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Largest Nasdaq Short Interest Percent Decreases as of Nov. 15

By Bloomberg News - Nov 24, 2010

The following are the 200 largest short interest percent decreases on the Nasdaq Stock Market as of the Nov. 15 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                                                     
Symbol   Company                        Nov. 15       Oct. 29      % Change   
=============================================================================
BDSI     BIODELIVERY SCIE               200,583       562,138       -64.3
GLUU     GLU MOBILE INC                 262,619       576,659       -54.5
ATLS     ATLAS ENERGY INC             3,012,802     6,531,297       -53.9
IMAX     IMAX CORP                    3,520,570     6,375,681       -44.8
NTWK     NETSOL TECH INC                300,764       525,592       -42.8
CTFO     CHINA TRANSINFO                251,880       431,217       -41.6
SNBC     SUN BANCORP-NJ                 254,117       422,969       -39.9
SPEX     SPHERIX INC                    241,325       401,015       -39.8
GTXI     GTX INC                      2,760,645     4,559,878       -39.5
SATS     ECHOSTAR CORP-A                292,497       468,108       -37.5
VRSK     VERISK ANALYTI-A               707,963     1,130,946       -37.4
MLNX     MELLANOX TECHNOL             1,474,318     2,330,160       -36.7
RGNC     REGENCY ENERGY P               421,946       654,500       -35.5
EZCH     EZCHIP SEMICONDU               414,112       631,600       -34.4
EPCT     EPICEPT CORP                   218,164       330,856       -34.1
MCRS     MICROS SYSTEMS                 878,686     1,292,146       -32.0
BIOF     BIOFUEL ENERGY C               348,323       508,563       -31.5
CPSI     COMPUTER PROGRAM               316,724       460,954       -31.3
TLAB     TELLABS INC                 17,749,339    25,765,756       -31.1
FNSR     FINISAR CORP                10,891,301    15,709,310       -30.7
ZBRA     ZEBRA TECH CORP              1,138,087     1,623,357       -29.9
AMCN     AIRMEDIA-ADR                   333,787       475,215       -29.8
FLEX     FLEXTRONICS INTL            14,225,011    19,955,697       -28.7
INFN     INFINERA CORP                4,568,731     6,396,280       -28.6
BCSI     BLUE COAT SYSTEM             4,471,036     6,246,886       -28.4
BEAV     BE AEROSPACE                 1,589,715     2,209,433       -28.0
SOHU     SOHU.COM INC                 2,548,377     3,469,833       -26.6
GNVC     GENVEC INC                   3,132,958     4,244,680       -26.2
VPFG     VIEWPOINT FINANC               539,885       730,558       -26.1
BJGP     BMP SUNSTONE COR             1,385,780     1,864,291       -25.7
BRCM     BROADCOM CORP-A             10,212,594    13,699,892       -25.5
BMRN     BIOMARIN PHARMAC            10,284,151    13,743,648       -25.2
HAUP     HAUPPAUGE DIGITA               476,217       635,190       -25.0
ACPW     ACTIVE POWER INC               310,856       413,639       -24.8
ADSK     AUTODESK INC                 6,805,409     9,038,489       -24.7
COHR     COHERENT INC                   680,200       899,668       -24.4
JDSU     JDS UNIPHASE                 5,076,779     6,696,946       -24.2
PWRD     PERFECT WORL-ADR             1,996,038     2,631,624       -24.2
NICE     NICE SYSTEMS-ADR               368,194       480,857       -23.4
IXYS     IXYS CORP                      471,357       613,151       -23.1
LKQX     LKQ CORP                     3,504,948     4,554,815       -23.0
KLAC     KLA-TENCOR CORP              6,049,465     7,859,060       -23.0
VDSI     VASCO DATA INTL              1,221,882     1,582,186       -22.8
RYAAY    RYANAIR HLDG-ADR               432,924       558,310       -22.5
HIMX     HIMAX TECHNO-ADR               462,218       593,578       -22.1
