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GAP Short Squeeze Risk Tracker: Data and Analysis

Last Updated: 2025-11-28

Access the latest GAP short interest history, Days to Cover (DTC) trend, and the proprietary Short Squeeze Score for risk assessment.

Short Squeeze Risk Assessment

GAP Short Squeeze Score

0.25

Low short squeeze potential. Selling pressure is manageable, and the stock is not a primary target.

The Squeeze Score quantifies the current short squeeze risk by analyzing short interest, Days to Cover, and market liquidity. Use this score to quickly identify the most shorted stocks with the highest squeeze potential.

  • 0.0–0.2: Very low short squeeze risk.
  • 0.2–0.4: Low short squeeze potential.
  • 0.4–0.6: Moderate short squeeze risk.
  • 0.6–0.8: High short squeeze risk.
  • 0.8–1.0: Extreme short squeeze risk.

Short Interest Ratio (% of Float)

10.32%

The Short Interest Ratio (or % of Float) is the most critical metric for identifying the most shorted stocks. It reflects the percentage of available trading shares currently sold short.

Interpretation:

  • 0%–5%: Very low short interest, minimal squeeze risk.
  • 5%–10%: Moderate short interest, watch for trends.
  • 10%–20%: High short interest, potential for squeeze.
  • >20%: Extremely high, short squeeze risk elevated.

Key Short Selling Metrics

Total Short Interest Shares
20,212,742
Shares sold short as of 2025-11-28

High short interest, indicating significant bearish sentiment.

Days to Cover (DTC)
1.72

Short interest ÷ average daily volume.

Covering short positions would take less than 2 days, suggesting ease of covering.

Bi-weekly Change in Short Interest
-3.13%
-653378
Vs previous report.

Decrease in short interest, signaling reduced selling pressure.

Historical Data Coverage
31

Bi-weekly observations in the stored history.

High coverage with extensive historical data, trends are more reliable for analysis.

Short Interest Historical Charts

Explore the short interest trend, bi-weekly changes, and Days to Cover (DTC). Use the range selector to view different historical windows.

Short Interest (Total Shares)


Bi-Weekly Change (%)


Days to Cover (DTC)

Full Short Interest History (FINRA Bi-Weekly)

Complete FINRA bi-weekly short interest history for GAP.
This table includes total short interest, prior period values, percentage change,average daily volume, and Days to Cover (DTC), a key indicator of potential short squeeze risk.
Date Short Interest Prior Change % Change # Avg Volume DTC
2025-11-28 20,212,742 20,866,120 -3.13% -653,378 11,750,196 1.72
2025-11-14 20,866,120 22,001,881 -5.16% -1,135,761 8,799,695 2.37
2025-10-31 22,001,881 20,511,099 7.27% 1,490,782 8,530,696 2.58
2025-10-15 20,511,099 21,188,878 -3.20% -677,779 7,876,197 2.60
2025-09-30 21,188,878 23,353,899 -9.27% -2,165,021 9,280,030 2.28
2025-09-15 23,353,899 22,982,409 1.62% 371,490 11,802,501 1.98
2025-08-29 22,982,409 21,235,689 8.23% 1,746,720 12,607,631 1.82
2025-08-15 21,235,689 22,268,307 -4.64% -1,032,618 6,962,149 3.05
2025-07-31 22,268,307 19,725,225 12.89% 2,543,082 7,509,476 2.97
2025-07-15 19,725,225 15,886,319 24.16% 3,838,906 8,967,080 2.20
2025-06-30 15,886,319 14,434,653 10.06% 1,451,666 7,867,411 2.02
2025-06-13 14,434,653 14,035,263 2.85% 399,390 12,352,868 1.17
2025-05-30 14,035,263 23,246,262 -39.62% -9,210,999 17,831,406 1.00
2025-05-15 23,246,262 23,926,057 -2.84% -679,795 7,671,030 3.03
2025-04-30 23,926,057 26,998,080 -11.38% -3,072,023 6,875,082 3.48
2025-04-15 26,998,080 22,739,410 18.73% 4,258,670 13,835,805 1.95
2025-03-31 22,739,410 24,743,171 -8.10% -2,003,761 10,323,123 2.20
2025-03-14 24,743,171 25,545,633 -3.14% -802,462 13,610,338 1.82
2025-02-28 25,545,633 28,115,133 -9.14% -2,569,500 6,383,890 4.00
2025-02-14 28,115,133 27,170,031 3.48% 945,102 4,302,210 6.54
2025-01-31 27,170,031 30,597,498 -11.20% -3,427,467 4,251,798 6.39
2025-01-15 30,597,498 30,207,419 1.29% 390,079 4,281,215 7.15
2024-12-31 30,207,419 27,981,426 7.96% 2,225,993 4,636,080 6.52
2024-12-13 27,981,426 27,303,059 2.48% 678,367 6,185,245 4.52
2024-11-29 27,303,059 30,829,547 -11.44% -3,526,488 12,448,146 2.19
2024-11-15 30,829,547 32,815,390 -6.05% -1,985,843 4,500,750 6.85
2024-10-31 32,815,390 29,892,685 9.78% 2,922,705 3,761,874 8.72
2024-10-15 29,892,685 28,335,163 5.50% 1,557,522 4,137,826 7.22
2024-09-30 28,335,163 24,011,339 18.01% 4,323,824 5,692,263 4.98
2024-09-13 24,011,339 26,431,440 -9.16% -2,420,101 6,373,735 3.77
2024-08-30 26,431,440 29,970,826 -11.81% -3,539,386 7,197,795 3.67

