CFTC S&P 500 Non-Commercial Net Positions

Country: United States, USD
Importance:
Medium
Sector: Market
Last release
24 Apr 2026 19:30 GMT
Actual
-110.1 K
Forecast
Previous
-115.8 K
Next release
01 May 2026 19:30 GMT
Actual
Coming in 3 days
Forecast
Previous
-110.1 K
Date (GMT)
Reference
Actual
Forecast
16 Sept 2022
13 Sep 2022
-281.0 K
09 Sept 2022
6 Sep 2022
-238.7 K
02 Sept 2022
30 Aug 2022
-239.6 K
26 Aug 2022
23 Aug 2022
-262.3 K
19 Aug 2022
16 Aug 2022
-288.0 K
12 Aug 2022
9 Aug 2022
-244.3 K
05 Aug 2022
2 Aug 2022
-231.9 K
29 Jul 2022
26 Jul 2022
-237.6 K
22 Jul 2022
19 Jul 2022
-208.1 K
15 Jul 2022
12 Jul 2022
-215.5 K
08 Jul 2022
5 Jul 2022
-183.7 K
01 Jul 2022
28 Jun 2022
-139.2 K
24 Jun 2022
21 Jun 2022
-114.3 K
17 Jun 2022
14 Jun 2022
34.3 K
10 Jun 2022
7 Jun 2022
-17.0 K
03 Jun 2022
31 May 2022
21.9 K
27 May 2022
24 May 2022
48.9 K
20 May 2022
17 May 2022
66.6 K
13 May 2022
10 May 2022
121.8 K
06 May 2022
3 May 2022
52.2 K

Commodity Futures Trading Commission's (CFTC) S&P 500 Non-Commercial Net Positions weekly report reflects the difference between the total volume of long and short S&P 500 futures positions existing in the market and opened by non-commercial (speculative) traders. The report only includes US futures markets (Chicago and New York Exchanges).

So the indicator is a net volume of long S&P 500 index positions in the United States.

News