As suggested in the CFTC Commitments of Traders report in the week ended January 14. NET LENGTH in USD Index added +795 contracts to 13 263. Speculative long positions gaomed +1 765 contracts and short positions added +970 contracts. Concerning European currencies, NET SHORT for EUR futures declined -13 482 contracts to 48 182. NET LENGTH for GBP futures increased +15 022 contracts to 31 532. On safe-haven currencies, Net SHORT for CHF futures fell +4 277 contracts to 192. NET SHORT of JPY futures soared +19 182 contracts to 31 430. On commodity currencies, NET SHORT for AUD futures declined -6 700 contracts to 20 549. Speculative long positions fell -8 294 contracts while shorts plunged -14 994 contracts. Separately, NET SHORT for NZD dropped -1 127 contracts to 361 contracts last week. NET LENGTH for CAD futures rose +6 485 contracts to 26 367.