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Saturday, August 22, 2026 · Global Edition
Bitcoin Futures Positioning — 2019
2019-12-31
- Report Date
- 12/31/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 159
- Asset Manager Short
- 437
- Leveraged Funds Long
- 1,037
- Leveraged Funds Short
- 1,840
- Open Interest
- 3,186
- Previous Positioning
- Asset Manager Net
- -150
- Leveraged Funds Net
- -1,077
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -278
- Leveraged Funds Net
- -803
- Asset Manager Net Weekly Change
- -128
- Leveraged Funds Net Weekly Change
- 274
2019-12-24
- Report Date
- 12/24/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 133
- Asset Manager Short
- 283
- Leveraged Funds Long
- 1,179
- Leveraged Funds Short
- 2,256
- Open Interest
- 3,541
- Previous Positioning
- Asset Manager Net
- -406
- Leveraged Funds Net
- -868
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -150
- Leveraged Funds Net
- -1,077
- Asset Manager Net Weekly Change
- 256
- Leveraged Funds Net Weekly Change
- -209
2019-12-17
- Report Date
- 12/17/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 38
- Asset Manager Short
- 444
- Leveraged Funds Long
- 1,578
- Leveraged Funds Short
- 2,446
- Open Interest
- 3,840
- Previous Positioning
- Asset Manager Net
- -229
- Leveraged Funds Net
- -697
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -406
- Leveraged Funds Net
- -868
- Asset Manager Net Weekly Change
- -177
- Leveraged Funds Net Weekly Change
- -171
2019-12-10
- Report Date
- 12/10/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 56
- Asset Manager Short
- 285
- Leveraged Funds Long
- 1,069
- Leveraged Funds Short
- 1,766
- Open Interest
- 3,232
- Previous Positioning
- Asset Manager Net
- -163
- Leveraged Funds Net
- -363
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -229
- Leveraged Funds Net
- -697
- Asset Manager Net Weekly Change
- -66
- Leveraged Funds Net Weekly Change
- -334
2019-12-03
- Report Date
- 12/03/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 93
- Asset Manager Short
- 256
- Leveraged Funds Long
- 894
- Leveraged Funds Short
- 1,257
- Open Interest
- 2,983
- Previous Positioning
- Asset Manager Net
- -242
- Leveraged Funds Net
- -514
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -163
- Leveraged Funds Net
- -363
- Asset Manager Net Weekly Change
- 79
- Leveraged Funds Net Weekly Change
- 151
2019-11-26
- Report Date
- 11/26/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 56
- Asset Manager Short
- 298
- Leveraged Funds Long
- 1,155
- Leveraged Funds Short
- 1,669
- Open Interest
- 3,554
- Previous Positioning
- Asset Manager Net
- -225
- Leveraged Funds Net
- -855
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -242
- Leveraged Funds Net
- -514
- Asset Manager Net Weekly Change
- -17
- Leveraged Funds Net Weekly Change
- 341
2019-11-19
- Report Date
- 11/19/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 67
- Asset Manager Short
- 292
- Leveraged Funds Long
- 1,059
- Leveraged Funds Short
- 1,914
- Open Interest
- 3,157
- Previous Positioning
- Asset Manager Net
- -44
- Leveraged Funds Net
- -1,131
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -225
- Leveraged Funds Net
- -855
- Asset Manager Net Weekly Change
- -181
- Leveraged Funds Net Weekly Change
- 276
2019-11-12
- Report Date
- 11/12/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 99
- Asset Manager Short
- 143
- Leveraged Funds Long
- 912
- Leveraged Funds Short
- 2,043
- Open Interest
- 3,091
- Previous Positioning
- Asset Manager Net
- 39
- Leveraged Funds Net
- -1,124
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -44
- Leveraged Funds Net
- -1,131
- Asset Manager Net Weekly Change
- -83
- Leveraged Funds Net Weekly Change
- -7
2019-11-05
- Report Date
- 11/05/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 188
- Asset Manager Short
- 149
- Leveraged Funds Long
- 1,221
- Leveraged Funds Short
- 2,345
- Open Interest
- 3,520
- Previous Positioning
- Asset Manager Net
- 174
- Leveraged Funds Net
- -1,060
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 39
- Leveraged Funds Net
- -1,124
- Asset Manager Net Weekly Change
