CFTC Commitments of Traders - week ending April 15

The Commodity Futures Trading Commission released its weekly Commitments of Traders report for the week ending April 15 on Friday.




Speculative positioning in the CME currency futures:

LongShort
NetPriorChangeGrossChangeGrossChange
EUR27.7k23.3k4.4k106.3k13.6k78.6k9.2k
GBP50.6k46.5k4.1k87.5k-4.2k36.9k-8.3k
JPY-68.7k-87.5k18.7k14.4k1.0k83.1k-17.7k
CHF14.1k11.3k2.7k23.9k4.6k9.8k1.9k
CAD-35.4k-34.3k-1.1k28.3k-0.4k63.7k0.7k
AUD8.1k3.3k4.8k40.5k2.8k32.4k-2.0k
NZD19.8k19.8k0.1k26.7k0.2k6.8k0.1k
MXN54.2k56.5k-2.3k71.0k0.7k16.8k2.9k