NEUTRAL
VIX
--:--:--UTC
Live CFTC

US 10Y Note

ZN
RatesTFF

Signal state

Bullish+31

Rates positioning shows whether traders are leaning into duration or fighting it.

Signal layer

Score breakdown

How the +100 to -100 conviction score is calculated

Macro Score

-5 pts

Target Exposure

+31%

Market History

Net Positioning History

Historical net positioning (Longs minus Shorts) for the reference trader group.

Compare Markets
US 10Y NoteAsset Manager — 6 Month Positioning Report
Report DateLong PositionsShort PositionsChange in LongsChange in ShortsNet PositionsNet Change% OI Long% OI ShortOpen Interest
Max3,227,5661,108,700+102,435+158,8402,260,813+116,51557.3%19.3%6,045,379
Min2,896,810856,387-156,042-89,2451,887,694-293,00151.6%15.3%5,163,104
13 Per. Avg3,052,561948,789-11,545-7,9982,103,771-3,54755.1%17.1%5,546,491
Mar 24, 20262,896,810856,387-68,544-21,6972,040,423-46,84756.1%16.6%5,163,104
Mar 17, 20262,965,354878,084-41,334-83,8772,087,270+42,54356.2%16.6%5,279,072
Mar 10, 20263,006,688961,961-62,048-8,2392,044,727-53,80956.5%18.1%5,324,068
Mar 3, 20263,068,736970,200-10,623+51,5672,098,536-62,19056.1%17.8%5,466,660
Feb 24, 20263,079,359918,633-56,345+43,7422,160,726-100,08751.6%15.4%5,968,025
Feb 17, 20263,135,704874,891+77,774-36,8802,260,813+114,65454.8%15.3%5,721,555
Feb 10, 20263,057,930911,771+27,270-89,2452,146,159+116,51555.6%16.6%5,500,736
Feb 3, 20263,030,6601,001,016-5,892-42,0822,029,644+36,19055.1%18.2%5,495,119
Jan 27, 20263,036,5521,043,098+40,158-65,6021,993,454+105,76053.4%18.3%5,690,843
Jan 20, 20262,996,3941,108,700-134,161+158,8401,887,694-293,00152.1%19.3%5,749,730
Jan 13, 20263,130,555949,860+1,342+40,3302,180,695-38,98854.8%16.6%5,709,182
Jan 6, 20263,129,213909,530-20,119-40,5972,219,683+20,47856.5%16.4%5,536,100
Dec 30, 20253,149,332950,127+102,435-10,2382,199,205+112,67357.3%17.3%5,500,186
Dec 23, 20253,046,897960,365+80,111+13,6642,086,532+66,44754.7%17.2%5,569,530
Dec 16, 20252,966,786946,701-33,697+16,8482,020,085-50,54554.7%17.4%5,426,319
Dec 9, 20253,000,483929,853-71,041-22,5852,070,630-48,45654.4%16.9%5,513,724
Dec 2, 20253,071,524952,438-156,042-22,8752,119,086-133,16754.5%16.9%5,637,723
Nov 25, 20253,227,566975,313+40,568+33,2512,252,253+7,31753.4%16.1%6,045,379
Nov 18, 20253,186,998942,062+66,126-35,4492,244,936+101,57555.1%16.3%5,779,841
Nov 10, 20253,120,872977,511+10,490-9,4002,143,361+19,89056.1%17.6%5,558,246
Nov 4, 20253,110,382986,911-21,132+21,6092,123,471-42,74156.9%18.0%5,470,709
Oct 28, 20253,131,514965,302+41,517+39,1962,166,212+2,32156.3%17.3%5,564,280
Oct 21, 20253,089,997926,106+50,295-34,5242,163,891+84,81956.2%16.8%5,500,348
Oct 14, 20253,039,702960,630+27,040-6,9672,079,072+34,00756.1%17.7%5,419,989
Oct 7, 20253,012,662967,597-15,629+14,4072,045,065-30,03655.8%17.9%5,399,662
Sep 30, 20253,028,291953,190+0+02,075,101+055.4%17.4%5,462,258

COT report

Longs vs shorts by trader category — week by week

Browse the official CFTC report week by week to see how each trader group's positioning has shifted. The WoW Δ column shows the net contract change from the prior week.

Mar 24, 2026(Latest)
Open interest: 5,163,104 contractsWeek 1 of 26
Trader typeLongShortNetLong % OIShort % OINet % OIWoW Δ Net

Asset Manager

Reference group used for the main bias model

2,896,810856,3872,040,423+56.1%+16.6%+39.5%-46,847

Leveraged Funds

513,0112,361,776-1,848,765+9.9%+45.7%-35.8%+86,163

Dealer Intermediary

189,736581,814-392,078+3.7%+11.3%-7.6%-35,025

Other Reportables

345,969187,302158,667+6.7%+3.6%+3.1%+1,047

Nonreportable

404,699362,94641,753+7.8%+7.0%+0.8%-5,338

Interpretation layer

Why the terminal reads this market the way it does

The platform turns the underlying scores into a readable narrative: pressure, confirmation, macro support, and crowding.

Positioning pressure

The market is leaning bullish. This week looks steady versus the recent range.

Trend check

Trend agrees with positioning.

Macro check

Macro conditions are mostly neutral right now.

Crowding

Crowding is elevated, so conviction is high but squeeze risk is rising.

Current positioning

The market is leaning bullish. Crowding is elevated, so conviction is high but squeeze risk is rising. Asset Manager is currently net long by 2,040,423 contracts.

Macro regime

Macro conditions are mostly neutral for US 10Y Note.

Replay summary

Constructive bullish regime. The market is leaning bullish. Trend agrees with positioning. Macro conditions are mostly neutral right now.

Risk layer

Veto reasons and caution flags

These are the conditions that reduce conviction even when the raw positioning signal looks strong.

Macro environment is not supportive.