As suggested in the CFTC Commitments of Traders report in the week ended January 21. NET LENGTH in USD Index slipped -323 contracts to 12 940. Speculative long positions were down -256 contracts and short positions added +67 contracts. Concerning European currencies, NET SHORT for EUR futures dropped -1 163 contracts to 47 019. NET LENGTH for GBP futures decreased -6 610 contracts to 24 922.

On safe-haven currencies, CHF futures drifted to NET LENGTH of 1 536 contracts. NET SHORT of JPY futures soared +13 271 contracts to 44 701. On commodity currencies, NET SHORT for AUD futures dropped -1 248 contracts to 19 301. Speculative long positions dropped -1 410 contracts while shorts were down -2 658 contracts. Separately, NET SHORT for NZD climbed higher, by +2 194 contracts, to 1 833 contracts last week. NET LENGTH for CAD futures gained +5 442 contracts to 38 294.

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