- -135
- Leveraged Funds Net Weekly Change
- -64
2019-10-29
- Report Date
- 10/29/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 260
- Asset Manager Short
- 86
- Leveraged Funds Long
- 956
- Leveraged Funds Short
- 2,016
- Open Interest
- 3,155
- Previous Positioning
- Asset Manager Net
- 132
- Leveraged Funds Net
- -764
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 174
- Leveraged Funds Net
- -1,060
- Asset Manager Net Weekly Change
- 42
- Leveraged Funds Net Weekly Change
- -296
2019-10-22
- Report Date
- 10/22/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 163
- Asset Manager Short
- 31
- Leveraged Funds Long
- 950
- Leveraged Funds Short
- 1,714
- Open Interest
- 3,093
- Previous Positioning
- Asset Manager Net
- 61
- Leveraged Funds Net
- -845
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 132
- Leveraged Funds Net
- -764
- Asset Manager Net Weekly Change
- 71
- Leveraged Funds Net Weekly Change
- 81
2019-10-15
- Report Date
- 10/15/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 210
- Asset Manager Short
- 149
- Leveraged Funds Long
- 1,186
- Leveraged Funds Short
- 2,031
- Open Interest
- 3,444
- Previous Positioning
- Asset Manager Net
- 2
- Leveraged Funds Net
- -837
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 61
- Leveraged Funds Net
- -845
- Asset Manager Net Weekly Change
- 59
- Leveraged Funds Net Weekly Change
- -8
2019-10-08
- Report Date
- 10/08/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 140
- Asset Manager Short
- 138
- Leveraged Funds Long
- 1,211
- Leveraged Funds Short
- 2,048
- Open Interest
- 3,335
- Previous Positioning
- Asset Manager Net
- 39
- Leveraged Funds Net
- -765
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 2
- Leveraged Funds Net
- -837
- Asset Manager Net Weekly Change
- -37
- Leveraged Funds Net Weekly Change
- -72
2019-10-01
- Report Date
- 10/01/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 70
- Asset Manager Short
- 31
- Leveraged Funds Long
- 1,298
- Leveraged Funds Short
- 2,063
- Open Interest
- 3,348
- Previous Positioning
- Asset Manager Net
- -58
- Leveraged Funds Net
- -859
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 39
- Leveraged Funds Net
- -765
- Asset Manager Net Weekly Change
- 97
- Leveraged Funds Net Weekly Change
- 94
2019-09-24
- Report Date
- 09/24/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 42
- Asset Manager Short
- 100
- Leveraged Funds Long
- 1,651
- Leveraged Funds Short
- 2,510
- Open Interest
- 4,178
- Previous Positioning
- Asset Manager Net
- 61
- Leveraged Funds Net
- -566
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -58
- Leveraged Funds Net
- -859
- Asset Manager Net Weekly Change
- -119
- Leveraged Funds Net Weekly Change
- -293
2019-09-17
- Report Date
- 09/17/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 262
- Asset Manager Short
- 201
- Leveraged Funds Long
- 1,688
- Leveraged Funds Short
- 2,254
- Open Interest
- 4,174
- Previous Positioning
- Asset Manager Net
- 54
- Leveraged Funds Net
- -541
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 61
- Leveraged Funds Net
- -566
- Asset Manager Net Weekly Change
- 7
- Leveraged Funds Net Weekly Change
- -25
2019-09-10
- Report Date
- 09/10/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 244
- Asset Manager Short
- 190
- Leveraged Funds Long
- 1,692
- Leveraged Funds Short
- 2,233
- Open Interest
- 4,128
- Previous Positioning
- Asset Manager Net
- 161
- Leveraged Funds Net
- -488
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 54
- Leveraged Funds Net
- -541
- Asset Manager Net Weekly Change
- -107
- Leveraged Funds Net Weekly Change
- -53
2019-09-03
- Report Date
- 09/03/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 324
- Asset Manager Short
- 163
- Leveraged Funds Long
- 1,979
- Leveraged Funds Short
- 2,467
- Open Interest
- 4,493
- Previous Positioning
- Asset Manager Net
- 15
- Leveraged Funds Net
- -354
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 161
- Leveraged Funds Net
- -488
- Asset Manager Net Weekly Change
- 146
- Leveraged Funds Net Weekly Change
- -134
2019-08-27
- Report Date
