Bloomberg News

Largest NYSE Short Interest Ratios as of Nov. 15

November 30, 2012

The following are the 200 largest short interest ratios on the New York Stock Exchange as of the Nov. 15 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                             Avg. Daily    Days To   
Symbol   Company                        Nov. 15      Volume       Cover   
=============================================================================
RKH      MARKET VECTORS B               801,508       8,083        99.2
TU       TELUS CORP-NON V             7,177,309      79,521        90.3
MEG      MEDIA GENERAL-A              4,399,163      63,849        68.9
ETM      ENTERCOM COMM-A              3,349,773      53,066        63.1
DYN/WS   DYNEGY INC-CW17              1,099,408      18,177        60.5
PPO      POLYPORE INTERNA            15,322,279     298,180        51.4
MANU     MANCHESTER UNI-A             3,374,721      67,827        49.8
CM       CAN IMPL BK COMM             4,575,169      93,334        49.0
DEXO     DEX ONE CORP                 9,714,866     203,409        47.8
GSH      GUANGSHEN RA-ADR             1,142,006      25,542        44.7
KBWR     POWERSHARES KBW                200,529       4,617        43.4
RCI      ROGERS COMMUNI-B            10,644,248     249,111        42.7
BPZ      BPZ RESOURCES IN            17,988,659     425,143        42.3
HBM      HUDBAY MINERALS                598,584      14,441        41.5
IHC      INDEP HLDG CO                  253,766       6,510        39.0
MNI      MCCLATCHY CO-A              14,389,970     370,433        38.8
NPK      NATL PRESTO INDS               814,056      21,071        38.6
AM       AMER GREETINGS-A            14,844,087     394,635        37.6
ACH      ALUMINUM COR-ADR             4,342,007     118,428        36.7
TR       TOOTSIE ROLL IND             3,005,825      83,260        36.1
MILL     MILLER ENERGY RE             9,373,543     260,186        36.0
CBZ      CBIZ INC                     5,765,177     162,264        35.5
QUAD     QUAD GRAPHICS IN             6,815,628     192,812        35.3
LRN      K12 INC                     10,376,380     296,284        35.0
BCH      BANCO CHILE-ADR                559,094      16,009        34.9
PPH      MARKET VECTORS P             1,838,690      53,591        34.3
RM       REGIONAL MANAGEM               598,220      17,703        33.8
AMBO     AMBOW EDUCAT-ADR               733,537      22,569        32.5
JKS      JINKOSOLAR-ADR               1,634,797      50,450        32.4
CCSC     COUNTRY-SPON ADR               508,047      16,157        31.4
BBX      BBX CAPITAL CORP               552,627      17,615        31.4
TRI      THOMSON REUTERS             25,940,177     836,835        31.0
RBA      RITCHIE BROS                18,946,665     614,469        30.8
MLR      MILLER INDS/TENN               671,381      22,322        30.1
ZZ       SEALY CORP                  18,024,498     618,413        29.1
RSE      ROUSE PROPER                 4,453,842     153,679        29.0
CBU      COMMUNITY BANK S             2,953,864     102,728        28.8
RLD      REALD INC                   10,355,421     360,463        28.7
UVV      UNIVERSAL CORP               3,266,904     117,411        27.8
JOE      ST JOE CO                   16,651,026     601,206        27.7
AOI      ALLIANCE ONE INT             4,712,413     170,685        27.6
BCA      CORPBANCA SA-ADR               395,082      14,368        27.5
GIB      CGI GROUP INC-A              3,961,853     145,080        27.3
BORN     CHINA NEW BO-ADR               803,059      29,734        27.0
RY       ROYAL BANK OF CA            13,669,218     510,787        26.8
TAC      TRANSALTA CORP               1,921,344      74,376        25.8
CHT      CHUNGHWA TEL-ADR             4,463,194     173,156        25.8
ACO      AMCOL INTL CORP              2,539,936      99,736        25.5
EXAM     EXAMWORKS GROUP              3,632,661     145,934        24.9
BGG      BRIGGS & STRATTN             9,314,063     375,280        24.8
CAS      CASTLE (AM)                  4,732,215     190,889        24.8
CVO      CENVEO INC                  10,817,750     441,135        24.5
SNN      SMITH & NEPH-ADR             1,163,430      47,629        24.4
VCI      VALASSIS COMM               10,718,104     438,841        24.4
RFP      RESOLUTE FOREST             13,407,820     555,322        24.1
DQ       DAQO NEW ENE-ADR               444,100      18,465        24.1
USU      USEC INC                    20,308,617     845,817        24.0
CGA      CHINA GREEN AGRI             1,506,655      63,217        23.8
RSH      RADIOSHACK CORP             36,891,164   1,551,556        23.8
SNX      SYNNEX CORP                  3,000,254     127,887        23.5
OIBR     OI SA-ADR                   36,087,481   1,546,018        23.3
ALSN     ALLISON TRANSMIS             9,523,095     413,715        23.0
CVOL     C-TRACKS ETN VOL             1,049,146      45,743        22.9
