The main contracts I have been trading have been far out listings, Gold (Jun 24), Crude Oil (Jun 25), and WTI (Mar 22). I spotted opportunity with these contracts, as although they had wide bid ask spreads, they also had a last price far enough away to increase my buying power, while waiting for the price to move in my favour. Ignore the p/l today column, as that is in fact not one day's worth of profit, and actually several weeks worth.
Pic with profits attached...
Pic with profits attached...

