Combined COT Update (final)
The COT release this week is as of the Jan 8 close. The Commercials got less short by a fair bit, the Smalls got less long a little, and the Larges took up the short slack.
COMMS LARGE SMALL This Wk -68,363 +11.3% -7,466 .... +75,830 -4.0% Last Wk -77,052 +.2% -1,928 .... +78,980 -5.1% 3 Weeks -77,229 +8.7% -5,965 .... +83,193 -6.0% 4 Weeks -84,628 .... -3,903 .... +88,531 ....
A negative percentage indicates the group got shorter/less long and a positive percentage indicates they got longer/less short. Percentage change is not shown for small numbers.
Below is a crude chart showing the Commercials' short position since the extreme set at the Mar 6, 2001 report. The vertical axis is the number of contracts short and the horizontal is a column for each week.
135,000 : 130,000 | 125,000 | 120,000 | 115,000 || 110,000 || 105,000 || | 100,000 || : .|| 95,000 || | : .|. ::...||| . 90,000 || |::| |||.|||||||| || 85,000 ||: ||||..||||||||||||. .||| 80,000 ||| : ||||||||||||||||||| .||||.. 75,000 |||| |.| ||||||||||||||||||| ||||||| 70,000 |||| ||| ||||||||||||||||||| ||||||||: 65,000 |||||||| |||||||||||||||||||| :||||||||| 60,000 |||||||| |||||||||||||||||||||: |||||||||| 55,000 ||||||||.|||||||||||||||||||||||||:|||||||||| 50,000 |||||||||||||||||||||||||||||||||||||||||||||
A reminder that my numbers are based on S&P contract equivalents by taking all the index futures (DJ, RL, MD, SP, SP mini, ND, ND mini) and then weighting and combining the positions. Note as well that the COT report, although released on Fridays, is as of the prior Tuesday's close.
Commercials change in individual markets from last week: SP+es ND+nq DJ MD RL +10.3% +4.8% -4.0% +31.8% +19.3%
(See the message I am replying to for the previous update. ccoott) |