TRQ      TURQUOISE HILL R            36,323,517   1,596,949        22.7
GTY      GETTY REALTY                 3,259,194     143,537        22.7
SAM      BOSTON BEER-A                2,913,935     130,309        22.4
DLX      DELUXE CORP                  5,866,380     263,402        22.3
SJR      SHAW COMM-B                  3,272,321     149,151        21.9
HNR      HARVEST NATURAL              5,817,024     265,805        21.9
PKY      PARKWAY PPTYS/MD             2,071,546      95,963        21.6
CIA      CITIZENS INC                 1,323,201      61,898        21.4
MDP      MEREDITH CORP                7,230,417     345,576        20.9
SYX      SYSTEMAX INC                   533,098      25,842        20.6
TCL      TATA COMMUNI-ADR               261,426      12,704        20.6
PRIS     PRISA A-ADR                    725,489      35,347        20.5
FSL      FREESCALE SEMICO            12,667,838     623,766        20.3
STRI     STR HOLDINGS INC             5,254,590     260,802        20.1
GY       GENCORP INC                  9,115,350     454,219        20.1
IMAX     IMAX CORP                   13,958,251     697,792        20.0
AHT      ASHFORD HOSPITAL             5,614,170     282,205        19.9
HRG      HARBINGER GROUP              1,663,368      83,615        19.9
OPK      OPKO HEALTH                 32,320,163   1,636,147        19.8
BKU      BANKUNITED INC               1,990,539     100,896        19.7
SN       SANCHEZ ENERGY C             3,655,491     185,649        19.7
ADS      ALLIANCE DATA                9,881,180     504,427        19.6
REN      RESOLUTE ENERGY              6,191,330     317,390        19.5
IAI      ISHARES-DJ BR DL               325,001      16,671        19.5
HZO      MARINEMAX INC                  995,471      51,140        19.5
EWQ      ISHARES-FRANCE               6,511,460     338,935        19.2
CHH      CHOICE HOTELS                3,196,017     166,422        19.2
EPR      EPR PROPERTIES               3,580,550     186,486        19.2
LTM      LIFE TIME FITNES             6,808,134     356,370        19.1
CRR      CARBO CERAMICS               5,358,615     283,361        18.9
RST      ROSETTA STONE IN             1,119,185      59,298        18.9
SVU      SUPERVALU INC               85,033,552   4,531,609        18.8
FIX      COMFORT SYSTEMS              1,123,741      60,148        18.7
TUC      MAC-GRAY CORP                  258,183      14,152        18.2
SWY      SAFEWAY INC                 79,533,455   4,383,587        18.1
TWI      TITAN INTL INC              10,360,933     575,141        18.0
AF       ASTORIA FINL                10,076,388     559,726        18.0
HEK      HECKMANN CORP               44,326,986   2,486,777        17.8
BPI      BRIDGEPOINT EDUC             5,328,757     299,300        17.8
RGC      REGAL ENTERTAI-A            23,007,104   1,294,628        17.8
WPO      WASHINGTON POS-B               602,954      34,053        17.7
LDR      LANDAUER INC                   272,876      15,415        17.7
LNN      LINDSAY CORP                 1,472,736      83,584        17.6
TAN      GUGGENHEIM SOLAR               687,736      39,172        17.6
CRD/B    CRAWFORD & CO-B                720,190      41,518        17.3
SQNS     SEQUANS COMM-ADR             1,097,683      63,300        17.3
RES      RPC INC                     12,694,605     732,097        17.3
NR       NEWPARK RESOURCE             8,851,392     516,128        17.1
CHE      CHEMED CORP                  2,841,063     165,893        17.1
HNI      HNI CORP                     2,159,131     126,980        17.0
DYN      DYNEGY INC                   5,488,848     323,014        17.0
NOAH     NOAH HOLDING-ADS               447,910      26,560        16.9
AIN      ALBANY INTL CORP             1,706,339     101,189        16.9
PB       PROSPERITY BNCSH             5,504,496     327,720        16.8
ARX      AEROFLEX HOLDING             1,152,971      69,044        16.7
LFL      LATAM AIRLIN-ADR             4,728,410     284,155        16.6
AH       ACCRETIVE HEALTH            10,540,532     639,966        16.5
CNCO     CENCOSUD - ADR               1,147,769      70,069        16.4
FCF      FIRST COMMON FIN             6,223,374     380,580        16.4
FPO      FIRST POTOMAC RE             3,233,708     197,854        16.3
MN       MANNING & NAPIER               593,709      36,743        16.2
CACI     CACI INTL-A                  4,027,251     250,544        16.1
PBNY     PROVIDENT NEW YO             1,364,820      85,011        16.1
AEL      AMER EQUITY INVT             8,630,211     539,931        16.0
EGL      ENGILITY HOLDING             1,943,892     121,642        16.0
NFP      NATIONAL FINANCI             4,906,851     309,650        15.8
VLY      VALLEY NATL BANC            20,865,639   1,324,640        15.8
BKS      BARNES & NOBLE              13,336,254     847,288        15.7
KND      KINDRED HEALTHCA             4,568,279     293,119        15.6
HEI      HEICO CORP                   2,139,242     137,320        15.6
