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Saturday, August 22, 2026 · Global Edition
Bitcoin Futures Positioning — 2020
2020-12-29
- Report Date
- 12/29/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 620
- Asset Manager Short
- 32
- Leveraged Funds Long
- 3,679
- Leveraged Funds Short
- 8,466
- Open Interest
- 10,653
- Previous Positioning
- Asset Manager Net
- 543
- Leveraged Funds Net
- -5,963
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 588
- Leveraged Funds Net
- -4,787
- Asset Manager Net Weekly Change
- 45
- Leveraged Funds Net Weekly Change
- 1,176
2020-12-21
- Report Date
- 12/21/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 573
- Asset Manager Short
- 30
- Leveraged Funds Long
- 4,357
- Leveraged Funds Short
- 10,320
- Open Interest
- 12,603
- Previous Positioning
- Asset Manager Net
- 466
- Leveraged Funds Net
- -4,756
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 543
- Leveraged Funds Net
- -5,963
- Asset Manager Net Weekly Change
- 77
- Leveraged Funds Net Weekly Change
- -1,207
2020-12-15
- Report Date
- 12/15/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 492
- Asset Manager Short
- 26
- Leveraged Funds Long
- 3,946
- Leveraged Funds Short
- 8,702
- Open Interest
- 11,370
- Previous Positioning
- Asset Manager Net
- 533
- Leveraged Funds Net
- -4,989
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 466
- Leveraged Funds Net
- -4,756
- Asset Manager Net Weekly Change
- -67
- Leveraged Funds Net Weekly Change
- 233
2020-12-08
- Report Date
- 12/08/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 544
- Asset Manager Short
- 11
- Leveraged Funds Long
- 4,365
- Leveraged Funds Short
- 9,354
- Open Interest
- 11,750
- Previous Positioning
- Asset Manager Net
- 626
- Leveraged Funds Net
- -4,866
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 533
- Leveraged Funds Net
- -4,989
- Asset Manager Net Weekly Change
- -93
- Leveraged Funds Net Weekly Change
- -123
2020-12-01
- Report Date
- 12/01/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 626
- Asset Manager Short
- 0
- Leveraged Funds Long
- 4,509
- Leveraged Funds Short
- 9,375
- Open Interest
- 11,812
- Previous Positioning
- Asset Manager Net
- 668
- Leveraged Funds Net
- -4,423
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 626
- Leveraged Funds Net
- -4,866
- Asset Manager Net Weekly Change
- -42
- Leveraged Funds Net Weekly Change
- -443
2020-11-24
- Report Date
- 11/24/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 668
- Asset Manager Short
- 0
- Leveraged Funds Long
- 5,441
- Leveraged Funds Short
- 9,864
- Open Interest
- 12,336
- Previous Positioning
- Asset Manager Net
- 841
- Leveraged Funds Net
- -2,792
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 668
- Leveraged Funds Net
- -4,423
- Asset Manager Net Weekly Change
- -173
- Leveraged Funds Net Weekly Change
- -1,631
2020-11-17
- Report Date
- 11/17/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 845
- Asset Manager Short
- 4
- Leveraged Funds Long
- 5,305
- Leveraged Funds Short
- 8,097
- Open Interest
- 11,509
- Previous Positioning
- Asset Manager Net
- 825
- Leveraged Funds Net
- -2,784
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 841
- Leveraged Funds Net
- -2,792
- Asset Manager Net Weekly Change
- 16
- Leveraged Funds Net Weekly Change
- -8
2020-11-10
- Report Date
- 11/10/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 832
- Asset Manager Short
- 7
- Leveraged Funds Long
- 5,097
- Leveraged Funds Short
- 7,881
- Open Interest
- 11,311
- Previous Positioning
- Asset Manager Net
- 800
- Leveraged Funds Net
- -3,628
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 825
- Leveraged Funds Net
- -2,784
- Asset Manager Net Weekly Change
- 25
- Leveraged Funds Net Weekly Change
- 844
2020-11-03
- Report Date
- 11/03/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 800
- Asset Manager Short
- 0
- Leveraged Funds Long
- 4,379
- Leveraged Funds Short
- 8,007
- Open Interest
- 11,278
