As urged within the CFTC Commitments of Merchants report within the week ended October Eight, NET LENGTH in USD Index declined -Three 169 contracts to 39 859. Speculative lengthy positions fell -Three 591 contracts and brief positions slipped -422 contracts. Regarding European currencies, NET SHORT for EUR futures jumped +9 435 contracts to 75 413. NET SHORT for GBP futures fell -Three 873 contracts to 73 219. Speculative lengthy positions gained +1 566 contracts whereas speculative shorts dropped -2 307. On safe-haven currencies, Web SHORT for CHF futures slipped -488 contracts to 11 047. NET LENGTH for JPY futures dropped -2 905 contracts to 11 012 throughout the week. Speculative lengthy positions declined -5 090 contracts whereas shorts had been down -2 185 contracts.
On commodity currencies, NET SHORT for AUD futures declined -5 358 contracts to 46 944. Speculative lengthy positions dropped -Three 581 contracts whereas shorts slumped -Eight 939 contracts. Individually, NET SHORT for NZD declined -Four 257 contracts to 38 217 contracts final week. NET LENGTH for CAD futures dropped -1 014 contracts to five 313.
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