As suggested in the CFTC Commitments of Traders report in the week ended June 30, NET SHORT for USD Index futures dropped -339 to 4 975 contracts. Speculative long positions decreased +857 contracts and short positions declined -2 180 contracts. Bets on both sides fell as the market remained directionless. Concerning European currencies, NET LENGTH in EUR futures slumped -19 493 contracts to 98 955. NET SHORT for GBP futures gained +2 474 contracts to 20 990 for the week.