← Futures Positioning

SOFR-1M

CHICAGO MERCANTILE EXCHANGE

RatesTraders in Financial Futures report

As of 2026-09-08 · 240 weeks of history · open interest 1,226,251 contracts

Speculators — Leveraged & Asset Managers

Neutral

-269,679

net contracts · -22.0% of open interest

242,227

Long

511,906

Short

COT Index (3yr): 34 · 6mo 50.8+133,215 wk/wk

Commercials — Dealers/Intermediaries

Neutral

+275,292

net contracts · +22.4% of open interest

481,283

Long

205,991

Short

COT Index (3yr): 66.5

Reading the COT Index

The COT Index shows where leveraged & asset managers' current net position sits within its 3-year range: 0 means the most net-short they've been in that window, 100the most net-long. Readings near the extremes are watched as potential turning points — but this is a description of positioning, not a prediction. "Leveraged & Asset Managers" is the speculator group and "Dealers/Intermediaries" the hedging group under the traders in financial futures report.

Recent History · last 26 weeks

WeekSpec NetSpec %OICOT IdxComm NetOpen Interest
2026-09-08-269,679-22.0%34+275,2921,226,251
2026-09-01-402,894-24.3%17.2+408,9271,654,938
2026-08-25-335,435-21.2%25.7+352,5351,585,818
2026-08-18-346,732-24.2%24.3+360,7551,431,755
2026-08-11-362,963-26.5%22.2+377,1451,371,754
2026-08-04-372,353-27.6%21+386,2101,348,734
2026-07-28-332,713-21.0%26.1+368,7491,583,625
2026-07-21-323,106-21.0%27.3+361,1431,535,514
2026-07-14-317,777-21.6%27.9+353,3751,470,901
2026-07-07-313,481-21.4%28.5+347,3171,464,150
2026-06-30-356,182-20.2%23.1+376,7321,762,889
2026-06-23-296,514-18.3%30.6+310,2871,616,614
2026-06-16-343,754-20.4%24.7+357,3201,681,245
2026-06-09-278,636-18.7%32.9+291,9711,487,854
2026-06-02-237,117-16.5%38.2+251,4311,436,382
2026-05-26-348,194-21.3%24.1+346,7351,633,396
2026-05-19-219,968-15.4%40.3+221,6111,430,023
2026-05-12-225,327-17.0%39.7+228,0121,325,406
2026-05-05-233,953-20.3%38.6+236,6121,153,096
2026-04-28-196,885-13.9%43.3+186,8771,413,565
2026-04-21-171,533-12.7%46.5+161,6671,351,248
2026-04-14-158,683-12.2%48.1+149,5951,304,311
2026-04-07-140,491-10.8%50.4+130,4041,302,700
2026-03-31-194,078-11.8%43.6+185,2531,645,019
2026-03-24-312,275-20.2%28.6+303,5501,546,170
2026-03-17-349,754-23.8%23.9+342,4191,467,622

Data is from the U.S. Commodity Futures Trading Commission's public Commitments of Traders (COT) reports. This is a data-visualization and educational tool showing historical trader positioning. It is not investment advice and is not a forecast of price. Positioning is not price — COT shows who held positions as of a past date and does not predict market direction; the popular idea of 'trading the COT' is widely debated. Figures reflect the prior Tuesday and are published Friday, so they are several days stale. Trader classifications come from self-reported CFTC Form 40 filings and can shift week to week. Category definitions differ across the Legacy, Disaggregated, and Financial Futures reports and are not directly comparable. A market drops off the report if it has fewer than 20 large traders. Historical values are never revised once published. Not affiliated with, authorized, or endorsed by the CFTC or any government agency.

SOFR-1M — Futures Positioning (CFTC COT) | SEC Data Investor | SEC Data Investor