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Eric Nuttall joins the Oil Ground Up podcast to discuss what he believes is the largest energy supply shock in modern history following the prolonged closure of the Strait of Hormuz. He explains why markets remain dangerously complacent despite massive global inventory drawdowns, rising geopolitical risks, and the potential for structurally higher oil prices well into the future. The conversation dives into why energy equities still appear deeply undervalued, how Canadian oil producers could benefit from a long-term supply crunch, and why Nuttall sees a generational opportunity emerging in the sector. Nuttall also outlines the risks investors should be watching closely, including possible U.S. export restrictions, weakening demand from higher fuel prices, and continued volatility tied to Middle East tensions. The discussion further explores the future of U.S. shale growth, Canada’s pipeline constraints, and the strategic importance of energy infrastructure in an increasingly unstable global market. From inventory math to capital flows, this episode offers a deep dive into the macro forces reshaping global oil markets and the investment landscape around them.
By Oil Ground Up5
66 ratings
Eric Nuttall joins the Oil Ground Up podcast to discuss what he believes is the largest energy supply shock in modern history following the prolonged closure of the Strait of Hormuz. He explains why markets remain dangerously complacent despite massive global inventory drawdowns, rising geopolitical risks, and the potential for structurally higher oil prices well into the future. The conversation dives into why energy equities still appear deeply undervalued, how Canadian oil producers could benefit from a long-term supply crunch, and why Nuttall sees a generational opportunity emerging in the sector. Nuttall also outlines the risks investors should be watching closely, including possible U.S. export restrictions, weakening demand from higher fuel prices, and continued volatility tied to Middle East tensions. The discussion further explores the future of U.S. shale growth, Canada’s pipeline constraints, and the strategic importance of energy infrastructure in an increasingly unstable global market. From inventory math to capital flows, this episode offers a deep dive into the macro forces reshaping global oil markets and the investment landscape around them.

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