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2018 17th Week  ·  Commitments of Traders  ·  Net Position Changes Data


Names Date All Long Short Spread                     
OIL 2018/4/24 -21758 -11095 4613 -11978 -11095 +4613 -11978
XAU 2018/4/24 -3819 -11484 14939 1854 -11484 +14939 +1854
CAD 2018/4/24 -7768 -5016 -10196 -219 -5016 -10196 -219
CHF 2018/4/24 11992 4409 4113 10 +4409 +4113 +10
GBP 2018/4/24 -21697 -23066 -12729 450 -23066 -12729 +450
JPY 2018/4/24 7918 9820 11828 1235 +9820 +11828 +1235
USD 2018/4/24 -2495 -1364 -1998 -143 -1364 -1998 -143
EUR 2018/4/24 -14878 -21885 -1003 2662 -21885 -1003 +2662
NZD 2018/4/24 -6052 -7322 -4153 246 -7322 -4153 +246
AUD 2018/4/24 22925 19748 12989 -991 +19748 +12989 -991