- 08/27/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 237
- Asset Manager Short
- 222
- Leveraged Funds Long
- 1,739
- Leveraged Funds Short
- 2,093
- Open Interest
- 4,091
- Previous Positioning
- Asset Manager Net
- 42
- Leveraged Funds Net
- -373
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 15
- Leveraged Funds Net
- -354
- Asset Manager Net Weekly Change
- -27
- Leveraged Funds Net Weekly Change
- 19
2019-08-20
- Report Date
- 08/20/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 266
- Asset Manager Short
- 224
- Leveraged Funds Long
- 1,836
- Leveraged Funds Short
- 2,209
- Open Interest
- 4,485
- Previous Positioning
- Asset Manager Net
- -2
- Leveraged Funds Net
- -478
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 42
- Leveraged Funds Net
- -373
- Asset Manager Net Weekly Change
- 44
- Leveraged Funds Net Weekly Change
- 105
2019-08-13
- Report Date
- 08/13/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 222
- Asset Manager Short
- 224
- Leveraged Funds Long
- 2,002
- Leveraged Funds Short
- 2,480
- Open Interest
- 4,729
- Previous Positioning
- Asset Manager Net
- 36
- Leveraged Funds Net
- -417
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -2
- Leveraged Funds Net
- -478
- Asset Manager Net Weekly Change
- -38
- Leveraged Funds Net Weekly Change
- -61
2019-08-06
- Report Date
- 08/06/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 260
- Asset Manager Short
- 224
- Leveraged Funds Long
- 1,847
- Leveraged Funds Short
- 2,264
- Open Interest
- 4,692
- Previous Positioning
- Asset Manager Net
- 104
- Leveraged Funds Net
- -445
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 36
- Leveraged Funds Net
- -417
- Asset Manager Net Weekly Change
- -68
- Leveraged Funds Net Weekly Change
- 28
2019-07-30
- Report Date
- 07/30/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 251
- Asset Manager Short
- 147
- Leveraged Funds Long
- 1,843
- Leveraged Funds Short
- 2,288
- Open Interest
- 4,302
- Previous Positioning
- Asset Manager Net
- -9
- Leveraged Funds Net
- -591
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 104
- Leveraged Funds Net
- -445
- Asset Manager Net Weekly Change
- 113
- Leveraged Funds Net Weekly Change
- 146
2019-07-23
- Report Date
- 07/23/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 102
- Asset Manager Short
- 111
- Leveraged Funds Long
- 2,208
- Leveraged Funds Short
- 2,799
- Open Interest
- 4,928
- Previous Positioning
- Asset Manager Net
- 60
- Leveraged Funds Net
- -828
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -9
- Leveraged Funds Net
- -591
- Asset Manager Net Weekly Change
- -69
- Leveraged Funds Net Weekly Change
- 237
2019-07-16
- Report Date
- 07/16/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 211
- Asset Manager Short
- 151
- Leveraged Funds Long
- 2,566
- Leveraged Funds Short
- 3,394
- Open Interest
- 5,322
- Previous Positioning
- Asset Manager Net
- 140
- Leveraged Funds Net
- -497
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 60
- Leveraged Funds Net
- -828
- Asset Manager Net Weekly Change
- -80
- Leveraged Funds Net Weekly Change
- -331
2019-07-09
- Report Date
- 07/09/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 249
- Asset Manager Short
- 109
- Leveraged Funds Long
- 3,233
- Leveraged Funds Short
- 3,730
- Open Interest
- 6,075
- Previous Positioning
- Asset Manager Net
- 42
- Leveraged Funds Net
- -73
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 140
- Leveraged Funds Net
- -497
- Asset Manager Net Weekly Change
- 98
- Leveraged Funds Net Weekly Change
- -424
2019-07-02
- Report Date
- 07/02/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 188
- Asset Manager Short
- 146
- Leveraged Funds Long
- 3,253
- Leveraged Funds Short
- 3,326
- Open Interest
- 5,839
- Previous Positioning
- Asset Manager Net
- 310
- Leveraged Funds Net
- -153
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 42
- Leveraged Funds Net
- -73
- Asset Manager Net Weekly Change
- -268
- Leveraged Funds Net Weekly Change
- 80
2019-06-25
- Report Date
- 06/25/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 310
- Asset Manager Short
- 0
- Leveraged Funds Long
- 3,093
