Episodes

3 days ago
The Crude Report: Oil Markets on Edge
3 days ago
3 days ago
This episode examines how the Israel-Iran conflict and concerns over the Strait of
Hormuz sent shockwaves through oil markets, driving up prices and altering
trade flows. We also explore the ceasefire’s impact, the potential return of
Iranian crude, and its implications ahead of the July 6 OPEC+ meeting.
Topics Covered:
Hormuz sent shockwaves through oil markets, driving up prices and altering
trade flows. We also explore the ceasefire’s impact, the potential return of
Iranian crude, and its implications ahead of the July 6 OPEC+ meeting.
Topics Covered:
• Israel-Iran Conflict Escalation: How missile strikes and retaliations rattled
oil markets and spiked prices.
• Strait of Hormuz Fears: The chokepoint’s strategic importance and its
impact on Mideast Gulf crude premiums.
• Winners and Losers: How Murban and Oman crude gained a temporary
edge due to bypass routes.
• Atlantic Basin Crude Surge: Why Brent-linked grades and regional sweet
crudes saw a demand boost.
• Ceasefire Impact: Market cooldown, but lingering caution and elevated
premiums.
• Iranian Oil Speculation: Confusion over potential sanction relief and what it
could mean for Asian refiners.
• Geopolitical Risk vs. Fundamentals: The market’s balancing act ahead of
the July 6 OPEC+ meeting.
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