Already a Bloomberg.com user?
Sign in with the same account.
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