Largest NYSE Short Interest Ratios as of March 28

The following are the 200 largest short interest ratios on the New York Stock Exchange as of the March 28 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                             Avg. Daily    Days To   
Symbol   Company                        March 28     Volume       Cover   
=============================================================================
BCH      BANCO CHILE-ADR             10,881,381      11,035       986.1
BCA      CORPBANCA SA-ADR             1,067,141       8,902       119.9
ONE      HIGHER ONE HOLD             10,157,476     138,449        73.4
MILL     MILLER ENERGY RE            10,251,343     144,090        71.1
AM       AMER GREETINGS-A            10,484,557     167,512        62.6
RBA      RITCHIE BROS                17,823,628     319,283        55.8
AGI      ALAMOS GOLD INC                799,785      14,928        53.6
KBWR     POWERSHARES KBW                404,253       7,612        53.1
VET      VERMILION ENERGY               325,975       6,343        51.4
MANU     MANCHESTER UNI-A             2,127,881      41,915        50.8
PPO      POLYPORE INTERNA            15,023,063     312,725        48.0
RGS      REGIS CORP                   9,984,996     210,804        47.4
QUAD     QUAD GRAPHICS IN             6,399,454     139,271        45.9
MNI      MCCLATCHY CO-A              11,539,211     269,326        42.8
MEG      MEDIA GENERAL-A              4,051,733      97,585        41.5
DYN/WS   DYNEGY INC-CW17                858,090      20,782        41.3
NPK      NATL PRESTO INDS               629,988      15,615        40.3
USNA     USANA HEALTH SCI             3,703,133      91,935        40.3
ETM      ENTERCOM COMM-A              2,906,570      73,418        39.6
CHH      CHOICE HOTELS                3,242,530      82,825        39.1
TAC      TRANSALTA CORP               3,060,996      79,413        38.5
CM       CAN IMPL BK COMM             8,062,113     212,781        37.9
NEU      NEWMARKET CORP               1,269,923      34,245        37.1
LRN      K12 INC                      9,626,210     261,601        36.8
CBZ      CBIZ INC                     5,750,918     157,315        36.6
GSH      GUANGSHEN RA-ADR             1,103,439      32,203        34.3
MKL      MARKEL CORP                    839,303      24,967        33.6
JOE      ST JOE CO                   14,731,284     443,163        33.2
TRR      TRC COS INC                    271,454       8,644        31.4
OFG      ORIENTAL FINL                4,827,733     155,086        31.1
TR       TOOTSIE ROLL IND             3,086,110     100,344        30.8
XBI      SPDR S&P BIOTECH             4,021,513     135,859        29.6
MMR      MCMORAN EXPLORAT            19,778,159     673,204        29.4
BBX      BBX CAPITAL CORP               329,035      11,258        29.2
WMK      WEIS MARKETS INC               490,545      16,976        28.9
FIO      FUSION-IO INC               28,804,075   1,016,985        28.3
IMAX     IMAX CORP                   14,206,861     512,971        27.7
BKE      THE BUCKLE INC               6,789,952     247,932        27.4
IOC      INTEROIL CORP               13,681,910     516,500        26.5
ACH      ALUMINUM COR-ADR             3,388,044     130,375        26.0
GWAY     GREENWAY MEDICAL             2,386,693      92,119        25.9
DNB      DUN & BRADSTREET             7,698,563     297,175        25.9
TC       THOMPSON CREEK M            26,589,286   1,029,872        25.8
CAS      CASTLE (AM)                  4,431,198     171,677        25.8
AVG      AVG TECHNOLOGIES             8,391,568     327,592        25.6
BORN     CHINA NEW BO-ADR               729,540      28,641        25.5
RGC      REGAL ENTERTAI-A            21,466,317     846,051        25.4
ADS      ALLIANCE DATA               10,549,012     418,105        25.2
LEE      LEE ENTERPRISES              2,467,263      97,863        25.2
VLY      VALLEY NATL BANC            20,495,582     822,412        24.9
PRIS     PRISA A-ADR                  1,671,588      67,157        24.9
SNX      SYNNEX CORP                  4,212,723     169,364        24.9
ORA      ORMAT TECHNOLOGI             1,741,410      70,125        24.8
RY       ROYAL BANK OF CA            14,244,912     575,500        24.8
CSH      CASH AMER INTL               4,047,536     163,802        24.7
GTY      GETTY REALTY                 1,988,809      80,612        24.7
ARCO     ARCOS DORADOS-A             17,165,804     699,788        24.5
RLD      REALD INC                    7,724,499     315,488        24.5
NGVC     NATURAL GROCERS              1,829,995      76,019        24.1
AOI      ALLIANCE ONE INT             4,553,316     189,993        24.0
CVO      CENVEO INC                  10,731,736     448,900        23.9
OMI      OWENS & MINOR                8,578,015     360,934        23.8
CIA      CITIZENS INC                 1,234,792      52,089        23.7
