CFTC Commitments of Traders - week ending April 8

The Commodity Futures Trading Commission released its weekly Commitments of Traders report for the week ending April 8 on Friday.




Speculative positioning in the CME currency futures:

LongShort
NetPriorChangeGrossChangeGrossChange
EUR23.3k33.2k-9.9k92.6k-9.2k69.3k0.7k
GBP46.5k33.6k12.9k91.6k15.7k45.2k2.8k
JPY-87.5k-88.6k1.2k13.3k-8.8k100.8k-10.0k
CHF11.3k14.2k-2.9k19.3k-5.5k7.9k-2.6k
CAD-34.3k-37.0k2.7k28.7k1.2k63.0k-1.5k
AUD3.3k-4.9k8.2k37.6k2.2k34.3k-6.0k
NZD19.8k18.5k1.3k26.5k0.8k6.8k-0.5k
MXN56.5k21.8k34.7k70.4k20.5k13.9k-14.2k