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Largest Nasdaq Short Interest Percent Decreases as of June 15

By Bloomberg News - Jun 24, 2011

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



Ticker                                                                     
Symbol   Company                        June 15       May 31       % Change   
=============================================================================
SYMX     SYNTHESIS ENERGY               509,517     1,497,885       -66.0
COGO     COGO GROUP INC                 685,888     1,294,895       -47.0
SCEI     SINO CLEAN ENERG               733,391     1,343,127       -45.4
MEOH     METHANEX CORP                  259,387       470,699       -44.9
SMT      SMART TECHNOL-A              2,426,222     4,242,639       -42.8
BRCM     BROADCOM CORP-A              8,277,221    13,567,047       -39.0
NTWK     NETSOL TECH INC                592,500       968,324       -38.8
CTCM     CTC MEDIA INC                1,040,185     1,668,552       -37.7
SVVS     SAVVIS INC                   1,507,565     2,399,694       -37.2
RYAAY    RYANAIR HLDG-ADR               993,328     1,493,681       -33.5
APRI     APRICUS BIOSCIEN             1,342,569     2,008,261       -33.1
CNIT     CHINA INFORMATIO             1,191,793     1,781,576       -33.1
NATR     NATURE'S SUNSHNE               489,564       723,469       -32.3
UTIW     UTI WORLDWIDE                1,765,017     2,548,781       -30.8
FEED     AGFEED INDUSTRIE             2,002,748     2,867,756       -30.2
DSCO     DISCOVERY LABS                 626,633       886,777       -29.3
ERIC     ERICSSON LM-ADR              7,374,905    10,401,179       -29.1
ASCA     AMERISTAR CASINO               955,535     1,340,546       -28.7
HEAT     SMARTHEAT INC                1,625,105     2,274,325       -28.5
GCVRZ    SANOFI CVR                   2,717,168     3,793,797       -28.4
CPKI     CALIF PIZZA KITC             1,013,719     1,406,294       -27.9
JSDA     JONES SODA CO                  732,922     1,011,741       -27.6
CPWR     COMPUWARE CORP               2,733,982     3,744,234       -27.0
MIPS     MIPS TECH INC                4,813,742     6,586,889       -26.9
HBAN     HUNTINGTON BANC             15,190,808    20,558,089       -26.1
CYBX     CYBERONICS                   1,892,264     2,558,619       -26.0
EROC     EAGLE ROCK ENERG               238,200       321,300       -25.9
ISYS     INTEGRAL SYSTEMS               978,456     1,319,076       -25.8
SYNT     SYNTEL INC                     626,887       843,474       -25.7
VISN     VISIONCHINA -ADR               356,562       477,439       -25.3
LNDC     LANDEC CORP                    805,943     1,069,243       -24.6
QNST     QUINSTREET INC               4,180,408     5,544,663       -24.6
MCRI     MONARCH CASINO                 307,622       407,547       -24.5
GLUU     GLU MOBILE INC               3,097,086     4,091,258       -24.3
PARD     PONIARD PHARMACE             1,061,798     1,397,240       -24.0
IRIS     IRIS INTERNATION               695,779       913,477       -23.8
VNET     21VIANET-ADR                 1,477,964     1,930,392       -23.4
ATVI     ACTIVISION BLIZZ            13,362,993    17,428,367       -23.3
OVRL     OVERLAND STORAGE               213,535       278,330       -23.3
LSTR     LANDSTAR SYSTEM              1,535,526     1,995,023       -23.0
BMC      BMC SOFTWARE INC             3,519,824     4,564,618       -22.9
UEPS     NET 1 UEPS TECH                262,726       339,501       -22.6
THOR     THORATEC CORP                3,581,452     4,627,073       -22.6
PWRD     PERFECT WORL-ADR               613,130       791,371       -22.5
ABBC     ABINGTON BANCORP               534,402       688,741       -22.4
NGPC     NGP CAP RES CO                 721,236       928,127       -22.3
