Largest NYSE Short Interest Percent Increases as of March 15
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Apr 4, 2011
The following are the 200 largest short interest percent increases 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 Symbol Company March 15 Feb. 28 % Change ============================================================================= DVY ISHARES-DJ DIV 1,766,230 331,718 432.4 ZSL PRSH-ULTSH SILVE 1,276,780 384,069 232.4 UN UNILEVER NV-NYS 5,221,729 1,599,736 226.4 TYH TECH BULL 3X 685,966 211,604 224.2 COV COVIDIEN PLC 12,151,279 3,848,690 215.7 COT COTT CORP 3,398,490 1,134,119 199.7 HMY HARMONY GOLD-ADR 5,324,542 1,833,073 190.5 RWM PROSHARES SHORT 804,842 279,904 187.5 SMN PROSHARES ULTRAS 900,693 334,193 169.5 PZA POWERSH-I N M B 503,840 202,540 148.8 TDC TERADATA CORP 2,950,076 1,210,899 143.6 TEF TELEFONICA-ADR 2,699,883 1,163,130 132.1 MET METLIFE INC 28,878,780 12,478,995 131.4 EMB ISHARES-JPM EM B 494,682 222,385 122.4 ASX ADV SEMI ENG-ADR 7,616,383 3,697,939 106.0 DDM PROSHARES ULTRAD 445,820 220,400 102.3 PBW POWERSH-W CL ENR 1,298,133 654,070 98.5 HUB/B HUBBELL INC -B 966,507 492,680 96.2 SOL RENESOLA LTD-ADR 7,916,945 4,040,625 95.9 PSP POWERSHARES GLOB 1,080,473 554,467 94.9 PMT PENNYMAC MORTGAG 970,103 498,801 94.5 PBH PRESTIGE BRANDS 2,069,508 1,087,539 90.3 HRZ HORIZON LINES-A 2,257,505 1,196,082 88.7 ALU ALCATEL-LUCE-ADR 84,093,998 44,670,005 88.3 FCN FTI CONSULTING 6,853,231 3,672,427 86.6 KRO KRONOS WORLDWIDE 506,704 272,904 85.7 A AGILENT TECH INC 5,876,155 3,183,524 84.6 EOC ENDESA-ADR (CHL) 387,517 215,439 79.9 TMO THERMO FISHER 5,565,029 3,104,150 79.3 UGP ULTRAPAR PA-ADR 569,869 320,734 77.7 MWE MARKWEST ENERGY 778,868 441,073 76.6 CHSP CHESAPEAKE LODGI 766,731 436,011 75.9 SOXL DIR DAILY S B 3X 385,474 219,588 75.5 KWK QUICKSILVER RES 11,426,405 6,521,341 75.2 NAL NEWALLIANCE BANC 5,444,719 3,112,395 74.9 GKK GRAMERCY CAPITAL 785,409 451,088 74.1 LOW LOWE'S COS INC 24,532,066 14,118,005 73.8 FTE FRANCE TELEC-ADR 1,270,451 742,227 71.2 TAN GUGGENHEIM SOLAR 592,899 348,881 69.9 VC VISTEON CORP 2,015,872 1,196,882 68.4 VTI VANGUARD TL SK E 1,120,596 666,896 68.0 SMI SEMICONDUCTOR-AD 405,309 242,958 66.8 DXD PROSHARES ULTRAS 462,715 278,121 66.4 UTR UNITRIN INC 395,088 237,766 66.2 UWM PROSHARES ULTRA 1,132,273 683,343 65.7 FAZ FINANCIAL BEAR 4,799,235 2,928,719 63.9 DJP IPATH DJ UBS CMD 1,548,580 950,267 63.0 ECA ENCANA CORP 26,526,073 16,367,746 62.1 STP SUNTECH POWE-ADR 20,856,975 13,163,602 58.4 CNI CAN NATL RAILWAY 1,953,273 1,236,926 57.9 SMH SEMICONDUCTOR HL 21,909,235 13,887,357 57.8 ECH ISHARES MSCI CHI 494,536 314,524 57.2 CLDT CHATHAM LODGING 356,930 230,657 54.7 MEE MASSEY ENERGY CO 15,475,394 10,024,213 54.4 USO UNITED STATES OI 19,228,172 12,457,213 54.4 FCG FIRST TR ISE CHI 370,160 241,526 53.3 ABG ASBURY AUTO GRP 1,611,519 1,053,138 53.0 MFG MIZUHO FINAN-ADR 1,486,583 972,211 52.9 AMJ JPM-ALERIAN MLP 5,425,337 3,571,873 51.9 EWC ISHARES-CANADA 4,916,481 3,247,926 51.4 E ENI SPA-ADR 1,074,944 711,180 51.1 TWO TWO HARBORS