- Leveraged Funds Short
- 3,246
- Open Interest
- 6,021
- Previous Positioning
- Asset Manager Net
- 354
- Leveraged Funds Net
- -347
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 310
- Leveraged Funds Net
- -153
- Asset Manager Net Weekly Change
- -44
- Leveraged Funds Net Weekly Change
- 194
2019-06-18
- Report Date
- 06/18/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 354
- Asset Manager Short
- 0
- Leveraged Funds Long
- 2,564
- Leveraged Funds Short
- 2,911
- Open Interest
- 5,391
- Previous Positioning
- Asset Manager Net
- 359
- Leveraged Funds Net
- -971
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 354
- Leveraged Funds Net
- -347
- Asset Manager Net Weekly Change
- -5
- Leveraged Funds Net Weekly Change
- 624
2019-06-11
- Report Date
- 06/11/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 359
- Asset Manager Short
- 0
- Leveraged Funds Long
- 2,073
- Leveraged Funds Short
- 3,044
- Open Interest
- 4,434
- Previous Positioning
- Asset Manager Net
- 244
- Leveraged Funds Net
- -377
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 359
- Leveraged Funds Net
- -971
- Asset Manager Net Weekly Change
- 115
- Leveraged Funds Net Weekly Change
- -594
2019-06-04
- Report Date
- 06/04/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 300
- Asset Manager Short
- 56
- Leveraged Funds Long
- 2,321
- Leveraged Funds Short
- 2,698
- Open Interest
- 4,436
- Previous Positioning
- Asset Manager Net
- 319
- Leveraged Funds Net
- -54
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 244
- Leveraged Funds Net
- -377
- Asset Manager Net Weekly Change
- -75
- Leveraged Funds Net Weekly Change
- -323
2019-05-28
- Report Date
- 05/28/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 319
- Asset Manager Short
- 0
- Leveraged Funds Long
- 2,709
- Leveraged Funds Short
- 2,763
- Open Interest
- 5,190
- Previous Positioning
- Asset Manager Net
- 223
- Leveraged Funds Net
- -144
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 319
- Leveraged Funds Net
- -54
- Asset Manager Net Weekly Change
- 96
- Leveraged Funds Net Weekly Change
- 90
2019-05-21
- Report Date
- 05/21/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 223
- Asset Manager Short
- 0
- Leveraged Funds Long
- 2,354
- Leveraged Funds Short
- 2,498
- Open Interest
- 4,650
- Previous Positioning
- Asset Manager Net
- 199
- Leveraged Funds Net
- -166
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 223
- Leveraged Funds Net
- -144
- Asset Manager Net Weekly Change
- 24
- Leveraged Funds Net Weekly Change
- 22
2019-05-14
- Report Date
- 05/14/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 199
- Asset Manager Short
- 0
- Leveraged Funds Long
- 2,289
- Leveraged Funds Short
- 2,455
- Open Interest
- 4,447
- Previous Positioning
- Asset Manager Net
- 286
- Leveraged Funds Net
- -751
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 199
- Leveraged Funds Net
- -166
- Asset Manager Net Weekly Change
- -87
- Leveraged Funds Net Weekly Change
- 585
2019-05-07
- Report Date
- 05/07/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 226
- Leveraged Funds Short
- 887
- Open Interest
- 2,607
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,257
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 286
- Asset Manager Short
- 0
- Leveraged Funds Long
- 1,941
- Leveraged Funds Short
- 2,692
- Open Interest
- 4,388
- Previous Positioning
- Asset Manager Net
- 182
- Leveraged Funds Net
- -586
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -661
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 596
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 286
- Leveraged Funds Net
- -751
- Asset Manager Net Weekly Change
- 104
- Leveraged Funds Net Weekly Change
- -165
2019-04-30
- Report Date
- 04/30/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 167
- Leveraged Funds Short
- 1,424
- Open Interest
- 2,921
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,126
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 254
- Asset Manager Short
- 72
- Leveraged Funds Long
- 1,789
- Leveraged Funds Short
- 2,375
- Open Interest
- 3,817
- Previous Positioning
- Asset Manager Net
