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2017 48th Week  ·  Commitments of Traders  ·  Net Position Changes Data



Names Date All Long Short Spread                     
OIL 2017/11/21 -115423 -36580 -17192 -25723 -36580 -17192 -25723
XAU 2017/11/21 -1442 1438 -5305 -7510 +1438 -5305 -7510
CAD 2017/11/21 -245 -3149 -939 4 -3149 -939 +4
CHF 2017/11/21 1245 1351 3108 -264 +1351 +3108 -264
GBP 2017/11/21 -888 5211 978 -1039 +5211 +978 -1039
JPY 2017/11/21 -22609 -4965 -18362 -1459 -4965 -18362 -1459
USD 2017/11/21 -6291 -5177 -1361 -574 -5177 -1361 -574
EUR 2017/11/21 -2535 -4114 -14965 184 -4114 -14965 +184
NZD 2017/11/21 6047 4343 5846 -448 +4343 +5846 -448
AUD 2017/11/21 6878 4979 9194 -51 +4979 +9194 -51