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CFTC Commitments of Traders – Bets on US Dollar Trimmed on both Sides

As suggested in the CFTC Commitments of Traders report in the week ended November 5. NET LENGTH in USD Index slid -1 130 contracts to 28 379. Speculative long positions fell -2 200 contracts and short positions dropped -1 070 contracts. Concerning European currencies, NET SHORT for EUR futures gained +7 391 contracts to 60 746. NET SHORT for GBP futures dropped -3 380 contracts to 29 035. NET SHORT might increase in the coming week amidst a dovish BOE meeting in November.

On safe-haven currencies, Net SHORT for CHF futures gained +1 669 contracts to 14 153. NET SHORT of JPY futures gained +6 907 added contracts to 26 605. On commodity currencies, NET SHORT for AUD futures declined -13 493 contracts to 26 794. Speculative long positions rose 13 001 contracts while shorts dropped -492 contracts. Separately, NET SHORT for NZD dropped -1 438 contracts to 38 965 contracts last week. NET LENGTH for CAD futures jumped +10 413 contracts to 54 002.

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