Frequently Asked Questions (FAQ)

What is short interest?

Short interest represents the number of shares sold short but not yet covered. It reflects bearish sentiment and short-selling pressure.

What does Short Interest % of Float mean?

This metric indicates what percentage of a company’s tradable float is currently held as short positions. Higher percentages imply stronger short pressure.

What is considered high short interest?

Typically:
5%–10%: Moderate
10%–20%: High
20%+: Extremely high with elevated squeeze risk

What is a short squeeze?

A short squeeze occurs when short sellers rush to cover their positions as the stock price rises, accelerating the upward movement.

What is Days to Cover (DTC)?

Days to Cover equals short interest divided by average daily trading volume. Higher DTC means shorts need more time to exit their positions.

What level of Days to Cover is risky?

<2 days: Low risk
2–5 days: Moderate
5+ days: High squeeze potential
7–10 days: Extreme risk zone

What causes a short squeeze?

Common triggers include strong earnings, breakouts, upgrades, high volume, low float, or extreme short interest combined with rising prices.

What is a Short Squeeze Score?

It is a composite rating reflecting squeeze risk using short interest, DTC, liquidity, and momentum factors.

Can a stock with low short interest still squeeze?

Yes. Low float or sudden momentum can still trigger squeezes, though the probability is lower than highly shorted stocks.

How often is short interest updated?

FINRA updates short interest twice each month (bi-weekly). Market platforms refresh once the data is released.

Does short interest data get delayed during a U.S. government shutdown?

FINRA is not a government agency, so its operations do not stop during a federal shutdown. However, short interest data can still be delayed indirectly because the reporting and regulatory infrastructure involves broker-dealers and certain SEC processes.

During prolonged shutdowns, minor delays have occurred historically, but FINRA generally continues releasing bi-weekly short interest updates with minimal disruption.

Are short squeezes predictable?

You can identify high-risk conditions, but timing is inherently uncertain. A squeeze requires both high short interest and positive momentum.

Does high short interest guarantee a squeeze?

No. High short interest often reflects negative fundamental expectations and may not result in a squeeze if price pressure does not rise.

Is GAP currently a highly shorted stock?

This depends on the latest Short Interest % of Float shown above. Levels above 10% are considered high, while above 20% are extremely elevated.

What is the current short squeeze risk for GAP?

The Short Squeeze Score at the top of this page provides a real-time assessment of squeeze probability for GAP.

Is GAP a potential short squeeze candidate?

If GAP has high short interest, elevated DTC, or strong upward momentum, the risk of a squeeze increases significantly.

What is the Days to Cover for GAP?

The DTC value for GAP displayed above reflects how long it may take short sellers to exit their positions.

What is the short interest trend for GAP?

The bi-weekly short interest history on this page shows whether bearish positioning in GAP is increasing or decreasing.

Has short interest in GAP increased recently?

The “Change in Short Interest” indicator above reports the most recent change from the previous FINRA update.

What short interest level is considered risky for GAP?

Typically, squeeze risk for GAP becomes elevated when short interest exceeds 10%–20% of float.

How does GAP compare to other heavily shorted stocks?

The Short Squeeze Score allows direct comparison between GAP and other high-SI stocks in the market.

What historical short interest data is available for GAP?

This dashboard includes all available bi-weekly FINRA short interest records for GAP.

Does GAP have low float or liquidity risks?

Low float or poor liquidity magnifies squeeze potential. These attributes indirectly influence GAP’s Short Squeeze Score.

How often is GAP’s short interest updated?

GAP’s short interest is refreshed with each new FINRA bi-weekly update.

What events could trigger a squeeze in GAP?

Potential triggers include positive earnings, analyst upgrades, high-volume breakouts, or unexpected catalysts that push GAP sharply upward.