- Previous Positioning
- Asset Manager Net
- 770
- Leveraged Funds Net
- -3,548
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 800
- Leveraged Funds Net
- -3,628
- Asset Manager Net Weekly Change
- 30
- Leveraged Funds Net Weekly Change
- -80
2020-10-27
- Report Date
- 10/27/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 770
- Asset Manager Short
- 0
- Leveraged Funds Long
- 5,462
- Leveraged Funds Short
- 9,010
- Open Interest
- 12,665
- Previous Positioning
- Asset Manager Net
- 874
- Leveraged Funds Net
- -3,183
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 770
- Leveraged Funds Net
- -3,548
- Asset Manager Net Weekly Change
- -104
- Leveraged Funds Net Weekly Change
- -365
2020-10-20
- Report Date
- 10/20/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 874
- Asset Manager Short
- 0
- Leveraged Funds Long
- 4,558
- Leveraged Funds Short
- 7,741
- Open Interest
- 10,896
- Previous Positioning
- Asset Manager Net
- 702
- Leveraged Funds Net
- -2,827
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 874
- Leveraged Funds Net
- -3,183
- Asset Manager Net Weekly Change
- 172
- Leveraged Funds Net Weekly Change
- -356
2020-10-13
- Report Date
- 10/13/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 702
- Asset Manager Short
- 0
- Leveraged Funds Long
- 3,487
- Leveraged Funds Short
- 6,314
- Open Interest
- 9,353
- Previous Positioning
- Asset Manager Net
- 639
- Leveraged Funds Net
- -2,701
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 702
- Leveraged Funds Net
- -2,827
- Asset Manager Net Weekly Change
- 63
- Leveraged Funds Net Weekly Change
- -126
2020-10-06
- Report Date
- 10/06/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 703
- Asset Manager Short
- 64
- Leveraged Funds Long
- 2,153
- Leveraged Funds Short
- 4,854
- Open Interest
- 7,511
- Previous Positioning
- Asset Manager Net
- 497
- Leveraged Funds Net
- -2,726
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 639
- Leveraged Funds Net
- -2,701
- Asset Manager Net Weekly Change
- 142
- Leveraged Funds Net Weekly Change
- 25
2020-09-29
- Report Date
- 09/29/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 525
- Asset Manager Short
- 28
- Leveraged Funds Long
- 2,004
- Leveraged Funds Short
- 4,730
- Open Interest
- 7,324
- Previous Positioning
- Asset Manager Net
- 273
- Leveraged Funds Net
- -2,200
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 497
- Leveraged Funds Net
- -2,726
- Asset Manager Net Weekly Change
- 224
- Leveraged Funds Net Weekly Change
- -526
2020-09-22
- Report Date
- 09/22/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 285
- Asset Manager Short
- 12
- Leveraged Funds Long
- 2,280
- Leveraged Funds Short
- 4,480
- Open Interest
- 8,426
- Previous Positioning
- Asset Manager Net
- 705
- Leveraged Funds Net
- -2,405
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 273
- Leveraged Funds Net
- -2,200
- Asset Manager Net Weekly Change
- -432
- Leveraged Funds Net Weekly Change
- 205
2020-09-15
- Report Date
- 09/15/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 717
- Asset Manager Short
- 12
- Leveraged Funds Long
- 2,819
- Leveraged Funds Short
- 5,224
- Open Interest
- 9,383
- Previous Positioning
- Asset Manager Net
- 221
- Leveraged Funds Net
- -1,903
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 705
- Leveraged Funds Net
- -2,405
- Asset Manager Net Weekly Change
- 484
- Leveraged Funds Net Weekly Change
- -502
2020-09-08
- Report Date
- 09/08/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 256
- Asset Manager Short
- 35
- Leveraged Funds Long
- 2,758
- Leveraged Funds Short
- 4,661
- Open Interest
- 8,198
- Previous Positioning
- Asset Manager Net
- 563
- Leveraged Funds Net
- -2,571
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 221
- Leveraged Funds Net
- -1,903
- Asset Manager Net Weekly Change
- -342
- Leveraged Funds Net Weekly Change
- 668
2020-09-01
- Report Date
- 09/01/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 745
