COT Positioning
CFTC Commitment of Traders — Report: 2026-03-28 · Source: CFTC · Model 7/7
COT Score
+72BUY
-1000+100
Confidence: 76%
Net Position
◄ ShortNeutralLong ►
Position History (52 weeks)
Managed Money Net Price Extremes
Trader Breakdown
🏦 Managed Money (Hedge Funds)
Net Long+203,676+12,450 this week
Long Contracts: 245,83252.5% of OIShort Contracts: 42,156
🏛️ Swap Dealers (Banks)
Net Short-126,580-8,200 this week
Long Contracts: 52,34042.2% of OIShort Contracts: 178,920
🏭 Producers / Merchants
Net Short-177,140-5,300 this week
Long Contracts: 18,50039.1% of OIShort Contracts: 195,640
📊 Other Reportables
Net Long+26,820+3,200 this week
Long Contracts: 42,10010.5% of OIShort Contracts: 15,280
👤 Non-Reportable (Small Traders)
Net Long+73,224
Long Contracts: 95,23021.4% of OIShort Contracts: 22,006
Net Position % OI
37.15%
Weekly Change
+12,450
Trend
increasing shorts
Historical Percentile
55th
Contrarian Signal
No extreme positioning detected. Positioning within normal range (55th percentile).
Speculator Sentiment
Longs85%
Shorts15%
Report Date
2026-03-28
Spread
68,420
Source: CFTC Commitment of Traders · Report: 2026-03-28