 491,028 418,420 17.4 WFD WESTFIELD FIN 657,559 560,328 17.4 WCRX WARNER CHILCOT-A 4,295,624 3,661,913 17.3 HOME HOME FEDERAL BAN 359,789 306,746 17.3 AINV APOLLO INV CORP 6,494,063 5,537,876 17.3 IMMR IMMERSION CORP 1,272,982 1,085,629 17.3 TRMB TRIMBLE NAVIG 3,088,969 2,635,399 17.2 WRES WARREN RESOURCES 1,707,913 1,457,226 17.2 ASPS ALTISOURCE PORT 315,591 269,644 17.0 BEBE BEBE STORES INC 1,751,907 1,497,779 17.0 SHLD SEARS HOLDINGS 9,235,064 7,899,358 16.9 PFPT PROOFPOINT INC 566,183 484,813 16.8 ABCO ADVISORY BOARD 1,644,216 1,407,995 16.8 SGMS SCIENTIFIC GAM-A 2,750,219 2,357,125 16.7 IRET INVESTORS REAL 2,644,954 2,271,441 16.4 MIDD MIDDLEBY CORP 852,339 732,036 16.4 THFF FIRST FIN COR/IN 264,498 227,329 16.4 CHEF CHEFS WAREHOUSE 982,583 844,777 16.3 DRTX DURATA THERAPEUT 266,442 229,135 16.3 XTEX CROSSTEX ENERGY 507,287 436,379 16.2 ALIM ALIMERA SCIENCES 546,046 470,064 16.2 CFNL CARDINAL FINL CP 722,745 622,678 16.1 SQQQ PROSHARES UL SHO 490,411 422,518 16.1 VTUS VENTRUS BIOSCIEN 1,145,699 987,184 16.1 XRTX XYRATEX LTD 1,282,692 1,106,401 15.9 SYNC SYNACOR INC 1,772,458 1,529,974 15.8 SAFT SAFETY INSURANCE 259,784 224,244 15.8 CEDC CENTRAL EURO DIS 8,317,523 7,187,339 15.7 SHLM SCHULMAN (A) 962,802 832,453 15.7 PICO PICO HOLDINGS 790,083 683,232 15.6 PSEM PERICOM SEMICOND 442,533 382,730 15.6 JJSF J & J SNACK FOOD 277,650 240,208 15.6 AZPN ASPEN TECHNOLOGY 2,708,557 2,344,122 15.5 SRCE 1ST SOURCE CORP 335,748 290,655 15.5 IPCC INFINITY PROPERT 318,642 275,876 15.5 EGBN EAGLE BANCRP INC 432,525 374,559 15.5 CRMT AMERICA'S CAR-MA 354,496 307,814 15.2 STEL STELLARONE CORP 509,719 442,720 15.1 VXUS VANGUARD TOTAL I 394,008 342,241 15.1 FMCN FOCUS MEDIA-ADR 12,505,661 10,865,467 15.1 CBEY CBEYOND INC 1,064,364 925,262 15.0 FARO FARO TECH 967,614 841,162 15.0 SQI SCIQUEST INC 547,721 476,186 15.0 EXPO EXPONENT INC 299,985 261,114 14.9 NPBC NATL PENN BCSHS 7,109,477 6,192,173 14.8 TTWO TAKE-TWO INTERAC 20,917,413 18,218,579 14.8 CY CYPRESS SEMICON 7,133,263 6,213,370 14.8 AVNW AVIAT NETWORKS I 1,697,690 1,478,951 14.8 STRA STRAYER EDUCATIO 2,212,133 1,927,446 14.8 PHIIK PHI INC-NV 317,653 276,787 14.8 PRSC PROVIDENCE SERVI 278,587 243,023 14.6 ACHC ACADIA HEALTHCAR 2,076,162 1,811,279 14.6 PCO PENDRELL CORP 5,475,623 4,779,351 14.6 UVSP UNIVEST CORP/PA 392,049 342,391 14.5 SIRI SIRIUS XM RADIO 339,089,166 296,274,375 14.5 EXAS EXACT SCIENCES 6,650,093 5,812,775 14.4 CTCM CTC MEDIA INC 993,021 867,992 14.4 MDRX ALLSCRIPTS HEALT 4,325,696 3,781,092 14.4 SUPX SUPERTEX INC 254,740 222,697 14.4 SZYM SOLAZYME INC 6,901,786 6,042,511 14.2 ESIO ELECTRO SCI INDS 589,411 516,059 14.2 MSFG MAINSOURCE FINAN 422,684 370,138 14.2 AAWW ATLAS AIR WORLDW 1,226,181 1,074,321 14.1 PDCE PDC ENERGY INC 6,590,114 5,778,900 14.0 ANTH ANTHERA PHARMACE 9,155,786 8,029,517 14.0
*-- Data includes ETF positions.
-- Bloomberg News
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