Largest NYSE Short Interest Ratios as of March 15

The following are the 200 largest short interest ratios on the New York Stock Exchange as of the March 15 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                             Avg. Daily    Days To   
Symbol   Company                        March 15     Volume       Cover   
=============================================================================
BCA      CORPBANCA SA-ADR            16,078,405      31,999       502.5
BCH      BANCO CHILE-ADR              2,862,041       6,058       472.4
RYH      GUGGENHEIM S&P 5               546,129       6,345        86.1
PRIS     PRISA A-ADR                  1,598,481      23,914        66.8
VET      VERMILION ENERGY               510,194       7,733        66.0
MILL     MILLER ENERGY RE            10,332,071     167,333        61.7
ETM      ENTERCOM COMM-A              2,937,913      53,361        55.1
AM       AMER GREETINGS-A            10,486,798     227,707        46.1
PBS      POWERSH-MEDIA PT             2,096,341      46,028        45.5
KBWR     POWERSHARES KBW                397,804       9,641        41.3
RKH      MARKET VECTORS B               210,376       5,383        39.1
SNX      SYNNEX CORP                  4,182,157     107,305        39.0
CBZ      CBIZ INC                     5,692,563     147,469        38.6
AGI      ALAMOS GOLD INC              1,085,018      29,263        37.1
NPK      NATL PRESTO INDS               641,793      17,783        36.1
PPO      POLYPORE INTERNA            15,635,063     434,183        36.0
NEU      NEWMARKET CORP               1,273,498      37,876        33.6
MEG      MEDIA GENERAL-A              4,108,857     125,210        32.8
RGS      REGIS CORP                  10,192,440     311,106        32.8
TR       TOOTSIE ROLL IND             3,076,643      95,647        32.2
HBM      HUDBAY MINERALS                666,400      21,372        31.2
CM       CAN IMPL BK COMM             5,947,670     190,908        31.2
OMI      OWENS & MINOR                8,696,228     286,743        30.3
CHH      CHOICE HOTELS                3,206,640     105,941        30.3
MKL      MARKEL CORP                    828,266      27,592        30.0
CHT      CHUNGHWA TEL-ADR             5,638,361     188,788        29.9
MD       MEDNAX INC                   6,244,829     211,844        29.5
MNI      MCCLATCHY CO-A              11,322,438     384,366        29.5
RCI      ROGERS COMMUNI-B             9,131,552     311,362        29.3
ONE      HIGHER ONE HOLD             10,268,040     351,131        29.2
ACH      ALUMINUM COR-ADR             3,353,350     114,981        29.2
LRN      K12 INC                      9,526,465     331,374        28.7
GIB      CGI GROUP INC-A              4,264,736     152,340        28.0
HGG      HHGREGG INC                  6,174,505     223,636        27.6
RBA      RITCHIE BROS                17,483,623     634,534        27.6
SAM      BOSTON BEER-A                1,720,595      63,109        27.3
ORA      ORMAT TECHNOLOGI             1,882,489      69,420        27.1
USNA     USANA HEALTH SCI             3,776,273     140,077        27.0
GWAY     GREENWAY MEDICAL             2,403,802      89,845        26.8
RGC      REGAL ENTERTAI-A            22,524,898     855,601        26.3
MMR      MCMORAN EXPLORAT            20,490,157     778,822        26.3
JOE      ST JOE CO                   15,050,853     577,530        26.1
TAC      TRANSALTA CORP               3,065,090     120,167        25.5
ADS      ALLIANCE DATA               10,590,056     423,435        25.0
RY       ROYAL BANK OF CA            14,550,464     586,838        24.8
QUAD     QUAD GRAPHICS IN             6,530,327     264,869        24.7
ACO      AMCOL INTL CORP              2,120,817      86,568        24.5
TRI      THOMSON REUTERS             29,948,571   1,230,091        24.3
AEL      AMER EQUITY INVT            11,677,412     482,872        24.2
IMAX     IMAX CORP                   14,451,874     598,412        24.2
DEXO     DEX ONE CORP                 9,740,062     404,945        24.1
RFP      RESOLUTE FOREST              8,584,009     359,942        23.8
VCI      VALASSIS COMM                9,740,650     408,821        23.8
WMK      WEIS MARKETS INC               480,504      20,274        23.7
BGG      BRIGGS & STRATTN             7,828,843     331,471        23.6
CVO      CENVEO INC                  10,232,603     436,678        23.4
GY       GENCORP INC                 11,487,026     510,807        22.5
BKE      THE BUCKLE INC               7,008,909     312,752        22.4
NGVC     NATURAL GROCERS              1,698,563      76,253        22.3
GFF      GRIFFON CORP                 2,238,726     105,600        21.2
BORN     CHINA NEW BO-ADR               731,365      34,809        21.0
EXAM     EXAMWORKS GROUP              4,058,013     196,519        20.6
SFG      STANCORP FINL                3,442,350     167,814        20.5
