Largest Nasdaq Short Interest Percent Decreases as of Nov. 15
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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.
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-0- Nov/25/2010 00:15 GMT