As suggested in the CFTC Commitments of Traders report in the week ended June 22, NET SHORT of USD index futures decreased -1 793 contracts. Speculative long positions slipped -1 114 contracts while shorts were down -2 907 contracts. The greenback gained ground after the Fed turned more hawkish in the June meeting. Concerning European currencies, NET LENGTH in EUR futures sank -29 129 contracts to 89 057. NET LENGTH of GBP futures plunged -14 243 contracts to 17 927.