WWE      WORLD WRESTLIN-A             2,752,901     136,819        20.1
TRR      TRC COS INC                    267,583      13,324        20.1
RLD      REALD INC                    8,416,141     422,607        19.9
FCF      FIRST COMMON FIN             6,383,981     320,806        19.9
OFG      ORIENTAL FINL                4,932,016     249,840        19.7
BPZ      BPZ RESOURCES IN            16,157,376     847,016        19.1
CFR      CULLEN/FROST                 5,992,850     314,310        19.1
VLY      VALLEY NATL BANC            20,626,190   1,087,272        19.0
GME      GAMESTOP CORP-A             42,149,330   2,230,502        18.9
CVA      COVANTA HOLDING              9,175,551     492,126        18.6
BBX      BBX CAPITAL CORP               334,906      18,021        18.6
HDY      HYPERDYNAMICS CP            14,550,256     786,215        18.5
GSH      GUANGSHEN RA-ADR             1,103,435      59,744        18.5
CAE      CAE INC                        280,979      15,234        18.4
CGA      CHINA GREEN AGRI             1,162,224      63,153        18.4
ICE      INTERCONTINENTAL            11,799,745     644,679        18.3
ALV      AUTOLIV INC                  7,344,896     401,417        18.3
DLB      DOLBY LABORATO-A             5,398,373     297,202        18.2
STRI     STR HOLDINGS INC             2,141,797     118,398        18.1
IWC      ISHARES-RUSS M/C               643,266      36,281        17.7
CHE      CHEMED CORP                  2,245,589     126,930        17.7
PB       PROSPERITY BNCSH             5,200,845     294,113        17.7
CBU      COMMUNITY BANK S             3,308,430     187,495        17.6
LPL      LG DISPLAY-ADR               9,608,713     554,592        17.3
RMD      RESMED INC                  19,209,796   1,108,818        17.3
SFE      SAFEGUARD SCIENT             1,075,675      62,153        17.3
ACCO     ACCO BRANDS CORP            14,050,727     837,688        16.8
SN       SANCHEZ ENERGY C             4,109,448     247,626        16.6
ENV      ENVESTNET INC                  626,235      37,892        16.5
PLOW     DOUGLAS DYNAMICS               956,579      57,924        16.5
ATU      ACTUANT CORP-A               5,727,341     347,555        16.5
UVV      UNIVERSAL CORP               3,289,485     200,087        16.4
MWW      MONSTER WORLDWID            25,800,146   1,572,117        16.4
KRE      SPDR S&P REG BAN            29,379,546   1,793,908        16.4
RES      RPC INC                     11,376,266     695,621        16.4
CIA      CITIZENS INC                 1,195,100      74,023        16.1
MANU     MANCHESTER UNI-A             2,271,798     140,915        16.1
RSE      ROUSE PROPER                 5,001,684     310,620        16.1
ESI      ITT EDUCATIONAL              9,077,812     564,716        16.1
CRD/B    CRAWFORD & CO-B                780,486      49,008        15.9
DYN/WS   DYNEGY INC-CW17                948,295      59,550        15.9
LXK      LEXMARK INTL-A              12,103,122     760,692        15.9
DHX      DICE HOLDINGS IN             5,273,596     332,932        15.8
HVB      HUDSON VALL HLDG               378,712      23,915        15.8
PBI      PITNEY BOWES INC            59,570,279   3,764,148        15.8
AOI      ALLIANCE ONE INT             4,557,562     288,329        15.8
XPO      XPO LOGISTICS IN             3,416,432     216,484        15.8
PBY      PEP BOYS MM&J                5,350,922     339,664        15.8
BOH      BANK OF HAWAII               3,939,024     251,036        15.7
PAM      PAMPA-SPON ADR                 291,288      18,568        15.7
FIO      FUSION-IO INC               29,763,029   1,898,741        15.7
CCSC     COUNTRY-SPON ADR               434,166      27,823        15.6
CRR      CARBO CERAMICS               5,854,894     381,557        15.3
MTB      M&T BANK CORP               10,232,436     671,201        15.2
FDS      FACTSET RESEARCH             4,590,430     302,176        15.2
TY       TRI-CONTL CORP                 972,630      64,066        15.2
DNB      DUN & BRADSTREET             8,002,706     529,160        15.1
DLR      DIGITAL REALTY              17,810,557   1,191,764        14.9
EC       ECOPETROL-SP ADR             8,009,569     540,175        14.8
DVR      CAL DIVE INTERNA            21,359,383   1,441,854        14.8
SKS      SAKS INC                    23,714,280   1,612,262        14.7
LFL      LATAM AIRLIN-ADR             4,692,021     323,118        14.5
SVU      SUPERVALU INC               73,447,340   5,127,245        14.3
HNI      HNI CORP                     2,115,118     148,475        14.2
GBX      GREENBRIER COS               3,637,570     255,471        14.2
TC       THOMPSON CREEK M            26,088,015   1,839,231        14.2
TRQ      TURQUOISE HILL R            26,212,831   1,866,269        14.0
OIBR     OI SA-ADR                   37,856,720   2,722,566        13.9
CCC      CALGON CARBON                5,688,616     413,634        13.8