- Asset Manager Short
- 182
- Leveraged Funds Long
- 4,271
- Leveraged Funds Short
- 6,842
- Open Interest
- 10,617
- Previous Positioning
- Asset Manager Net
- 295
- Leveraged Funds Net
- -1,309
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 563
- Leveraged Funds Net
- -2,571
- Asset Manager Net Weekly Change
- 268
- Leveraged Funds Net Weekly Change
- -1,262
2020-08-25
- Report Date
- 08/25/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 296
- Asset Manager Short
- 1
- Leveraged Funds Long
- 4,839
- Leveraged Funds Short
- 6,148
- Open Interest
- 11,615
- Previous Positioning
- Asset Manager Net
- -289
- Leveraged Funds Net
- -2,830
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 295
- Leveraged Funds Net
- -1,309
- Asset Manager Net Weekly Change
- 584
- Leveraged Funds Net Weekly Change
- 1,521
2020-08-18
- Report Date
- 08/18/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 296
- Asset Manager Short
- 585
- Leveraged Funds Long
- 5,760
- Leveraged Funds Short
- 8,590
- Open Interest
- 14,454
- Previous Positioning
- Asset Manager Net
- -289
- Leveraged Funds Net
- -1,341
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -289
- Leveraged Funds Net
- -2,830
- Asset Manager Net Weekly Change
- 0
- Leveraged Funds Net Weekly Change
- -1,489
2020-08-11
- Report Date
- 08/11/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 206
- Asset Manager Short
- 495
- Leveraged Funds Long
- 6,444
- Leveraged Funds Short
- 7,785
- Open Interest
- 13,090
- Previous Positioning
- Asset Manager Net
- -133
- Leveraged Funds Net
- -1,390
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -289
- Leveraged Funds Net
- -1,341
- Asset Manager Net Weekly Change
- -156
- Leveraged Funds Net Weekly Change
- 49
2020-08-04
- Report Date
- 08/04/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 451
- Asset Manager Short
- 584
- Leveraged Funds Long
- 6,312
- Leveraged Funds Short
- 7,702
- Open Interest
- 12,703
- Previous Positioning
- Asset Manager Net
- -38
- Leveraged Funds Net
- -1,960
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -133
- Leveraged Funds Net
- -1,390
- Asset Manager Net Weekly Change
- -95
- Leveraged Funds Net Weekly Change
- 570
2020-07-28
- Report Date
- 07/28/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 646
- Asset Manager Short
- 684
- Leveraged Funds Long
- 5,982
- Leveraged Funds Short
- 7,942
- Open Interest
- 13,068
- Previous Positioning
- Asset Manager Net
- 207
- Leveraged Funds Net
- -1,940
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -38
- Leveraged Funds Net
- -1,960
- Asset Manager Net Weekly Change
- -245
- Leveraged Funds Net Weekly Change
- -20
2020-07-21
- Report Date
- 07/21/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 485
- Asset Manager Short
- 278
- Leveraged Funds Long
- 4,122
- Leveraged Funds Short
- 6,062
- Open Interest
- 9,230
- Previous Positioning
- Asset Manager Net
- 189
- Leveraged Funds Net
- -1,887
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 207
- Leveraged Funds Net
- -1,940
- Asset Manager Net Weekly Change
- 18
- Leveraged Funds Net Weekly Change
- -53
2020-07-14
- Report Date
- 07/14/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 444
- Asset Manager Short
- 255
- Leveraged Funds Long
- 3,573
- Leveraged Funds Short
- 5,460
- Open Interest
- 8,322
- Previous Positioning
- Asset Manager Net
- 423
- Leveraged Funds Net
- -2,469
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 189
- Leveraged Funds Net
- -1,887
- Asset Manager Net Weekly Change
- -234
- Leveraged Funds Net Weekly Change
- 582
2020-07-07
- Report Date
- 07/07/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 626
- Asset Manager Short
- 203
- Leveraged Funds Long
- 3,262
- Leveraged Funds Short
- 5,731
- Open Interest
- 8,165
- Previous Positioning
- Asset Manager Net
- 282
- Leveraged Funds Net
- -2,253
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 423
- Leveraged Funds Net
- -2,469
- Asset Manager Net Weekly Change
- 141
