Largest Nasdaq Short Interest Percent Decreases as of June 15
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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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