BMC      BMC SOFTWARE INC             4,551,714     5,820,137       -21.8
COGT     COGENT INC                   1,826,231     2,333,362       -21.7
UCBI     UNITED COMMUNITY             5,828,311     7,428,086       -21.5
MILL     MILLER PETROLEUM             1,457,804     1,848,092       -21.1
URRE     URANIUM RES INC                744,724       943,246       -21.0
APEI     AMERICAN PUBLIC              1,802,640     2,267,012       -20.5
SBGI     SINCLAIR BROAD-A             2,545,534     3,195,676       -20.3
VLTR     VOLTERRA SEMICON             2,285,794     2,855,706       -20.0
APCVZ    FRESENIUS-CVR                  481,651       601,708       -20.0
CALD     CALLIDUS SOFTWAR               211,484       263,314       -19.7
MMYT     MAKEMYTRIP LTD                 895,499     1,112,170       -19.5
SXCI     SXC HEALTH SOLUT               775,663       959,399       -19.2
SPWRB    SUNPOWER CORP-B                706,166       873,162       -19.1
PLXT     PLX TECHNOLOGY               1,206,716     1,491,647       -19.1
IPGP     IPG PHOTONICS                  843,616     1,041,474       -19.0
ANDE     ANDERSONS INC                  823,362     1,014,154       -18.8
SLGN     SILGAN HOLDINGS              1,686,488     2,073,558       -18.7
ACTG     ACACIA RESEARCH              1,033,166     1,269,363       -18.6
SSRI     SILVER STANDARD              2,546,888     3,128,766       -18.6
MSPD     MINDSPEED TECHNO             1,919,019     2,352,358       -18.4
NUVA     NUVASIVE INC                 6,516,546     7,986,453       -18.4
MPWR     MONOLITHIC POWER             2,151,704     2,632,590       -18.3
MICC     MILLICOM INTL                1,247,593     1,525,276       -18.2
BAGL     EINSTEIN NOAH RE               278,915       340,971       -18.2
FFIC     FLUSHING FINL                  945,382     1,155,332       -18.2
WTSLA    WET SEAL INC -A              3,279,957     4,001,774       -18.0
EGOV     NIC INC                      1,479,371     1,804,726       -18.0
QSFT     QUEST SOFTWARE               2,647,375     3,223,275       -17.9
RLRN     RENAISSANCE LEA                454,904       553,734       -17.8
IDTI     INTEGRAT DEVICE             12,415,823    15,095,102       -17.7
ASTE     ASTEC INDUSTRIES             1,437,571     1,745,607       -17.6
WCRX     WARNER CHILCOT-A             3,558,802     4,317,102       -17.6
SUPX     SUPERTEX INC                   360,080       434,440       -17.1
NATI     NATL INSTRUMENTS               501,165       604,182       -17.1
IDIX     IDENIX PHARM                 2,800,208     3,373,121       -17.0
DLTR     DOLLAR TREE INC              4,837,509     5,817,529       -16.8
CRME     CARDIOME PHARMA              1,166,572     1,402,312       -16.8
KLIC     KULICKE & SOFFA              2,807,137     3,373,939       -16.8
SUPR     SUPERIOR BANCORP               602,820       723,783       -16.7
NXPI     NXP SEMICONDUCTO             1,494,619     1,792,615       -16.6
SCSC     SCANSOURCE INC                 680,253       815,801       -16.6
SCMR     SYCAMORE NETWORK               730,699       876,149       -16.6
WFMI     WHOLE FOODS MKT             13,350,334    15,980,231       -16.5
ARTG     ART TECHNOLOGY               5,200,239     6,209,864       -16.3
JBHT     HUNT (JB) TRANS              2,983,490     3,556,920       -16.1
GPOR     GULFPORT ENERGY              1,246,782     1,485,033       -16.0
ACXM     ACXIOM CORP                  1,881,446     2,240,801       -16.0
MDAS     MEDASSETS INC                4,313,190     5,136,899       -16.0
TBSI     TBS INTERNATIO-A               354,299       421,415       -15.9
KIRK     KIRKLAND'S INC               1,083,870     1,288,063       -15.9
JAZZ     JAZZ PHARMACEUTI             1,832,765     2,177,525       -15.8
CSCO     CISCO SYSTEMS               39,244,831    46,587,512       -15.8
APPA     AP PHARMA INC                  328,606       389,745       -15.7