- Leveraged Funds Net Weekly Change
- -216
2020-06-30
- Report Date
- 06/30/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 362
- Asset Manager Short
- 80
- Leveraged Funds Long
- 3,079
- Leveraged Funds Short
- 5,332
- Open Interest
- 7,675
- Previous Positioning
- Asset Manager Net
- 345
- Leveraged Funds Net
- -2,383
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 282
- Leveraged Funds Net
- -2,253
- Asset Manager Net Weekly Change
- -63
- Leveraged Funds Net Weekly Change
- 130
2020-06-23
- Report Date
- 06/23/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 642
- Asset Manager Short
- 297
- Leveraged Funds Long
- 3,847
- Leveraged Funds Short
- 6,230
- Open Interest
- 9,330
- Previous Positioning
- Asset Manager Net
- 112
- Leveraged Funds Net
- -1,934
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 345
- Leveraged Funds Net
- -2,383
- Asset Manager Net Weekly Change
- 233
- Leveraged Funds Net Weekly Change
- -449
2020-06-16
- Report Date
- 06/16/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 406
- Asset Manager Short
- 294
- Leveraged Funds Long
- 3,776
- Leveraged Funds Short
- 5,710
- Open Interest
- 8,784
- Previous Positioning
- Asset Manager Net
- 221
- Leveraged Funds Net
- -1,995
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 112
- Leveraged Funds Net
- -1,934
- Asset Manager Net Weekly Change
- -109
- Leveraged Funds Net Weekly Change
- 61
2020-06-09
- Report Date
- 06/09/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 435
- Asset Manager Short
- 214
- Leveraged Funds Long
- 4,203
- Leveraged Funds Short
- 6,198
- Open Interest
- 9,565
- Previous Positioning
- Asset Manager Net
- 209
- Leveraged Funds Net
- -2,068
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 221
- Leveraged Funds Net
- -1,995
- Asset Manager Net Weekly Change
- 12
- Leveraged Funds Net Weekly Change
- 73
2020-06-02
- Report Date
- 06/02/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 423
- Asset Manager Short
- 214
- Leveraged Funds Long
- 3,684
- Leveraged Funds Short
- 5,752
- Open Interest
- 8,824
- Previous Positioning
- Asset Manager Net
- 270
- Leveraged Funds Net
- -903
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 209
- Leveraged Funds Net
- -2,068
- Asset Manager Net Weekly Change
- -61
- Leveraged Funds Net Weekly Change
- -1,165
2020-05-26
- Report Date
- 05/26/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 363
- Asset Manager Short
- 93
- Leveraged Funds Long
- 3,880
- Leveraged Funds Short
- 4,783
- Open Interest
- 8,722
- Previous Positioning
- Asset Manager Net
- 149
- Leveraged Funds Net
- -1,357
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 270
- Leveraged Funds Net
- -903
- Asset Manager Net Weekly Change
- 121
- Leveraged Funds Net Weekly Change
- 454
2020-05-19
- Report Date
- 05/19/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 342
- Asset Manager Short
- 193
- Leveraged Funds Long
- 5,458
- Leveraged Funds Short
- 6,815
- Open Interest
- 10,878
- Previous Positioning
- Asset Manager Net
- 169
- Leveraged Funds Net
- -1,554
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 149
- Leveraged Funds Net
- -1,357
- Asset Manager Net Weekly Change
- -20
- Leveraged Funds Net Weekly Change
- 197
2020-05-12
- Report Date
- 05/12/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 282
- Asset Manager Short
- 113
- Leveraged Funds Long
- 4,923
- Leveraged Funds Short
- 6,477
- Open Interest
- 9,939
- Previous Positioning
- Asset Manager Net
- 316
- Leveraged Funds Net
- -957
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 169
- Leveraged Funds Net
- -1,554
- Asset Manager Net Weekly Change
- -147
- Leveraged Funds Net Weekly Change
- -597
2020-05-05
- Report Date
- 05/05/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 316
- Asset Manager Short
- 0
- Leveraged Funds Long
- 3,312
- Leveraged Funds Short
- 4,269
- Open Interest
- 7,784
- Previous Positioning
- Asset Manager Net
- 289
- Leveraged Funds Net
- -1,355
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 316
