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2018 11th Week  ·  Commitments of Traders  ·  Net Position Changes Data


Names Date All Long Short Spread                     
OIL 2018/3/13 -48330 -15734 2240 -69515 -15734 +2240 -69515
XAU 2018/3/13 18662 -11156 4719 19902 -11156 +4719 +19902
CAD 2018/3/13 15160 5686 5831 2779 +5686 +5831 +2779
CHF 2018/3/13 872 -755 -2660 1565 -755 -2660 +1565
GBP 2018/3/13 8712 5822 3059 -436 +5822 +3059 -436
JPY 2018/3/13 2344 -5761 -13067 -210 -5761 -13067 -210
USD 2018/3/13 -1719 -1853 -2821 739 -1853 -2821 +739
EUR 2018/3/13 27229 12099 -1309 12548 +12099 -1309 +12548
NZD 2018/3/13 7518 1598 4444 -265 +1598 +4444 -265
AUD 2018/3/13 422 -9103 -5189 2009 -9103 -5189 +2009