- 113
- Leveraged Funds Net
- -433
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,257
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -131
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 182
- Leveraged Funds Net
- -586
- Asset Manager Net Weekly Change
- 69
- Leveraged Funds Net Weekly Change
- -153
2019-04-23
- Report Date
- 04/23/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 206
- Leveraged Funds Short
- 1,332
- Open Interest
- 2,710
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -986
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 245
- Asset Manager Short
- 132
- Leveraged Funds Long
- 2,025
- Leveraged Funds Short
- 2,458
- Open Interest
- 4,313
- Previous Positioning
- Asset Manager Net
- -38
- Leveraged Funds Net
- -269
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,126
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -140
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 113
- Leveraged Funds Net
- -433
- Asset Manager Net Weekly Change
- 151
- Leveraged Funds Net Weekly Change
- -164
2019-04-16
- Report Date
- 04/16/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 212
- Leveraged Funds Short
- 1,198
- Open Interest
- 2,764
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,207
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 163
- Asset Manager Short
- 201
- Leveraged Funds Long
- 2,272
- Leveraged Funds Short
- 2,541
- Open Interest
- 4,324
- Previous Positioning
- Asset Manager Net
- 164
- Leveraged Funds Net
- -746
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -986
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 221
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -38
- Leveraged Funds Net
- -269
- Asset Manager Net Weekly Change
- -202
- Leveraged Funds Net Weekly Change
- 477
2019-04-09
- Report Date
- 04/09/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 366
- Leveraged Funds Short
- 1,573
- Open Interest
- 3,273
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,511
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 244
- Asset Manager Short
- 80
- Leveraged Funds Long
- 1,968
- Leveraged Funds Short
- 2,714
- Open Interest
- 4,443
- Previous Positioning
- Asset Manager Net
- 226
- Leveraged Funds Net
- -1,081
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,207
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 304
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 164
- Leveraged Funds Net
- -746
- Asset Manager Net Weekly Change
- -62
- Leveraged Funds Net Weekly Change
- 335
2019-04-02
- Report Date
- 04/02/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 351
- Leveraged Funds Short
- 1,862
- Open Interest
- 3,227
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,660
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 315
- Asset Manager Short
- 89
- Leveraged Funds Long
- 1,517
- Leveraged Funds Short
- 2,598
- Open Interest
- 4,000
- Previous Positioning
- Asset Manager Net
- -206
- Leveraged Funds Net
- -867
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,511
- Asset Manager Net Weekly Change
- 27
- Leveraged Funds Net Weekly Change
- 149
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 226
- Leveraged Funds Net
- -1,081
- Asset Manager Net Weekly Change
- 432
- Leveraged Funds Net Weekly Change
- -214
2019-03-26
- Report Date
- 03/26/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 229
- Leveraged Funds Short
- 1,889
- Open Interest
- 3,037
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,795
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 35
- Asset Manager Short
- 241
- Leveraged Funds Long
- 1,238
- Leveraged Funds Short
- 2,105
- Open Interest
- 3,428
- Previous Positioning
- Asset Manager Net
- -21
- Leveraged Funds Net
- -1,068
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,660
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 135
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -206
- Leveraged Funds Net
- -867
- Asset Manager Net Weekly Change
- -185
- Leveraged Funds Net Weekly Change
- 201
2019-03-19
- Report Date
- 03/19/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 453