FRME     FIRST MERCHANTS                782,132     1,003,483       -22.1
ESSA     ESSA BANCORP INC               408,290       522,887       -21.9
AAXJ     ISHAR ASIA EX-JP               388,166       497,089       -21.9
ACET     ACETO CORP                     909,066     1,162,885       -21.8
LPTH     LIGHTPATH TECH-A               203,545       260,370       -21.8
WIFI     BOINGO WIRELESS                318,454       407,018       -21.8
VTSS     VITESSE SEMICOND             1,096,272     1,398,987       -21.6
AATI     ADVANCED ANALOGI             1,557,750     1,983,016       -21.4
YONG     YONGYE INTERNATI             3,883,648     4,932,090       -21.3
ABFS     ARKANSAS BEST                1,549,007     1,965,945       -21.2
SPAR     SPARTAN MOTORS               1,395,212     1,768,647       -21.1
VRSK     VERISK ANALYTI-A               570,002       722,480       -21.1
SLRC     SOLAR CAPITAL LT               431,341       542,317       -20.5
DSPG     DSP GROUP INC                  732,882       921,244       -20.4
GLBL     GLOBAL INDS LTD              6,134,902     7,667,093       -20.0
INFY     INFOSYS LTD-ADR              7,443,240     9,298,166       -19.9
MSFG     MAINSOURCE FINAN               800,989       998,073       -19.7
TRMB     TRIMBLE NAVIG                1,076,422     1,339,445       -19.6
CTFO     CHINA TRANSINFO                384,033       476,992       -19.5
MHLD     MAIDEN HOLDINGS              1,849,380     2,294,866       -19.4
MYGN     MYRIAD GENETICS              5,777,965     7,166,471       -19.4
CZNC     CITIZENS & NORTH               412,955       510,662       -19.1
LOGI     LOGITECH INTER-R            18,628,246    22,997,763       -19.0
CSGP     COSTAR GROUP INC             2,617,281     3,224,179       -18.8
CBOE     CBOE HOLDINGS IN             2,992,934     3,686,573       -18.8
SIAL     SIGMA-ALDRICH                2,519,636     3,095,458       -18.6
BSTC     BIOSPECIFICS TEC               354,161       435,022       -18.6
POZN     POZEN INC                    1,281,587     1,572,287       -18.5
PBCT     PEOPLE'S UNITED             15,600,007    19,112,818       -18.4
NWS      NEWS CORP-B                  3,502,545     4,277,310       -18.1
ANSS     ANSYS INC                    1,461,211     1,783,206       -18.1
VICR     VICOR CORP                   1,509,095     1,831,453       -17.6
PVTB     PRIVATEBANCORP               3,409,864     4,131,719       -17.5
PAAS     PAN AMER SILVER              1,569,397     1,898,781       -17.3
COIN     CONVERTED ORGANI             1,737,572     2,099,471       -17.2
MCRL     MICREL INC                   2,720,008     3,285,232       -17.2
GNTX     GENTEX CORP                  3,130,740     3,780,759       -17.2
ERTS     ELECTRONIC ARTS             16,345,826    19,733,788       -17.2
DISH     DISH NETWORK-A               2,879,845     3,449,342       -16.5
SOHU     SOHU.COM INC                 2,744,437     3,287,128       -16.5
JASO     JA SOLAR HOL-ADR            16,380,722    19,607,901       -16.5
NLST     NETLIST INC                    855,215     1,021,699       -16.3
LCAPA    LIBERTY-CAP A                  635,572       758,635       -16.2
GNOM     COMPLETE GENOMIC               895,084     1,066,618       -16.1
VSCP     VIRTUALSCOPICS I               250,580       298,104       -15.9
ROLL     RBC BEARINGS INC               770,324       915,715       -15.9
SONC     SONIC CORP                   4,652,725     5,509,454       -15.6
AGYS     AGILYSYS INC                   802,115       949,527       -15.5
ZOLL     ZOLL MEDICAL                 1,735,452     2,047,331       -15.2
SYNO     SYNOVIS LIFE TEC               355,119       418,258       -15.1
CRRC     COURIER CORP                   368,055       433,143       -15.0
TWER     TOWERSTREAM CORP               949,298     1,115,736       -14.9