XPO      XPO LOGISTICS IN             3,405,139     144,576        23.6
PB       PROSPERITY BNCSH             5,110,045     217,340        23.5
BGG      BRIGGS & STRATTN             7,616,898     324,319        23.5
TRI      THOMSON REUTERS             31,255,455   1,332,264        23.5
RKH      MARKET VECTORS B               211,961       9,156        23.1
VCI      VALASSIS COMM                9,556,886     414,070        23.1
BPZ      BPZ RESOURCES IN            16,657,821     726,485        22.9
AEL      AMER EQUITY INVT            12,718,100     560,351        22.7
MD       MEDNAX INC                   5,030,016     223,294        22.5
GMED     GLOBUS MEDICAL I             5,720,228     254,659        22.5
PBY      PEP BOYS MM&J                5,144,674     232,237        22.2
CBU      COMMUNITY BANK S             3,271,802     150,416        21.8
HVB      HUDSON VALL HLDG               389,884      17,988        21.7
BOH      BANK OF HAWAII               3,712,867     172,022        21.6
RCI      ROGERS COMMUNI-B             9,148,098     424,730        21.5
FCF      FIRST COMMON FIN             6,191,034     287,900        21.5
PBI      PITNEY BOWES INC            56,235,714   2,620,935        21.5
AH       ACCRETIVE HEALTH            10,837,171     509,309        21.3
RSE      ROUSE PROPER                 4,721,796     221,925        21.3
END      ENDEAVOUR INTERN            11,002,346     519,125        21.2
SFG      STANCORP FINL                3,298,072     155,642        21.2
PMC      PHARMERICA CORP              2,807,570     133,800        21.0
WPO      WASHINGTON POS-B               427,523      20,521        20.8
FII      FEDERATED INV-B             15,596,444     751,041        20.8
WWE      WORLD WRESTLIN-A             2,743,185     133,138        20.6
VRS      VERSO PAPER CORP               398,593      19,442        20.5
ACO      AMCOL INTL CORP              2,036,490     100,146        20.3
HGG      HHGREGG INC                  5,434,374     268,746        20.2
SAM      BOSTON BEER-A                1,696,556      83,986        20.2
RMD      RESMED INC                  20,723,937   1,026,103        20.2
PNX      PHOENIX COS                    450,530      22,354        20.2
DVR      CAL DIVE INTERNA            21,963,544   1,091,002        20.1
RTH      MARKET VECTORS R               594,605      29,557        20.1
ICE      INTERCONTINENTAL            11,537,241     574,964        20.1
ELY      CALLAWAY GOLF CO             7,339,581     365,901        20.1
KRE      SPDR S&P REG BAN            27,208,232   1,393,354        19.5
LDR      LANDAUER INC                   265,182      13,689        19.4
CGA      CHINA GREEN AGRI             1,176,140      61,919        19.0
CVA      COVANTA HOLDING              9,409,986     496,203        19.0
FBP      FIRST BANCORP PR             4,990,797     263,905        18.9
CYN      CITY NATL CORP               4,826,233     255,830        18.9
BBW      BUILD-A-BEAR WOR               249,513      13,271        18.8
GFF      GRIFFON CORP                 2,321,079     124,389        18.7
BKS      BARNES & NOBLE              13,248,057     714,345        18.5
CEC      CEC ENTERTAINMNT             1,122,451      60,723        18.5
SSD      SIMPSON MFG                  2,597,098     140,809        18.4
RT       RUBY TUESDAY INC             4,816,072     261,132        18.4
CHE      CHEMED CORP                  2,326,883     126,660        18.4
PPH      MARKET VECTORS P               541,750      29,491        18.4
CRR      CARBO CERAMICS               5,901,212     321,693        18.3
GIB      CGI GROUP INC-A              4,138,127     227,390        18.2
ESI      ITT EDUCATIONAL              8,695,666     479,032        18.2
CALX     CALIX INC                    2,861,859     158,359        18.1
NJR      NEW JERSEY RES               2,548,707     141,059        18.1
GCH      GREATER CHINA FD               287,985      15,964        18.0
CAE      CAE INC                        334,184      18,537        18.0
LTM      LIFE TIME FITNES             5,127,405     285,326        18.0
KND      KINDRED HEALTHCA             4,066,326     226,902        17.9
DLB      DOLBY LABORATO-A             5,374,145     302,104        17.8
HNI      HNI CORP                     2,136,373     120,121        17.8
MWW      MONSTER WORLDWID            25,543,061   1,436,460        17.8
ALV      AUTOLIV INC                  7,146,607     403,040        17.7
FXCM     FXCM INC-A                   2,335,427     132,143        17.7
DHX      DICE HOLDINGS IN             5,249,190     297,467        17.6
ANFI     AMIRA NATURE FOO             1,651,851      93,669        17.6
UVV      UNIVERSAL CORP               3,163,019     180,737        17.5
ETH      ETHAN ALLEN                  5,020,894     289,518        17.3
INT      WORLD FUEL SVCS              4,753,708     274,138        17.3
SKS      SAKS INC                    23,786,392   1,378,249        17.3