DLIA     DELIA*S INC                    244,697       290,146       -15.7
RADS     RADIANT SYSTEMS              1,087,687     1,288,983       -15.6
OVTI     OMNIVISION TECH              5,729,831     6,786,962       -15.6
ECHO     ECHO GLOBAL LOGI             2,247,263     2,659,132       -15.5
HBAN     HUNTINGTON BANC             30,058,766    35,567,785       -15.5
JOEZ     JOE'S JEANS INC              3,243,868     3,838,063       -15.5
PLXS     PLEXUS CORP                  1,879,889     2,223,283       -15.4
MKTX     MARKETAXESS                    636,540       752,793       -15.4
MCGC     MCG CAPITAL CORP             2,050,392     2,422,113       -15.3
AGII     ARGO GROUP INTER               696,379       822,442       -15.3
GSOL     GLOBAL SOURCES                 637,555       752,964       -15.3
CASY     CASEY'S GENERAL              2,463,681     2,904,073       -15.2
QADI     QAD INC                        304,515       358,930       -15.2
TRAK     DEALERTRACK HOLD             2,096,132     2,469,941       -15.1
FIRE     SOURCEFIRE INC               2,981,408     3,512,354       -15.1
FMCN     FOCUS MEDIA-ADR              3,638,488     4,286,041       -15.1
XTEX     CROSSTEX ENERGY                290,813       341,428       -14.8
NCMI     NATIONAL CINEMED             1,481,017     1,737,750       -14.8
FUBC     1ST UNITED BANCO               625,730       733,402       -14.7
SAIA     SAIA INC                       587,907       688,276       -14.6
TKLC     TEKELEC                      2,335,187     2,732,881       -14.6
PRFT     PERFICIENT INC                 576,526       674,427       -14.5
LQDT     LIQUIDITY SERVIC               719,806       841,428       -14.5
IBKR     INTERACTIVE BROK             2,552,457     2,980,523       -14.4
MXIM     MAXIM INTEGRATED            19,316,052    22,538,468       -14.3
APSG     APPLIED SIGNAL                 519,561       605,721       -14.2
DSPG     DSP GROUP INC                  499,622       582,297       -14.2
SKYW     SKYWEST INC                  1,381,902     1,609,466       -14.1
CLRT     CLARIENT INC                 3,105,504     3,615,977       -14.1
ROSE     ROSETTA RESOURCE             2,550,111     2,969,195       -14.1
IPCC     INFINITY PROPERT               234,224       272,442       -14.0
ACAT     ARCTIC CAT INC                 700,683       814,648       -14.0
CAVM     CAVIUM NETWORKS              9,677,545    11,250,517       -14.0
VLCM     VOLCOM INC                   2,431,733     2,825,811       -13.9
HRLY     HERLEY INDS                    304,837       354,236       -13.9
FEIC     FEI COMPANY                    955,417     1,110,231       -13.9
AVAV     AEROVIRONMENT IN             1,568,004     1,819,211       -13.8
COGO     COGO GROUP INC                 266,966       309,525       -13.7
XTXI     CROSSTEX ENERGY              2,444,810     2,830,582       -13.6
SCHN     SCHNITZER STEEL              1,356,952     1,570,895       -13.6
GEOY     GEOEYE INC                     563,375       651,935       -13.6
KFRC     KFORCE INC                     878,481     1,016,524       -13.6
AIMC     ALTRA HOLDINGS I               564,023       651,927       -13.5
SIGI     SELECT INS GRP               1,107,913     1,280,565       -13.5
KNDL     KENDLE INTL INC                421,960       487,536       -13.5
ATHR     ATHEROS COMMUNIC             9,643,564    11,136,419       -13.4
ORCL     ORACLE CORP                 28,581,354    32,987,652       -13.4
CSTR     COINSTAR INC                 8,167,867     9,426,867       -13.4
MSCC     MICROSEMI CORP               3,024,154     3,489,095       -13.3
NARA     NARA BANCORP INC             1,289,143     1,485,904       -13.2
USAK     USA TRUCK INC                  247,568       285,296       -13.2
BIIB     BIOGEN IDEC INC             11,706,501    13,480,212       -13.2