ARCC     ARES CAPITAL COR             3,648,156     4,281,577       -14.8
ASYS     AMTECH SYS INC               1,108,347     1,298,597       -14.7
OUTD     OUTDOOR CHANNEL                643,826       754,109       -14.6
CHSI     CATALYST HEALTH              1,822,564     2,132,406       -14.5
CPSI     COMPUTER PROGRAM               308,746       361,044       -14.5
CWTR     COLDWATER CREEK              4,493,542     5,253,062       -14.5
CINF     CINCINNATI FIN              10,293,950    12,031,523       -14.4
ALTR     ALTERA CORP                 13,430,090    15,677,446       -14.3
FLML     FLAMEL TECH-ADR                318,812       370,607       -14.0
ALTE     ALTERRA CAPITAL              3,164,373     3,676,580       -13.9
PMTI     PALOMAR MED TECH               814,493       946,230       -13.9
ZBRA     ZEBRA TECH CORP                569,124       659,684       -13.7
FFNW     FIRST FINANCIAL                317,185       367,210       -13.6
OCLR     OCLARO INC                   6,570,165     7,587,850       -13.4
HOTT     HOT TOPIC INC                2,704,606     3,122,640       -13.4
TSCO     TRACTOR SUPPLY               3,218,710     3,714,681       -13.4
AFFX     AFFYMETRIX INC               8,730,215    10,075,215       -13.3
OREX     OREXIGEN THERAPE             4,902,469     5,655,086       -13.3
MCBC     MACATAWA BANK                1,178,196     1,358,905       -13.3
SPMD     SUPERMEDIA INC               3,712,382     4,279,996       -13.3
PCAR     PACCAR INC                   6,797,550     7,835,083       -13.2
CATM     CARDTRONICS INC              1,195,778     1,378,212       -13.2
KSWS     K-SWISS INC-A                3,448,889     3,973,003       -13.2
SNPS     SYNOPSYS INC                 1,647,038     1,896,418       -13.2
KUTV     KU6 MEDIA-ADR                  594,858       684,903       -13.1
NVLS     NOVELLUS SYS                 9,176,543    10,552,950       -13.0
PETM     PETSMART INC                 2,722,913     3,130,579       -13.0
EXEL     EXELIXIS INC                13,832,936    15,897,053       -13.0
BNVI     BIONOVO INC                    394,084       450,935       -12.6
OPXT     OPNEXT INC                   1,716,149     1,961,943       -12.5
CRIC     CHINA REAL-ADR               1,300,798     1,483,860       -12.3
MAKO     MAKO SURGICAL                5,617,176     6,407,456       -12.3
CCIX     COLEMAN CABLE IN               516,878       589,461       -12.3
DAKT     DAKTRONICS INC               1,937,981     2,209,985       -12.3
LKQX     LKQ CORP                     2,067,025     2,354,856       -12.2
PANL     UNIVERSAL DISPLA             4,702,895     5,353,918       -12.2
GLDD     GREAT LAKES DRED             2,642,206     3,007,559       -12.1
BSDM     BSD MEDICAL                  2,545,894     2,897,705       -12.1
IMKTA    INGLES MARKETS-A               347,206       395,013       -12.1
CDII     CHINA DIRECT IND               648,305       737,495       -12.1
TRNX     TORNIER NV                     450,010       511,746       -12.1
GMET     GEOMET INC                     273,586       310,999       -12.0
SYMC     SYMANTEC CORP                7,971,309     9,059,292       -12.0
MXIM     MAXIM INTEGRATED             6,359,004     7,221,092       -11.9
KAMN     KAMAN CORP                   1,377,455     1,560,345       -11.7
INHX     INHIBITEX INC                3,021,295     3,421,894       -11.7
NVTL     NOVATEL WIRELESS             4,784,001     5,418,262       -11.7
CTXS     CITRIX SYSTEMS               4,070,179     4,597,614       -11.5
NXPI     NXP SEMICONDUCTO             1,303,120     1,471,085       -11.4
LVLT     LEVEL 3 COMM INC           172,640,343   194,621,347       -11.3
MTSC     MTS SYSTEMS CORP               461,191       519,714       -11.3
