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Latest Commitment of Traders positions (Equities and Bonds) as at June 4th 2019

CFTC commitment of traders report was released on Friday (7th June) and cover positions up to Tuesday (4th June). The COT report is not a complete presenter of entire market positions; however, it represents a good chunk of institutional traders, to feel what’s going on in capital markets and how big traders are aligned.

Kindly note, in some cases, numbers are rounded to the nearest decimal.

  • 2 year U.S. Treasury:

Speculators reduced short positions for the 9th time in 16 weeks. Short positions declined by 56,739 contracts that led to a net position of -46.1K contracts.

  • 5 year U.S. Treasury:

5-year treasury short positions rose last week and by 52,647 contracts that brought the net position to -164.1K contracts.

  • 10 year U.S. Treasury:

Speculators increased short positions for the week, and by 91,529 contracts to -467.7K contracts.

  • S&P 500 (E-mini) –

Speculators reduced long positions last week and by 2,438 contracts to +89.9K contracts.

  • MSCI Emerging Markets Mini-Index –

Long positions declined in the week ending June 4th and by 28,676 contracts that pushed the net position to +125.6K contracts.

 

 

 

 

 

 

 

 

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