MAT      MATTEL INC                  13,670,401    15,734,821       -13.1
DELL     DELL INC                    41,629,271    47,891,688       -13.1
PBCT     PEOPLE'S UNITED             16,422,673    18,882,211       -13.0
WFD      WESTFIELD FIN                  734,237       844,179       -13.0
NEI      NETWORK ENGINES              1,269,687     1,459,160       -13.0
HOFT     HOOKER FURNITURE               255,139       293,115       -13.0
BRKS     BROOKS AUTOMATIO             1,736,324     1,993,379       -12.9
MRCY     MERCURY COMPUTER             1,044,700     1,199,354       -12.9
CVTI     COVENANT TRANS-A               206,673       237,037       -12.8
ROST     ROSS STORES INC              5,418,790     6,214,787       -12.8
LHCG     LHC GROUP INC                1,570,320     1,799,821       -12.8
ISRG     INTUITIVE SURGIC             2,525,328     2,892,135       -12.7
MDRX     ALLSCRIPTS HEALT             2,988,677     3,422,236       -12.7
WABC     WESTAMERICA BANC             2,741,849     3,139,473       -12.7
CNXT     CONEXANT SYS                 2,566,718     2,938,354       -12.6
HAYN     HAYNES INTL INC                307,477       351,597       -12.5
BELFB    BEL FUSE INC-B                 204,068       233,197       -12.5
SYMM     SYMMETRICOM INC              1,018,165     1,162,642       -12.4
PZZ      PROSPECT MEDICAL               234,694       267,962       -12.4
NWBI     NORTHWEST BANCSH             2,879,325     3,286,707       -12.4
ZOLL     ZOLL MEDICAL                 1,025,420     1,170,187       -12.4
SPIR     SPIRE CORP                     299,104       341,283       -12.4
NWSA     NEWS CORP-A                 36,066,203    41,119,777       -12.3
DNEX     DIONEX CORP                    731,818       834,108       -12.3
SHLM     SCHULMAN (A)                   630,825       718,901       -12.3
TRMB     TRIMBLE NAVIG                2,533,818     2,887,117       -12.2
KAMN     KAMAN CORP                     449,950       512,559       -12.2
ASCA     AMERISTAR CASINO             1,342,006     1,528,355       -12.2
KELYA    KELLY SERVICES-A             1,093,778     1,245,327       -12.2
ELRC     ELECTRO RENT CO                351,861       400,472       -12.1
URBN     URBAN OUTFITTER             19,509,784    22,189,822       -12.1
BIDU     BAIDU INC-SP ADR             8,545,742     9,719,063       -12.1
ORIT     ORITANI FINANCIA             1,515,094     1,723,019       -12.1
STFC     STATE AUTO FINL                297,263       337,962       -12.0
OXGN     OXIGENE INC                  2,466,563     2,801,615       -12.0
EGLE     EAGLE BULK SHIPP             5,090,248     5,779,749       -11.9
BFIN     BANKFINANCIAL                  466,706       529,825       -11.9
ESLR     EVERGREEN SOLAR             19,529,038    22,162,588       -11.9
ECPG     ENCORE CAPITAL G               324,871       368,642       -11.9
PSMT     PRICESMART INC                 424,984       482,228       -11.9
TCRD     THL CREDIT INC                 237,922       269,914       -11.9
ESSA     ESSA BANCORP INC               411,746       466,804       -11.8
RTIX     RTI BIOLOGICS                1,423,039     1,612,957       -11.8
LIWA     LIHUA INTERNATIO             1,178,846     1,335,834       -11.8
JJSF     J & J SNACK FOOD               312,278       353,794       -11.7
ORLY     O'REILLY AUTOMOT             4,073,422     4,612,339       -11.7
MOLX     MOLEX INC                    8,118,492     9,190,725       -11.7
IVAC     INTEVAC INC                  1,404,518     1,587,311       -11.5
SNDK     SANDISK CORP                15,031,262    16,984,288       -11.5
FINL     FINISH LINE-A                5,287,448     5,974,301       -11.5

*-- Data includes ETF positions.

-- Bloomberg News To contact Bloomberg News for this story: +1-212-318-2000 or newsdev@bloomberg.net

-0- Nov/25/2010 00:15 GMT

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