LEE      LEE ENTERPRISES              2,453,549     180,007        13.6
BSAC     BANCO SANTAN-ADR             3,638,128     267,092        13.6
RH       RESTORATION HARD             1,362,207     100,015        13.6
PBNY     PROVIDENT NEW YO               719,358      52,903        13.6
RSH      RADIOSHACK CORP             35,336,103   2,611,106        13.5
INFY     INFOSYS LTD-ADR             23,228,659   1,717,403        13.5
EV       EATON VANCE CORP             9,597,919     710,012        13.5
APU      AMERIGAS PARTNER             1,403,111     103,812        13.5
UIS      UNISYS CORP                  5,899,235     437,058        13.5
ETH      ETHAN ALLEN                  4,853,556     360,426        13.5
CEE      CENTRAL EU & RUS               274,914      20,422        13.5
IRF      INTL RECTIFIER               5,329,127     397,964        13.4
INT      WORLD FUEL SVCS              4,692,087     351,627        13.3
PNX      PHOENIX COS                    428,216      32,139        13.3
NJR      NEW JERSEY RES               2,627,996     197,331        13.3
IOC      INTEROIL CORP               14,049,458   1,059,265        13.3
MLR      MILLER INDS/TENN               456,627      34,485        13.2
EPR      EPR PROPERTIES               3,527,379     266,464        13.2
CFX      COLFAX CORP                  7,072,026     534,647        13.2
ENI      ENERSIS SA-ADR              12,440,764     943,863        13.2
WWW      WOLVERINE WORLD              5,839,784     445,611        13.1
OPK      OPKO HEALTH                 27,356,285   2,087,643        13.1
DMD      DEMAND MEDIA INC             5,376,257     412,326        13.0
IHI      ISHARES-DJ MED D               413,054      31,699        13.0
UMC      UNITED MICRO-ADR            22,305,940   1,715,556        13.0
NAT      NORDIC AMERICAN              6,692,168     515,406        13.0
KEX      KIRBY CORP                   4,453,588     345,509        12.9
IVC      INVACARE CORP                1,680,696     130,570        12.9
PHH      PHH CORP                    14,790,750   1,151,938        12.8
USM      US CELLULAR CORP             1,115,405      87,134        12.8
MLPN     CREDIT SUISSE CU             1,347,575     105,312        12.8
PCL      PLUM CREEK TIMBR             9,159,842     716,132        12.8
NPO      ENPRO INDUSTRIES             1,444,525     113,246        12.8
WCN      WASTE CONNECTION             7,302,996     572,624        12.8
PMC      PHARMERICA CORP              2,816,891     221,480        12.7
CACI     CACI INTL-A                  3,767,404     296,232        12.7
UTI      UNIVERSAL TECHNI               832,187      65,575        12.7
AHT      ASHFORD HOSPITAL             5,046,278     397,883        12.7
FII      FEDERATED INV-B             15,658,994   1,241,859        12.6
OMC      OMNICOM GROUP               17,421,742   1,389,928        12.5
FSL      FREESCALE SEMICO            20,625,006   1,645,947        12.5
CAS      CASTLE (AM)                  4,537,990     362,850        12.5
BAK      BRASKEM SA-ADR               3,268,331     262,462        12.5
ELY      CALLAWAY GOLF CO             7,326,363     588,405        12.5
HNR      HARVEST NATURAL              5,048,115     406,584        12.4
GNK      GENCO SHIPPING &             9,377,425     756,017        12.4
GHL      GREENHILL & CO               3,172,031     255,909        12.4
STC      STEWART INFO SVC             3,538,157     286,147        12.4
GTY      GETTY REALTY                 2,016,550     163,142        12.4
WPO      WASHINGTON POS-B               478,868      38,845        12.3
CGX      CONS GRAPHICS                  678,816      55,082        12.3
WCC      WESCO INTL                   7,025,586     572,364        12.3
XBI      SPDR S&P BIOTECH             3,854,599     314,186        12.3
LG       LACLEDE GROUP                1,582,215     129,436        12.2
WAL      WESTERN ALLIANCE             4,582,604     375,309        12.2
BDC      BELDEN INC                   2,630,719     218,052        12.1
CYN      CITY NATL CORP               4,769,358     395,457        12.1
ARX      AEROFLEX HOLDING               875,192      72,587        12.1
AF       ASTORIA FINL                 8,175,236     685,638        11.9
TNK      TEEKAY TANK-CL A             6,401,015     536,860        11.9
PNY      PIEDMONT NAT GAS             3,576,474     301,959        11.8
MTZ      MASTEC INC                  12,085,719   1,023,984        11.8
DFT      DUPONT FABROS TE             9,850,651     837,232        11.8
LH       LABORATORY CP                7,199,866     613,421        11.7
PPH      MARKET VECTORS P               490,883      42,050        11.7
THI      TIM HORTONS INC              1,772,415     152,195        11.6
RHP      RYMAN HOSPITALIT             9,753,102     840,634        11.6
RATE     BANKRATE INC                 5,145,742     444,437        11.6

*-- Data includes ETF positions.

-- Bloomberg News

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