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Bjarne Schieldrop, Chief Commodities Analyst at SEB, discusses the outlook for the energy sector, and a "worst-case" that could cause an oil market shock and send prices beyond $200 a barrel.
*This video was recorded on October 11, 2024
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00:00 - $350 Oil “Worst-Case” Scenario 02:02 - Strait of Hormuz’s Strategic Importance 04:07 - Alternative Pipelines and Strategic Reserves 05:18 - Iran-Israel Conflict Scenarios and Oil Impact 07:21 - Sponsor Message: Bitcoin IRA with iTrustCapital 08:03 - U.S. and China’s Role in Strait of Hormuz Crisis 09:18 - War's Influence on Oil Prices 11:25 - Impact of Retaliatory Strikes on Oil Refineries 12:59 - Global Oil Market's Ability to Adapt 15:17 - Geopolitical Risk Premium in Oil Prices 16:08 - Future Oil Supply and Demand Dynamics 18:01 - Emerging Markets’ Role in Oil Demand 19:17 - Long-Term Projections for Oil Prices 22:13 - OPEC's Strategy and Influence on Prices 24:44 - Finding the Long-Term Oil Price Balance 25:26 - The Economic Impact of High Oil Prices 26:08 - Conclusion and Guest’s Research Platform
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