INVE 1,944,541 1,309,516 48.5 SNY SANOFI-AVENT-ADR 3,836,672 2,583,899 48.5 SIX SIX FLAGS ENTERT 338,779 228,519 48.2 JKS JINKOSOLAR-ADR 4,231,906 2,855,800 48.2 STM STMICROELECTR-NY 9,129,769 6,182,815 47.7 HWD HARRY WINSTON DI 878,789 597,536 47.1 KKR KKR & CO LP 1,887,704 1,286,808 46.7 VIG VANGUARD DVD A E 429,230 292,675 46.7 VTV VANGUARD VAL ETF 330,833 226,740 45.9 TX TERNIUM SA-ADR 707,309 486,952 45.3 NRF NORTHSTAR REALTY 5,984,594 4,127,527 45.0 IFN INDIA FUND 636,666 441,081 44.3 PSB PS BUSINESS PARK 813,003 564,479 44.0 BOX SEACUBE CONTAINE 377,970 263,097 43.7 EWM ISHARES-MALAYSIA 2,743,880 1,910,021 43.7 WL WILMINGTON TRUST 3,581,400 2,503,113 43.1 BTE BAYTEX ENERGY CO 1,349,102 946,776 42.5 TNB THOMAS & BETTS 827,953 581,092 42.5 EPP ISHARES MSCI PAC 879,081 617,085 42.5 BAX BAXTER INTL INC 5,383,975 3,781,947 42.4 TNK TEEKAY TANK-CL A 1,632,622 1,147,025 42.3 BOE BLACKROCK GL O T 330,299 232,432 42.1 VIV VIVO-ADR 1,503,365 1,059,737 41.9 FAS FINL BULL 3X 8,035,820 5,668,736 41.8 IFF INTL FLVR & FRAG 1,349,501 952,392 41.7 GBX GREENBRIER COS 1,400,830 990,705 41.4 DDR DEVELOPERS DIVER 19,737,981 13,982,294 41.2 PAA PLAINS ALL AMER 300,545 213,237 40.9 DAR DARLING INTL 3,683,050 2,643,975 39.3 CAH CARDINAL HEALTH 5,182,182 3,725,103 39.1 LYB LYONDELLBASELL-A 8,773,138 6,309,591 39.0 SCO PRSH-U/S CRU OIL 322,527 232,148 38.9 ARG AIRGAS INC 1,597,930 1,153,401 38.5 IOO ISHARES-S&P GLOB 517,090 375,462 37.7 AER AERCAP HOLDINGS 423,595 307,830 37.6 RPM RPM INTL INC 2,848,363 2,070,028 37.6 TBT PROSHARES ULTRAS 12,172,889 8,851,181 37.5 CSA COGDELL SPENCER 1,485,065 1,082,571 37.2 ARJ ARCH CHEMICALS 827,586 605,105 36.8 KMI KINDER MORGAN IN 5,206,206 3,808,593 36.7 ROC ROCKWOOD HOLDING 2,878,023 2,107,464 36.6 CSX CSX CORP 5,745,531 4,207,527 36.6 PKI PERKINELMER INC 2,208,254 1,618,453 36.4 HEK HECKMANN CORP 4,831,892 3,553,424 36.0 ACV ALBERTO-CULVER 412,374 303,424 35.9 ABT ABBOTT LABS 14,308,663 10,532,186 35.9 PQ PETROQUEST ENERG 4,854,045 3,574,611 35.8 VIT VANCEINFO TE-ADR 1,512,805 1,114,809 35.7 YUM YUM! BRANDS INC 7,632,970 5,632,371 35.5 IYZ ISHARES-DJ TELEC 494,049 366,196 34.9 AB ALLIANCEBERNSTEI 1,602,925 1,193,272 34.3 DEM WISDOMTREE EMG M 268,979 200,691 34.0 PPL PPL CORPORATION 9,542,211 7,125,295 33.9 XLB SPDR-MATERIALS 25,729,230 19,213,942 33.9 BPZ BPZ RESOURCES IN 15,760,803 11,770,361 33.9 AMN AMERON INTL CORP 448,567 335,045 33.9 RBN ROBBINS & MYERS 1,265,079 945,306 33.8 ORA ORMAT TECHNOLOGI 1,427,442 1,067,181 33.8 HAO GUGGENHEIM CHINA 936,935 700,846 33.7 RSG REPUBLIC SVCS 3,617,497 2,710,263 33.5 QLD PROSHARES ULTRA 1,060,436 795,112 33.4 UUP POWERSHARES DB U 4,577,783 3,435,059 33.3 ESV ENSCO PLC-ADR 15,394,481 11,607,550 32.6 AWI ARMSTRONG WORLD 1,738,469 1,310,903 32.6 UIS UNISYS CORP 4,510,919 3,405,106 32.5 VGR VECTOR GROUP LTD 4,102,439 3,106,498 32.1 RSH RADIOSHACK CORP 12,581,200 9,528,477 32.0 FDX FEDEX CORP 4,093,134 3,103,745 31.9 RGA REINSURANCE GROU 3,020,278 2,294,438 31.6 RQI COHEN & STEER QU 719,769 546,947 31.6 TSL TRINA SOLAR-ADR 8,135,388 