The weekly update from GrainPriceNews on how managed money has been flowing in an out of futures and options in the major US-traded agricultural commodity contracts.
* = record high or low on data going back to 2006
Grains |
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Contract | Net position |
Change on week |
Corn | 215,928 | -18,937 |
Soybeans | 189,009 | +6,801 |
Soymeal | 154,141* | +1,742 |
Soyoil | 34,301 | +11,978 |
Wheat – hard red winter | 15,974 | +4,367 |
Wheat – soft red winter | -72,045 | -12,088 |
Source: CFTC. Data in contracts, futures and options combined. Net position = gross long-gross short |
Livestock | ||
Contract | Net position |
Change on week |
Live cattle | 108,582 | +3,937 |
Lean hogs | 6,056 | +9,303 |
Feeder cattle | -122 | +887 |
Source: CFTC. Data in contracts, futures and options combined. Net position = gross long-gross short |
Softs | ||
Contract | Net position |
Change on week |
Raw sugar | 211,639 | -16,078 |
Cocoa | 32,043 | +20,204 |
Coffee (arabica) | 7,651 | +9,049 |
Cotton | -13,238 | -15,770 |
Source: CFTC. Data in contracts, futures and options combined. Net position = gross long-gross short |
Overall | ||
Sector | Net position |
Change on week |
Grains | 537,308 | -6,137 |
Softs | 238,095 | -2,595 |
Livestock | 114,516 | +14,127 |
Total | 889,919 | +5,395 |
Source: CFTC. Data in contracts, futures and options combined. Net position = gross long-gross short |