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HMRZF · H&M Hennes & Mauritz AB · Short Interest

Track HMRZF — free
$18.56 At close · Sep 23
Market Cap
$29.63B
Shares
1.60B
Volume · Sep 23 100 Avg daily vol (10 sessions) 440

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

HMRZF Latest Reported Short Interest

FINRA reported 20,203,359 HMRZF shares sold short as of the September 15, 2026 settlement date, an increase of 171,773 shares. Days to cover is unavailable because FINRA reported no usable average daily volume.

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

Short Squeeze Score
39/100
Short interest 1.3% of shares — P42 Short-volume trend 0.0% — P45 Short interest change +0.9% — P49 Worst FTD 0.00% of shares — P7

Positioning score 38.7 + 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.

A complete options reference is unavailable.

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 2026-10-04 03:18 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 20,203,359 20,031,586 +171,773 —
2026-08-31 20,031,586 20,090,326 -58,740 999+
2026-08-14 20,090,326 20,248,674 -158,348 999+
2026-07-31 20,248,674 20,261,080 -12,406 999+
2026-07-15 20,261,080 18,883,636 +1,377,444 999+
2026-06-30 18,883,636 18,539,405 +344,231 999+
2026-06-15 18,539,405 18,078,374 +461,031 999+
2026-05-29 18,078,374 17,757,285 +321,089 999+
2026-05-15 17,757,285 15,343,481 +2,413,804 999+
2026-04-30 15,343,481 14,952,601 +390,880 999+
2026-04-15 14,952,601 15,277,382 -324,781 999+
2026-03-31 15,277,382 13,759,622 +1,517,760 999+
2026-03-13 13,759,622 13,586,870 +172,752 —
2026-02-27 13,586,870 14,431,629 -844,759 999+
2026-02-13 14,431,629 13,618,486 +813,143 999+
2026-01-30 13,618,486 13,139,206 +479,280 999+
2026-01-15 13,139,206 12,994,324 +144,882 999+
2025-12-31 12,994,324 13,653,494 -659,170 999+
2025-12-15 13,653,494 13,686,968 -33,474 999+
2025-11-28 13,686,968 12,650,157 +1,036,811 999+
2025-11-14 15,434,933 12,959,490 +2,475,443 999+
2025-10-31 12,959,490 12,985,696 -26,206 999+
2025-10-15 12,985,696 13,363,304 -377,608 999+

Full FINRA short interest reporting calendar

Showing 1–23 of 23 settlements