- The Commodity Futures Trading Commission released its weekly Commitments of Traders report for the week ending February 11 on Friday.

Speculative positioning in the CME currency futures:

Long Short
Net Prior Change Gross Change Gross Change
EUR -6.9k -13.6k 6.7k 75.0k 7.4k 82.0k 0.8k
GBP 10.7k 11.0k -0.3k 53.2k 1.1k 42.5k 1.4k
JPY -78.8k -76.8k -2.0k 13.7k -2.2k 92.5k -0.3k
CHF 0.6k 2.2k -1.7k 12.2k -1.1k 11.6k 0.6k
CAD -58.9k -60.3k 1.4k 27.7k -1.7k 86.7k -3.1k
AUD -47.4k -55.5k 8.1k 10.2k -1.5k 57.6k -9.6k
NZD 7.6k 8.0k -0.4k 13.2k -1.4k 5.5k -1.0k
MXN -33.9k -34.5k 0.6k 9.7k -4.0k 43.6k -4.6k

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