Latest CFTC Commitments of Traders report for 29 September 2026: managed money, asset manager and leveraged fund positioning changes across 19 futures markets, from the S&P 500 and Nasdaq to gold, crude oil, silver, copper.
Net position is longs minus shorts. Week-on-week change uses the CFTC's own change columns from the same file. No price targets, no narrative: just what the reportable categories actually did.
Jump to a contract: ES · NQ · GC · CL · 6E · 6J · ZN · BTC · SI · HG · PL · NG · ZC · ZW · ZS · SB · KC · CC · CT
| Contract | Institutional | Speculative |
|---|---|---|
| E-Mini S&P 500 (ES) | Asset Managers: net long 906,259 (-30,412 w/w, cut longs / added shorts) | Leveraged Funds: net short 374,007 (+1,609 w/w, added longs / cut shorts) |
| E-Mini Nasdaq 100 (NQ) | Asset Managers: net long 69,744 (-2,476 w/w, cut longs / added shorts) | Leveraged Funds: net short 24,723 (+5,960 w/w, added longs / cut shorts) |
| Euro FX (6E) | Asset Managers: net long 220,603 (+4,120 w/w, added longs / cut shorts) | Leveraged Funds: net short 39,265 (-12,571 w/w, cut longs / added shorts) |
| Japanese Yen (6J) | Asset Managers: net long 51,634 (+10,005 w/w, added longs / cut shorts) | Leveraged Funds: net short 14,161 (-21,584 w/w, cut longs / added shorts) |
| 10Y T-Note (ZN) | Asset Managers: net long 2,776,531 (+245,147 w/w, added longs / cut shorts) | Leveraged Funds: net short 2,036,432 (-109,485 w/w, cut longs / added shorts) |
| Bitcoin (BTC) | Asset Managers: net long 3,586 (+415 w/w, added longs / cut shorts) | Leveraged Funds: net short 6,856 (+1,097 w/w, added longs / cut shorts) |
| Contract | Institutional | Speculative |
|---|---|---|
| Gold (GC) | Swap Dealers (proxy): net short 229,704 (+6,422 w/w, added longs / cut shorts) | Managed Money: net long 120,318 (-7,071 w/w, cut longs / added shorts) |
| Crude Oil (CL) | Swap Dealers (proxy): net short 462,157 (+10,632 w/w, added longs / cut shorts) | Managed Money: net long 79,592 (-22,236 w/w, cut longs / added shorts) |
| Silver (SI) | Swap Dealers (proxy): net short 23,498 (+2,744 w/w, added longs / cut shorts) | Managed Money: net long 7,614 (-5,695 w/w, cut longs / added shorts) |
| Copper (HG) | Swap Dealers (proxy): net long 9,499 (-2,641 w/w, cut longs / added shorts) | Managed Money: net long 78,058 (-4,464 w/w, cut longs / added shorts) |
| Platinum (PL) | Swap Dealers (proxy): net short 7,825 (+177 w/w, added longs / cut shorts) | Managed Money: net long 8,256 (-1,672 w/w, cut longs / added shorts) |
| Natural Gas (NG) | Swap Dealers (proxy): net long 227,587 (+343 w/w, added longs / cut shorts) | Managed Money: net short 132,799 (-67,252 w/w, cut longs / added shorts) |
| Corn (ZC) | Swap Dealers (proxy): net long 284,477 (-14,195 w/w, cut longs / added shorts) | Managed Money: net long 381,220 (-22,877 w/w, cut longs / added shorts) |
| Wheat (SRW) (ZW) | Swap Dealers (proxy): net long 70,646 (-1,186 w/w, cut longs / added shorts) | Managed Money: net short 22,109 (-10,093 w/w, cut longs / added shorts) |
| Soybeans (ZS) | Swap Dealers (proxy): net long 58,170 (-6,526 w/w, cut longs / added shorts) | Managed Money: net long 246,558 (-18,601 w/w, cut longs / added shorts) |
| Sugar No. 11 (SB) | Swap Dealers (proxy): net long 122,437 (-607 w/w, cut longs / added shorts) | Managed Money: net long 218,336 (+1,707 w/w, added longs / cut shorts) |
| Coffee C (KC) | Swap Dealers (proxy): net long 1,495 (+336 w/w, added longs / cut shorts) | Managed Money: net long 16,206 (+400 w/w, added longs / cut shorts) |
| Cocoa (CC) | Swap Dealers (proxy): net long 26,289 (-1,467 w/w, cut longs / added shorts) | Managed Money: net short 16,022 (+384 w/w, added longs / cut shorts) |
| Cotton No. 2 (CT) | Swap Dealers (proxy): net long 43,673 (+1,872 w/w, added longs / cut shorts) | Managed Money: net long 67,837 (-8,345 w/w, cut longs / added shorts) |
Leveraged Funds: net short 374,007 (+1,609 w/w, added longs / cut shorts). Asset Managers: net long 906,259 (-30,412 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Leveraged Funds: net short 24,723 (+5,960 w/w, added longs / cut shorts). Asset Managers: net long 69,744 (-2,476 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 120,318 (-7,071 w/w, cut longs / added shorts). Swap Dealers (proxy): net short 229,704 (+6,422 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 79,592 (-22,236 w/w, cut longs / added shorts). Swap Dealers (proxy): net short 462,157 (+10,632 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Leveraged Funds: net short 39,265 (-12,571 w/w, cut longs / added shorts). Asset Managers: net long 220,603 (+4,120 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Leveraged Funds: net short 14,161 (-21,584 w/w, cut longs / added shorts). Asset Managers: net long 51,634 (+10,005 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Leveraged Funds: net short 2,036,432 (-109,485 w/w, cut longs / added shorts). Asset Managers: net long 2,776,531 (+245,147 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Leveraged Funds: net short 6,856 (+1,097 w/w, added longs / cut shorts). Asset Managers: net long 3,586 (+415 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 7,614 (-5,695 w/w, cut longs / added shorts). Swap Dealers (proxy): net short 23,498 (+2,744 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 78,058 (-4,464 w/w, cut longs / added shorts). Swap Dealers (proxy): net long 9,499 (-2,641 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 8,256 (-1,672 w/w, cut longs / added shorts). Swap Dealers (proxy): net short 7,825 (+177 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net short 132,799 (-67,252 w/w, cut longs / added shorts). Swap Dealers (proxy): net long 227,587 (+343 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 381,220 (-22,877 w/w, cut longs / added shorts). Swap Dealers (proxy): net long 284,477 (-14,195 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net short 22,109 (-10,093 w/w, cut longs / added shorts). Swap Dealers (proxy): net long 70,646 (-1,186 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 246,558 (-18,601 w/w, cut longs / added shorts). Swap Dealers (proxy): net long 58,170 (-6,526 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 218,336 (+1,707 w/w, added longs / cut shorts). Swap Dealers (proxy): net long 122,437 (-607 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 16,206 (+400 w/w, added longs / cut shorts). Swap Dealers (proxy): net long 1,495 (+336 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net short 16,022 (+384 w/w, added longs / cut shorts). Swap Dealers (proxy): net long 26,289 (-1,467 w/w, cut longs / added shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Managed Money: net long 67,837 (-8,345 w/w, cut longs / added shorts). Swap Dealers (proxy): net long 43,673 (+1,872 w/w, added longs / cut shorts). Net position is longs minus shorts from the CFTC report dated 29 September 2026.
Source: CFTC weekly Commitments of Traders reports. Figures are generated directly from the CFTC data files.
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