6,182,620 31.6 SLV ISHARES SILVER T 24,155,769 18,368,671 31.5 UCO PRSH-ULT CRU OIL 553,292 420,754 31.5 DBD DIEBOLD INC 2,498,402 1,900,959 31.4 ITB ISHARES-DJ HO CO 1,615,636 1,229,325 31.4 CODE SPANSION INC-A 642,713 490,482 31.0 TKC TURKCELL ILE-ADR 1,976,705 1,512,265 30.7 CBI CHICAGO BRIDG-NY 1,054,582 808,610 30.4 AAV ADVANTAGE OIL & 1,633,832 1,252,888 30.4 AVY AVERY DENNISON 2,036,410 1,562,203 30.4 IHF ISHARES-DJ H C P 665,775 511,072 30.3 CATO CATO CORP-A 817,315 627,731 30.2 GTI GRAFTECH INTL 12,103,620 9,302,249 30.1 EBR ELETROBRAS-ADR C 2,882,557 2,219,870 29.9 BAP CREDICORP LTD 355,340 274,961 29.2 FMC FMC CORP 514,621 398,311 29.2 CCC CALGON CARBON 4,492,101 3,478,250 29.1 CNW CON-WAY INC 7,055,326 5,469,537 29.0 TRC TEJON RANCH CO 527,218 409,663 28.7 FLS FLOWSERVE CORP 994,871 774,708 28.4 AOS SMITH (A.O.)CORP 1,682,907 1,311,240 28.3 CW CURTISS-WRIGHT 1,318,510 1,027,594 28.3 ESL ESTERLINE TECH 712,228 555,087 28.3 SVM SILVERCORP METAL 1,141,504 889,672 28.3 BYI BALLY TECHNOLOGI 6,708,032 5,233,401 28.2 GEF GREIF INC-CL A 746,699 582,588 28.2 KBE SPDR KBW BANK ET 12,950,602 10,126,204 27.9 YGE YINGLI GREEN-ADR 12,389,710 9,715,771 27.5 UYG PROSHARES ULTRA 928,409 728,967 27.4 CHD CHURCH & DWIGHT 3,376,900 2,652,123 27.3 KV/A KV PHARM-A 9,497,219 7,458,990 27.3 EZA ISHARES-S AFR IN 690,618 542,632 27.3 PNW PINNACLE WEST 1,561,661 1,227,987 27.2 HF HFF INC-A 621,087 488,749 27.1 CX CEMEX SAB-SP ADR 43,341,283 34,132,028 27.0 FXCM FXCM INC-A 1,561,302 1,231,084 26.8 VB VANGUARD SM-C ET 395,011 311,604 26.8 FRZ REDDY ICE HOLD 631,901 499,713 26.5 MDU MDU RES GROUP 1,374,405 1,087,496 26.4 CIT CIT GROUP INC 3,204,246 2,536,229 26.3 GR GOODRICH CORP 1,696,496 1,343,917 26.2 EGY VAALCO ENERGY 1,572,119 1,246,173 26.2 SON SONOCO PRODUCTS 1,459,838 1,158,916 26.0 SKM SK TELECOM-ADR 4,990,861 3,962,439 26.0 IMAX IMAX CORP 4,367,936 3,469,131 25.9 K KELLOGG CO 6,465,817 5,144,805 25.7 MDS MIDAS INC 454,822 362,198 25.6 SYT SYNGENTA AG-ADR 616,979 491,787 25.5 SSL SASOL LTD-SP ADR 758,970 605,240 25.4 CYS CYPRESS SHARPRID 5,256,564 4,198,355 25.2 VTR VENTAS INC 13,509,161 10,820,318 24.8 CGX CONS GRAPHICS 474,870 380,786 24.7 KFY KORN/FERRY INTL 1,684,184 1,350,794 24.7 EWT ISHARES-TAIWAN 7,590,933 6,089,270 24.7 LO LORILLARD INC 15,427,733 12,386,061 24.6 KO COCA-COLA CO/THE 13,880,857 11,147,862 24.5 VXX IPATH-S&P S/T FU 26,494,283 21,284,146 24.5 PTI PATNI COMPUT-ADR 1,323,159 1,063,652 24.4 IWF ISHARES-RS 1K GR 3,133,608 2,525,395 24.1 NRGY INERGY LP 527,835 425,560 24.0 FVE FIVE STAR QUA 957,492 772,380 24.0 TI TELECOM ITAL-ADR 318,504 257,043 23.9 CEM CLEARBRIDGE ENER 334,124 269,832 23.8 SAH SONIC AUTOMOTI-A 6,632,670 5,357,632 23.8 DBC POWERSHARES DB C 1,859,152 1,501,859 23.8 CVS CVS CAREMARK COR 13,982,252 11,298,469 23.8 NCV AGIC-CONVER & IN 493,441 399,764 23.4 XLF SPDR-FINL SELECT 106,247,407 86,208,570 23.2 ANR ALPHA NATURAL RE 22,732,198 18,465,805 23.1
*-- Data includes ETF positions.
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-0- Apr/04/2011 14:19 GMT