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2017 47th Week  ·  Commitments of Traders  ·  Net Position Changes Data


Names Date All Long Short Spread                     
OIL 2017/11/14 25593 19995 -31265 46571 19995 -31265 46571
XAU 2017/11/14 -3789 -1075 -369 -3033 -1075 -369 -3033
CAD 2017/11/14 -3865 -4987 -1433 -477 -4987 -1433 -477
CHF 2017/11/14 2545 -98 2775 116 -98 2775 116
GBP 2017/11/14 -1241 2744 -1921 1667 2744 -1921 1667
JPY 2017/11/14 -4308 -4989 3162 1112 -4989 3162 1112
USD 2017/11/14 -5574 -4358 -1382 -395 -4358 -1382 -395
EUR 2017/11/14 21340 18688 19557 -183 18688 19557 -183
NZD 2017/11/14 1618 -797 -93 541 -797 -93 541
AUD 2017/11/14 901 -1989 -584 264 -1989 -584 264