FNB      FNB CORP                     9,158,157     587,943        15.6
WWE      WORLD WRESTLIN-A             3,039,237     196,116        15.5
ARP      ATLAS RESOURCE P               410,986      26,604        15.4
KRE      SPDR S&P REG BAN            38,165,799   2,509,915        15.2
RGS      REGIS CORP                   9,151,864     602,758        15.2
IHI      ISHARES-DJ MED D               577,961      38,071        15.2
TRR      TRC COS INC                    352,624      23,244        15.2
GWAY     GREENWAY MEDICAL             2,105,585     139,219        15.1
HVB      HUDSON VALL HLDG               429,598      28,427        15.1
RBN      ROBBINS & MYERS              2,914,865     192,951        15.1
ITC      ITC HOLDINGS COR             4,788,227     317,417        15.1
FET      FORUM ENERGY TEC             4,870,506     324,188        15.0
CIS      CAMELOT INFO-ADR               913,766      60,841        15.0
SFE      SAFEGUARD SCIENT             1,298,382      86,458        15.0
GFF      GRIFFON CORP                 1,936,767     129,288        15.0
WCN      WASTE CONNECTION             7,759,028     521,195        14.9
ADY      FEIHE INTERNATIO             1,219,575      82,028        14.9
OPY      OPPENHEIMER HO-A               372,205      25,055        14.9
BHLB     BERKSHIRE HILLS                897,508      60,561        14.8
CTS      CTS CORP                       830,513      56,645        14.7
ARB      ARBITRON INC                 1,679,150     115,210        14.6
KEX      KIRBY CORP                   4,651,201     320,828        14.5
ETH      ETHAN ALLEN                  5,135,694     354,391        14.5
MTN      VAIL RESORTS                 2,847,140     196,868        14.5
SJW      SJW CORP                       283,382      19,699        14.4
CNS      COHEN & STEERS               3,249,314     227,967        14.3
GNK      GENCO SHIPPING &             6,741,986     473,782        14.2
USNA     USANA HEALTH SCI             4,141,578     292,104        14.2
LUB      LUBY'S INC                     408,880      28,943        14.1
DFT      DUPONT FABROS TE             9,729,886     691,863        14.1
CNO      CNO FINANCIAL GR            21,395,816   1,525,756        14.0
ONE      HIGHER ONE HOLD             10,762,638     772,376        13.9
XPO      XPO LOGISTICS IN             3,687,562     265,559        13.9
ORA      ORMAT TECHNOLOGI             1,579,636     113,971        13.9
WIT      WIPRO LTD-ADR                6,233,138     449,743        13.9
IOC      INTEROIL CORP               10,091,771     728,617        13.9
RAS      RAIT FINANCIAL T             4,472,619     324,635        13.8
USL      US 12-MO OIL LP                440,600      32,214        13.7
RLI      RLI CORP                       856,773      62,673        13.7
HXM      DESARROLLADO-ADR             4,934,890     361,787        13.6
MLM      MARTIN MAR MTLS              6,356,461     466,658        13.6
IGM      ISHARES S&P NATS               364,995      26,884        13.6
CDR      CEDAR REALTY TRU             3,773,134     279,453        13.5
CBB      CINCINNATI BELL             26,333,323   1,980,157        13.3
BXS      BANCORPSOUTH INC             6,365,447     479,762        13.3
ANW      AEGEAN MARINE PE             1,978,946     149,323        13.3
P        PANDORA MEDIA IN            34,222,585   2,583,536        13.2
GFIG     GFI GROUP INC                2,559,508     193,356        13.2
VRS      VERSO PAPER CORP               501,581      38,053        13.2
BFR      BBVA BANCO F-ADR               528,472      40,150        13.2
WBS      WEBSTER FINL                 5,057,412     384,232        13.2
STL      STERLING BANCORP               810,053      61,584        13.2
TY       TRI-CONTL CORP                 958,036      72,911        13.1
HLF      HERBALIFE LTD               16,977,740   1,292,419        13.1
PBY      PEP BOYS MM&J                6,482,610     493,712        13.1
JNJ      JOHNSON&JOHNSON            130,813,887  10,013,217        13.1
ACCO     ACCO BRANDS CORP            13,121,407   1,011,462        13.0
PXE      POWERSH-EN EX PR               241,935      18,685        12.9
DMD      DEMAND MEDIA INC             5,051,885     391,992        12.9
SOL      RENESOLA LTD-ADR             2,945,383     232,117        12.7
DEL      DELTIC TIMBER                  407,310      32,134        12.7
PNY      PIEDMONT NAT GAS             2,828,145     223,866        12.6
SIX      SIX FLAGS ENTERT             4,081,329     324,174        12.6
BGC      GEN CABLE CORP               5,317,883     423,922        12.5
DGI      DIGITALGLOBE INC             6,266,846     500,904        12.5
FFG      FBL FINL GROUP-A               483,184      38,736        12.5
DHX      DICE HOLDINGS IN             5,248,263     420,961        12.5

*-- Data includes ETF positions.

-- Bloomberg News

To contact Bloomberg News for this story: newsdev@bloomberg.net


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