- Leveraged Funds Short
- 2,248
- Open Interest
- 3,350
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,651
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 156
- Asset Manager Short
- 177
- Leveraged Funds Long
- 1,460
- Leveraged Funds Short
- 2,528
- Open Interest
- 3,681
- Previous Positioning
- Asset Manager Net
- -98
- Leveraged Funds Net
- -798
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,795
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -144
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -21
- Leveraged Funds Net
- -1,068
- Asset Manager Net Weekly Change
- 77
- Leveraged Funds Net Weekly Change
- -270
2019-03-12
- Report Date
- 03/12/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 596
- Leveraged Funds Short
- 2,247
- Open Interest
- 4,109
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,666
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 97
- Asset Manager Short
- 195
- Leveraged Funds Long
- 1,459
- Leveraged Funds Short
- 2,257
- Open Interest
- 3,480
- Previous Positioning
- Asset Manager Net
- -195
- Leveraged Funds Net
- -465
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,651
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 15
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -98
- Leveraged Funds Net
- -798
- Asset Manager Net Weekly Change
- 97
- Leveraged Funds Net Weekly Change
- -333
2019-03-05
- Report Date
- 03/05/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 488
- Leveraged Funds Short
- 2,154
- Open Interest
- 3,896
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,431
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 33
- Asset Manager Short
- 228
- Leveraged Funds Long
- 1,347
- Leveraged Funds Short
- 1,812
- Open Interest
- 3,226
- Previous Positioning
- Asset Manager Net
- -229
- Leveraged Funds Net
- -310
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,666
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -235
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -195
- Leveraged Funds Net
- -465
- Asset Manager Net Weekly Change
- 34
- Leveraged Funds Net Weekly Change
- -155
2019-02-26
- Report Date
- 02/26/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 299
- Leveraged Funds Short
- 1,730
- Open Interest
- 3,463
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,206
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 54
- Asset Manager Short
- 283
- Leveraged Funds Long
- 1,575
- Leveraged Funds Short
- 1,885
- Open Interest
- 3,324
- Previous Positioning
- Asset Manager Net
- 5
- Leveraged Funds Net
- -425
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,431
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -225
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -229
- Leveraged Funds Net
- -310
- Asset Manager Net Weekly Change
- -234
- Leveraged Funds Net Weekly Change
- 115
2019-02-19
- Report Date
- 02/19/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 486
- Leveraged Funds Short
- 1,692
- Open Interest
- 3,616
- Previous Positioning
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,875
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 170
- Asset Manager Short
- 165
- Leveraged Funds Long
- 1,834
- Leveraged Funds Short
- 2,259
- Open Interest
- 3,964
- Previous Positioning
- Asset Manager Net
- -71
- Leveraged Funds Net
- -393
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,206
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 669
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 5
- Leveraged Funds Net
- -425
- Asset Manager Net Weekly Change
- 76
- Leveraged Funds Net Weekly Change
- -32
2019-02-12
- Report Date
- 02/12/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 27
- Leveraged Funds Long
- 426
- Leveraged Funds Short
- 2,301
- Open Interest
- 3,959
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,945
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 134
- Asset Manager Short
- 205
- Leveraged Funds Long
- 1,697
- Leveraged Funds Short
- 2,090
- Open Interest
- 3,361
- Previous Positioning
- Asset Manager Net
- -259
- Leveraged Funds Net
- 103
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- -27