ABMD     ABIOMED INC                  2,019,028     2,274,446       -11.2
ALKS     ALKERMES INC                 5,629,476     6,340,760       -11.2
TELK     TELIK INC                      297,989       335,499       -11.2
RICK     RICKS CABARET                  214,724       241,748       -11.2
EDMC     EDUCATION MGMT               4,993,928     5,606,442       -10.9
SWIR     SIERRA WIRELESS              1,193,076     1,338,765       -10.9
FINL     FINISH LINE-A                4,755,090     5,331,943       -10.8
NTES     NETEASE.COM-ADR              2,534,570     2,835,337       -10.6
CERP     CEREPLAST INC                  380,177       425,236       -10.6
AEIS     ADV ENERGY INDS              1,656,653     1,851,732       -10.5
CAST     CHINACAST EDUCAT             8,754,954     9,781,536       -10.5
AUTC     AUTOCHINA INTERN               344,024       384,297       -10.5
XTEX     CROSSTEX ENERGY                202,656       226,335       -10.5
PDCO     PATTERSON COS                3,630,847     4,053,291       -10.4
USTR     UNITED STATIONER             2,458,608     2,742,314       -10.3
TTWO     TAKE-TWO INTERAC            10,356,507    11,544,431       -10.3
TIBX     TIBCO SOFTWARE               7,988,227     8,898,790       -10.2
PURE     PURE BIOSCIENCE              3,393,271     3,779,399       -10.2
QSFT     QUEST SOFTWARE               3,227,319     3,594,364       -10.2
CPNO     COPANO ENERGY-UN               736,658       820,173       -10.2
UTSI     UTSTARCOM INC                6,922,973     7,701,836       -10.1
SMOD     SMART MODULAR TE             2,370,732     2,636,516       -10.1
CAKE     CHEESECAKE FACTO             8,924,883     9,920,250       -10.0
IBCP     INDEP BANK/MICH                782,235       869,196       -10.0
CSTR     COINSTAR INC                10,854,519    12,057,295       -10.0
CLMS     CALAMOS ASSET-A                798,164       885,193        -9.8
DCOM     DIME COMM BNCSHS             1,328,268     1,472,853        -9.8
FULT     FULTON FINANCIAL             5,314,998     5,890,639        -9.8
AMGN     AMGEN INC                   18,451,099    20,437,690        -9.7
SHOR     SHORETEL INC                 1,994,279     2,208,755        -9.7
VRNM     VERENIUM CORP                  234,929       259,989        -9.6
FALC     FALCONSTOR SOFTW             1,274,923     1,410,568        -9.6
TFSL     TFS FINANCIAL CO             2,995,404     3,314,048        -9.6
DRYS     DRYSHIPS INC                17,335,483    19,168,178        -9.6
UCTT     ULTRA CLEAN HOLD             1,179,728     1,303,859        -9.5
CBLI     CLEVELAND BIOLAB             2,087,354     2,304,875        -9.4
DEER     DEER CONSUMER PR             2,740,583     3,025,680        -9.4
SHOO     STEVEN MADDEN                2,206,037     2,435,396        -9.4
QLIK     QLIK TECHNOLOGIE             1,671,170     1,844,653        -9.4
AMWD     AMER WOODMARK CO               354,566       391,248        -9.4
VPFG     VIEWPOINT FINANC               606,339       668,873        -9.3
STNR     STEINER LEISURE                478,802       527,934        -9.3
PRGS     PROGRESS SOFTWAR             2,641,142     2,911,850        -9.3
LLNW     LIMELIGHT NETWOR             7,023,731     7,742,980        -9.3
ASTM     AASTROM BIOSCIEN             2,955,150     3,257,360        -9.3
SCSS     SELECT COMFORT C             2,866,347     3,158,741        -9.3
SEED     ORIGIN AGRITECH                736,846       811,949        -9.2
BGFV     BIG 5 SPORTING                 633,171       697,379        -9.2
WERN     WERNER ENT                   4,314,315     4,749,143        -9.2
HIMX     HIMAX TECHNO-ADR               277,643       305,431        -9.1
RVBD     RIVERBED TECHNOL             8,648,059     9,512,239        -9.1

*-- Data includes ETF positions.

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