- Leveraged Funds Net
- -957
- Asset Manager Net Weekly Change
- 27
- Leveraged Funds Net Weekly Change
- 398
2020-04-28
- Report Date
- 04/28/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 324
- Asset Manager Short
- 35
- Leveraged Funds Long
- 2,024
- Leveraged Funds Short
- 3,379
- Open Interest
- 6,111
- Previous Positioning
- Asset Manager Net
- -98
- Leveraged Funds Net
- -632
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 289
- Leveraged Funds Net
- -1,355
- Asset Manager Net Weekly Change
- 387
- Leveraged Funds Net Weekly Change
- -723
2020-04-21
- Report Date
- 04/21/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 218
- Asset Manager Short
- 316
- Leveraged Funds Long
- 2,394
- Leveraged Funds Short
- 3,026
- Open Interest
- 5,648
- Previous Positioning
- Asset Manager Net
- -80
- Leveraged Funds Net
- -938
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -98
- Leveraged Funds Net
- -632
- Asset Manager Net Weekly Change
- -18
- Leveraged Funds Net Weekly Change
- 306
2020-04-14
- Report Date
- 04/14/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 203
- Asset Manager Short
- 283
- Leveraged Funds Long
- 2,260
- Leveraged Funds Short
- 3,198
- Open Interest
- 5,538
- Previous Positioning
- Asset Manager Net
- 17
- Leveraged Funds Net
- -1,200
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -80
- Leveraged Funds Net
- -938
- Asset Manager Net Weekly Change
- -97
- Leveraged Funds Net Weekly Change
- 262
2020-04-07
- Report Date
- 04/07/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 221
- Asset Manager Short
- 204
- Leveraged Funds Long
- 2,452
- Leveraged Funds Short
- 3,652
- Open Interest
- 5,448
- Previous Positioning
- Asset Manager Net
- -75
- Leveraged Funds Net
- -1,113
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 17
- Leveraged Funds Net
- -1,200
- Asset Manager Net Weekly Change
- 92
- Leveraged Funds Net Weekly Change
- -87
2020-03-31
- Report Date
- 03/31/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 173
- Asset Manager Short
- 248
- Leveraged Funds Long
- 1,489
- Leveraged Funds Short
- 2,602
- Open Interest
- 3,947
- Previous Positioning
- Asset Manager Net
- -172
- Leveraged Funds Net
- -1,155
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -75
- Leveraged Funds Net
- -1,113
- Asset Manager Net Weekly Change
- 97
- Leveraged Funds Net Weekly Change
- 42
2020-03-24
- Report Date
- 03/24/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 125
- Asset Manager Short
- 297
- Leveraged Funds Long
- 1,136
- Leveraged Funds Short
- 2,291
- Open Interest
- 3,909
- Previous Positioning
- Asset Manager Net
- -364
- Leveraged Funds Net
- -1,038
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -172
- Leveraged Funds Net
- -1,155
- Asset Manager Net Weekly Change
- 192
- Leveraged Funds Net Weekly Change
- -117
2020-03-17
- Report Date
- 03/17/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 101
- Asset Manager Short
- 465
- Leveraged Funds Long
- 1,869
- Leveraged Funds Short
- 2,907
- Open Interest
- 4,474
- Previous Positioning
- Asset Manager Net
- -247
- Leveraged Funds Net
- -1,581
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -364
- Leveraged Funds Net
- -1,038
- Asset Manager Net Weekly Change
- -117
- Leveraged Funds Net Weekly Change
- 543
2020-03-10
- Report Date
- 03/10/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 115
- Asset Manager Short
- 362
- Leveraged Funds Long
- 1,421
- Leveraged Funds Short
- 3,002
- Open Interest
- 4,368
- Previous Positioning
- Asset Manager Net
- -33
- Leveraged Funds Net
- -2,690
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -247
- Leveraged Funds Net
- -1,581
- Asset Manager Net Weekly Change
- -214
- Leveraged Funds Net Weekly Change
- 1,109
2020-03-03
- Report Date
- 03/03/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 163
- Asset Manager Short
- 196
- Leveraged Funds Long
- 764
- Leveraged Funds Short
- 3,454
- Open Interest
- 4,837
- Previous Positioning