- Leveraged Funds Net
- -1,875
- Asset Manager Net Weekly Change
- -27
- Leveraged Funds Net Weekly Change
- 70
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -71
- Leveraged Funds Net
- -393
- Asset Manager Net Weekly Change
- 188
- Leveraged Funds Net Weekly Change
- -496
2019-02-05
- Report Date
- 02/05/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 371
- Leveraged Funds Short
- 2,316
- Open Interest
- 3,672
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,914
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 32
- Asset Manager Short
- 291
- Leveraged Funds Long
- 2,532
- Leveraged Funds Short
- 2,429
- Open Interest
- 3,881
- Previous Positioning
- Asset Manager Net
- -330
- Leveraged Funds Net
- 188
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,945
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -31
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -259
- Leveraged Funds Net
- 103
- Asset Manager Net Weekly Change
- 71
- Leveraged Funds Net Weekly Change
- -85
2019-01-29
- Report Date
- 01/29/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 323
- Leveraged Funds Short
- 2,237
- Open Interest
- 3,593
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -2,075
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 30
- Asset Manager Short
- 360
- Leveraged Funds Long
- 2,760
- Leveraged Funds Short
- 2,572
- Open Interest
- 4,047
- Previous Positioning
- Asset Manager Net
- -317
- Leveraged Funds Net
- 478
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,914
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 161
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -330
- Leveraged Funds Net
- 188
- Asset Manager Net Weekly Change
- -13
- Leveraged Funds Net Weekly Change
- -290
2019-01-22
- Report Date
- 01/22/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 554
- Leveraged Funds Short
- 2,629
- Open Interest
- 3,589
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,490
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 27
- Asset Manager Short
- 344
- Leveraged Funds Long
- 3,341
- Leveraged Funds Short
- 2,863
- Open Interest
- 4,976
- Previous Positioning
- Asset Manager Net
- -310
- Leveraged Funds Net
- 494
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -2,075
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -585
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -317
- Leveraged Funds Net
- 478
- Asset Manager Net Weekly Change
- -7
- Leveraged Funds Net Weekly Change
- -16
2019-01-15
- Report Date
- 01/15/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 730
- Leveraged Funds Short
- 2,220
- Open Interest
- 4,388
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,642
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 27
- Asset Manager Short
- 337
- Leveraged Funds Long
- 3,417
- Leveraged Funds Short
- 2,923
- Open Interest
- 4,473
- Previous Positioning
- Asset Manager Net
- 25
- Leveraged Funds Net
- -38
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,490
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- 152
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -310
- Leveraged Funds Net
- 494
- Asset Manager Net Weekly Change
- -335
- Leveraged Funds Net Weekly Change
- 532
2019-01-08
- Report Date
- 01/08/2019
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Long
- 0
- Asset Manager Short
- 0
- Leveraged Funds Long
- 753
- Leveraged Funds Short
- 2,395
- Open Interest
- 4,173
- Previous Positioning
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,623
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 165
- Asset Manager Short
- 140
- Leveraged Funds Long
- 2,610
- Leveraged Funds Short
- 2,648
- Open Interest
- 3,764
- Previous Positioning
- Asset Manager Net
- -60
- Leveraged Funds Net
- 63
- Market Positioning
- Market Name
- BITCOIN-USD - CBOE FUTURES EXCHANGE
- Market Code
- 1330E1
- Asset Manager Net
- 0
- Leveraged Funds Net
- -1,642
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -19
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 25
- Leveraged Funds Net
- -38
- Asset Manager Net Weekly Change
- 85
- Leveraged Funds Net Weekly Change
- -101