As suggested in the CFTC Commitments of Traders report in the week ended January 26, NET SHORT of USD Index futures added +442 contracts to 14 719. Speculative long positions slipped -71 contracts, and short positions increased +371 contracts. Bets on both sides were limited as traders doubted how long greenback’s recovery will last. Concerning European currencies, NET LENGTH in EUR futures increased +1 878 contracts to 165 344. NET LENGTH of GBP futures dropped -5 740 contract to 7 965.