- Asset Manager Net
- -25
- Leveraged Funds Net
- -2,737
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -33
- Leveraged Funds Net
- -2,690
- Asset Manager Net Weekly Change
- -8
- Leveraged Funds Net Weekly Change
- 47
2020-02-25
- Report Date
- 02/25/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 164
- Asset Manager Short
- 189
- Leveraged Funds Long
- 1,774
- Leveraged Funds Short
- 4,511
- Open Interest
- 5,632
- Previous Positioning
- Asset Manager Net
- 83
- Leveraged Funds Net
- -2,806
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -25
- Leveraged Funds Net
- -2,737
- Asset Manager Net Weekly Change
- -108
- Leveraged Funds Net Weekly Change
- 69
2020-02-18
- Report Date
- 02/18/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 260
- Asset Manager Short
- 177
- Leveraged Funds Long
- 2,452
- Leveraged Funds Short
- 5,258
- Open Interest
- 6,463
- Previous Positioning
- Asset Manager Net
- 219
- Leveraged Funds Net
- -2,316
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 83
- Leveraged Funds Net
- -2,806
- Asset Manager Net Weekly Change
- -136
- Leveraged Funds Net Weekly Change
- -490
2020-02-11
- Report Date
- 02/11/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 367
- Asset Manager Short
- 148
- Leveraged Funds Long
- 2,237
- Leveraged Funds Short
- 4,553
- Open Interest
- 6,106
- Previous Positioning
- Asset Manager Net
- -302
- Leveraged Funds Net
- -1,700
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 219
- Leveraged Funds Net
- -2,316
- Asset Manager Net Weekly Change
- 521
- Leveraged Funds Net Weekly Change
- -616
2020-02-04
- Report Date
- 02/04/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 132
- Asset Manager Short
- 434
- Leveraged Funds Long
- 1,436
- Leveraged Funds Short
- 3,136
- Open Interest
- 4,367
- Previous Positioning
- Asset Manager Net
- -47
- Leveraged Funds Net
- -1,160
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -302
- Leveraged Funds Net
- -1,700
- Asset Manager Net Weekly Change
- -255
- Leveraged Funds Net Weekly Change
- -540
2020-01-28
- Report Date
- 01/28/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 391
- Asset Manager Short
- 438
- Leveraged Funds Long
- 1,747
- Leveraged Funds Short
- 2,907
- Open Interest
- 4,917
- Previous Positioning
- Asset Manager Net
- -260
- Leveraged Funds Net
- -731
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -47
- Leveraged Funds Net
- -1,160
- Asset Manager Net Weekly Change
- 213
- Leveraged Funds Net Weekly Change
- -429
2020-01-21
- Report Date
- 01/21/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 185
- Asset Manager Short
- 445
- Leveraged Funds Long
- 2,304
- Leveraged Funds Short
- 3,035
- Open Interest
- 5,139
- Previous Positioning
- Asset Manager Net
- -28
- Leveraged Funds Net
- -651
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -260
- Leveraged Funds Net
- -731
- Asset Manager Net Weekly Change
- -232
- Leveraged Funds Net Weekly Change
- -80
2020-01-14
- Report Date
- 01/14/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 272
- Asset Manager Short
- 300
- Leveraged Funds Long
- 2,688
- Leveraged Funds Short
- 3,339
- Open Interest
- 5,405
- Previous Positioning
- Asset Manager Net
- 7
- Leveraged Funds Net
- -1,144
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- -28
- Leveraged Funds Net
- -651
- Asset Manager Net Weekly Change
- -35
- Leveraged Funds Net Weekly Change
- 493
2020-01-07
- Report Date
- 01/07/2020
- Commodity Name
- BITCOIN
- Markets
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Long
- 338
- Asset Manager Short
- 331
- Leveraged Funds Long
- 2,517
- Leveraged Funds Short
- 3,661
- Open Interest
- 5,400
- Previous Positioning
- Asset Manager Net
- -278
- Leveraged Funds Net
- -803
- Market Positioning
- Market Name
- BITCOIN - CHICAGO MERCANTILE EXCHANGE
- Market Code
- 133741
- Asset Manager Net
- 7
- Leveraged Funds Net
- -1,144
- Asset Manager Net Weekly Change
- 285
- Leveraged Funds Net Weekly Change
- -341