CFR      CULLEN/FROST                 5,744,220     338,190        17.0
TRQ      TURQUOISE HILL R            26,327,197   1,551,587        17.0
QTM      QUANTUM CORP                17,520,401   1,033,952        16.9
USU      USEC INC                    15,705,043     927,474        16.9
SA       SEABRIDGE GOLD               3,839,492     226,965        16.9
HLF      HERBALIFE LTD               31,538,297   1,864,621        16.9
OPK      OPKO HEALTH                 28,287,657   1,684,123        16.8
EXH      EXTERRAN HOLDING             5,479,685     326,711        16.8
CRD/B    CRAWFORD & CO-B                798,206      47,938        16.7
HBM      HUDBAY MINERALS              1,347,591      81,491        16.5
CCSC     COUNTRY-SPON ADR               493,026      29,855        16.5
INFY     INFOSYS LTD-ADR             22,453,381   1,370,365        16.4
DFT      DUPONT FABROS TE             9,615,420     586,918        16.4
HCI      HOMEOWNERS CHOIC             2,029,324     124,365        16.3
UIS      UNISYS CORP                  5,640,210     346,748        16.3
NR       NEWPARK RESOURCE             7,662,929     471,376        16.3
PNY      PIEDMONT NAT GAS             3,568,952     219,561        16.3
HPY      HEARTLAND PAYMEN             6,992,143     431,674        16.2
WWAV     WHITEWAVE FOODS             10,432,768     653,826        16.0
BYI      BALLY TECHNOLOGI             5,150,197     324,461        15.9
WCN      WASTE CONNECTION             7,371,492     464,683        15.9
EC       ECOPETROL-SP ADR             8,189,038     517,673        15.8
DEL      DELTIC TIMBER                  288,115      18,239        15.8
DMD      DEMAND MEDIA INC             4,893,841     310,095        15.8
CCC      CALGON CARBON                5,595,457     354,636        15.8
PBNY     PROVIDENT NEW YO               700,687      44,454        15.8
RSH      RADIOSHACK CORP             34,472,307   2,188,835        15.7
CFX      COLFAX CORP                  6,726,973     428,540        15.7
EV       EATON VANCE CORP             9,999,701     640,582        15.6
EGL      ENGILITY HOLDING             1,715,526     111,358        15.4
MLR      MILLER INDS/TENN               465,609      30,365        15.3
USM      US CELLULAR CORP             1,110,161      72,493        15.3
RHP      RYMAN HOSPITALIT             9,321,061     608,869        15.3
TY       TRI-CONTL CORP                 979,808      64,024        15.3
SGK      SCHAWK INC                     245,326      16,092        15.2
VSH      VISHAY INTERTECH            18,259,035   1,199,389        15.2
APU      AMERIGAS PARTNER             1,403,119      92,554        15.2
SFI      ISTAR FINANCIAL             17,568,304   1,166,001        15.1
BPO      BROOKFIELD OFFIC            16,373,702   1,086,790        15.1
FNB      FNB CORP                     8,994,963     597,262        15.1
STC      STEWART INFO SVC             3,692,932     246,534        15.0
RH       RESTORATION HARD             1,371,212      91,669        15.0
BIG      BIG LOTS INC                 9,236,412     618,210        14.9
HDY      HYPERDYNAMICS CP            14,294,075     959,815        14.9
MOG/A    MOOG INC-CLASS A               939,554      63,162        14.9
RES      RPC INC                     11,528,916     775,406        14.9
DOLE     DOLE FOOD CO INC             9,819,034     661,959        14.8
GME      GAMESTOP CORP-A             43,090,572   2,918,641        14.8
MTB      M&T BANK CORP               10,238,167     695,719        14.7
RGR      STURM RUGER & CO             5,044,750     343,831        14.7
ITC      ITC HOLDINGS COR             3,134,642     217,042        14.4
RTI      RTI INTL METALS              2,634,393     182,774        14.4
HEK      HECKMANN CORP               45,812,403   3,190,767        14.4
PHH      PHH CORP                    14,772,090   1,036,259        14.3
LXK      LEXMARK INTL-A              12,257,022     865,519        14.2
IRF      INTL RECTIFIER               5,330,700     378,147        14.1
RIOM     RIO ALTO MINING                230,479      16,454        14.0
HAE      HAEMONETICS CORP             2,849,541     203,464        14.0
PXE      POWERSH-EN EX PR               480,031      34,546        13.9
MDP      MEREDITH CORP                5,732,844     412,860        13.9
MLPN     CREDIT SUISSE CU             1,257,821      91,160        13.8
EXL      EXCEL TRUST INC              2,354,444     171,403        13.7
AHT      ASHFORD HOSPITAL             4,770,991     348,553        13.7
JNY      JONES GROUP INC              9,028,017     660,459        13.7
AF       ASTORIA FINL                 7,697,317     563,557        13.7
AYI      ACUITY BRANDS                3,407,412     252,219        13.5
STRI     STR HOLDINGS INC             2,049,761     151,740        13.5
IFN      INDIA FUND                   2,207,327     165,319        13.4

*-- Data includes ETF positions.

-- Bloomberg News

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