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Trading Corner | But Why Isn't Brent Stronger? | Ep 10

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Content provided by Greg Newman. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Greg Newman or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://ro.player.fm/legal.

This week on Trading Corner, Senior Oil Derivatives Trader, James Anderson discusses key developments in the oil market with Head of Desk, Manny Newman. They dive into post-election market dynamics, refinery margins, and the impact of seasonal turnaround cycles. James shares insights on the Brent vs. Products spreads, China’s influence on global crude prices, and potential shifts in U.S. export dynamics.

Manny and James also tackle the interplay between distillate cracks, freight movements, and broader geopolitical factors, including Iranian exports and OPEC production. As we approach the holiday season, Manny and James explore how low liquidity and key events like Thanksgiving could influence market volatility.

Plus, James and our Manny debate the best trade strategies of the week—short-dated Brent vs. bullish deferred crude spreads.

  continue reading

190 episoade

Artwork
iconDistribuie
 
Manage episode 450828922 series 2660211
Content provided by Greg Newman. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Greg Newman or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://ro.player.fm/legal.

This week on Trading Corner, Senior Oil Derivatives Trader, James Anderson discusses key developments in the oil market with Head of Desk, Manny Newman. They dive into post-election market dynamics, refinery margins, and the impact of seasonal turnaround cycles. James shares insights on the Brent vs. Products spreads, China’s influence on global crude prices, and potential shifts in U.S. export dynamics.

Manny and James also tackle the interplay between distillate cracks, freight movements, and broader geopolitical factors, including Iranian exports and OPEC production. As we approach the holiday season, Manny and James explore how low liquidity and key events like Thanksgiving could influence market volatility.

Plus, James and our Manny debate the best trade strategies of the week—short-dated Brent vs. bullish deferred crude spreads.

  continue reading

190 episoade

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