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BVFL · BV Financial, Inc. · Short Interest

Track BVFL — free
$21.47 +0.24 (+1.13%) At close · Oct 5
Market Cap
$179.75M
Shares
8.47M
Volume · Oct 5 21.7K Avg daily vol (3M) 15.81K

Shares sold short and not yet covered, reported twice monthly. Days to cover is the reported short position divided by average daily volume.

BVFL Latest Reported Short Interest

FINRA reported 128,445 BVFL shares sold short as of the September 15, 2026 settlement date, a decrease of 25,099 shares. Days to cover was 7.31 based on FINRA's reported average daily volume.

Official FINRA short-interest data · share counts are restated for subsequent splits of this listing

Short Squeeze Score
57/100
Short interest 1.5% of shares — P44 Days to cover 7.3 — P79 Price vs VWAP -0.1% — P71 Short-volume trend +18.8% — P93 Short interest change -16.3% — P16 Worst FTD 0.00% of shares — P16

Positioning score 56.8 + catalyst boost 0 (total capped at 100). This is a screening index, not a probability of a squeeze.

Method and coverage limits

Factor percentiles compare eligible primary operating-company stocks reporting short interest at the latest settlement date (2026-09-15). The weighted mean uses short interest 30%, days to cover 20%, price vs VWAP 15%, short-volume trend 15%, short-interest change 10%, and fails-to-deliver 10%. Missing factors redistribute their weight; incomplete coverage is not evidence of low risk. Price, volume, and earnings boosts add 10 each, capped at 20.

Shares outstanding are not free float. Borrow fees, utilization, lendable supply, recalls, and dealer inventory are not measured. Short-sale volume does not measure the change in open shorts; fails to deliver are not a borrow-cost measurement; price vs VWAP does not establish short sellers' entry prices. Earnings can move prices in either direction.

The weights are judgment-based, not calibrated to future squeeze outcomes. The separate options assessment below does not change this universe ranking.

Options positioning & squeeze sensitivity

Nearest expiration after today within 30 calendar days; same-day expirations and later maturities are excluded.

No active listed options were found.

Open interest has both a buyer and a seller; it does not reveal dealer hedge direction. Gross gamma sums both calls and puts without netting and uses a local 1% price-change approximation. It measures sensitivity, not predicted buying or a squeeze probability.

Assessment prepared 2026-10-06 01:43 UTC. Options model values may come from a cached snapshot; their original computation time is not supplied. Open interest has its own effective date.

Short Interest History

Settlement Date Current Position Previous Position Change Days to Cover
2026-10-15 Scheduled
FINRA publishes Oct 26
— — — —
2026-09-30 Scheduled
FINRA publishes Oct 9
— — — —
2026-09-15 128,445 153,544 -25,099 7.31
2026-08-31 153,544 116,724 +36,820 13.86
2026-08-14 116,724 106,884 +9,840 10.56
2026-07-31 106,884 108,060 -1,176 6.55
2026-07-15 108,060 103,419 +4,641 9.03
2026-06-30 103,419 111,822 -8,403 2.75
2026-06-15 111,822 113,491 -1,669 3.70
2026-05-29 113,491 111,132 +2,359 8.99
2026-05-15 111,132 120,890 -9,758 9.90
2026-04-30 120,890 128,428 -7,538 11.09
2026-04-15 128,428 145,023 -16,595 6.63
2026-03-31 145,023 157,270 -12,247 5.34
2026-03-13 157,270 136,105 +21,165 10.55
2026-02-27 136,105 118,345 +17,760 13.82
2026-02-13 118,345 122,874 -4,529 7.29
2026-01-30 122,874 129,902 -7,028 10.63
2026-01-15 129,902 143,906 -14,004 10.97
2025-12-31 143,906 192,090 -48,184 7.11
2025-12-15 192,090 200,796 -8,706 9.85
2025-11-28 200,796 192,461 +8,335 8.68
2025-11-14 192,461 180,581 +11,880 8.71
2025-10-31 180,581 171,705 +8,876 2.62
2025-10-15 171,705 198,572 -26,867 9.40

Full FINRA short interest reporting calendar

Showing 1–23 of 23 settlements
Key facts CIK 1302387 CUSIP 05603E208 13F (30d) 1 filings 1 filers Visit website Investor relations