Retour

Explorez tous les épisodes du podcast The Commodities Institute Podcast

Plongez dans la liste complète des épisodes de The Commodities Institute Podcast. Chaque épisode est catalogué accompagné de descriptions détaillées, ce qui facilite la recherche et l'exploration de sujets spécifiques. Suivez tous les épisodes de votre podcast préféré et ne manquez aucun contenu pertinent.

Rows per page:

1–50 of 169

TitreDateDurée
Trade Tensions, Tariffs, and Shifting Commodity Flows08 Aug 202500:09:11

A deep dive into the latest moves in oil, metals, agriculture, and energy markets, exploring how trade disputes, shifting supply chains, and weather events are reshaping global commodity flows.

OPEC+ Reality Check, India’s Energy Dilemma, and Soybean Shakeups07 Aug 202500:08:51

In today’s episode, we unpack why global oil markets remain tight despite increased OPEC+ output targets, explore India’s delicate energy balancing act amid U.S. trade pressure, and examine the shifting competitiveness in global soybean and rare earth exports.

Geopolitical Tremors & Green Energy Shifts25 Jul 202500:04:25

We unpack the U.S.’s potential Venezuela oil sanction easing, plummeting North Dakota wheat yields, Ivory Coast’s cocoa crisis under EU rules, Rio Tinto’s titanium exit, and how Trump’s subsidy cuts are derailing America’s clean energy boom.


Black Sea Disruptions, Silver Surge & Shifting Trade Winds24 Jul 202500:07:29

In this episode, we unpack the major developments shaping global commodities—from oil export roadblocks in the Black Sea to silver's stellar rally and fresh moves in global beef and soymeal trade. Join us as we decode the week's biggest headlines and explore the ripple effects across global markets.

Drilling Deep, Betting Big: Exxon Returns to Trinidad & The Global Energy Balancing Act.23 Jul 202500:07:26

In this episode, we explore ExxonMobil's strategic return to Trinidad’s offshore energy scene, rising global demand for natural gas, and how geopolitical decisions are reshaping power markets and agricultural trade. From Caribbean deepwater deals to France's wheat fields and Japan's steel battles, this week’s round-up captures the critical moves shaping commodities.

India, Sanctions, and the Shifting Flow of Oil and Commodities22 Jul 202500:07:12

In this episode, we explore how EU sanctions are reshaping global oil flows and examine whether OPEC and IEA forecasts are falling behind reality. We also take a close look at U.S. corn, Russian grain, China's steel emissions, and the Philippines' pivot away from coal.


Sanctions, Shifts, and Strategic Moves: Global Commodities in Flux21 Jul 202500:06:56

In today’s episode, we break down the EU’s bold move to enforce a new Russian oil price cap, the fallout and delays in Chevron’s acquisition of Hess, and China’s tightening grip on critical mineral exports. We also touch on what Europe’s wheat glut means for farmers and why LNG flows are changing course. A packed update you won’t want to miss.


Kurdistan’s Oil Comeback, BHP’s Potash Setback & the Sugar Trade Tangle18 Jul 202500:06:33

In today’s episode, we explore the fragile reawakening of Iraqi Kurdistan’s oil exports, BHP’s costly potash pivot in Canada, and why Coca-Cola’s sugar switch could disrupt U.S. agriculture. Join us for an in-depth look at how geopolitics, energy policy, and corporate decisions are shaping today’s global commodity landscape.


Canada's Oil Sands, Kurdistan's Crisis, and the Future of Global Commodities17 Jul 202500:07:36

In this episode, we explore how Canada’s oil sands are quietly transforming into North America’s most resilient oil play, examine the dramatic drone attacks disrupting oil fields in Iraqi Kurdistan, and unpack the global ripples of low crop prices, steel trade tensions, and renewed LNG strategies.


Crude Realities and Copper Dreams: A Global Commodity Check-In16 Jul 202500:07:10

In this episode, we break down the latest developments across the oil, metals, and agricultural markets, from OPEC’s bullish tone to China’s strategic crude stockpiling and rising copper bets amid shifting geopolitical winds.


China’s Oil Boom & Split Refinery Margins, OPEC’s Demand Surge, Cocoa Weather Watch, US Rare Earth Pricing Shakeup, and Russia’s Grain Export Collapse15 Jul 202500:06:36

In this episode of The Commodities Institute Podcast, Emily Costa dives into a series of critical market developments shaping global supply chains. Hear how China’s state refineries hit record throughput while independent “teapot” operators struggle with margin pressure, alongside OPEC’s forecast for strong Q3 oil demand and planned output hikes.

Meanwhile, Ivory Coast cocoa farmers monitor pivotal weather, Brazil reports sharp declines in sugar and ethanol production, and China’s steel output plunges amid export challenges.

Emily also explores the US’s bold move to overhaul rare earth pricing and reduce China’s dominance, Venture Global’s early LNG production success, Mozambique’s potential LNG project restart, and the steep fall in Russian grain exports caused by weaker harvests and new quotas. Stay informed on how climate, policy, and geopolitics continue to disrupt commodity flows worldwide.

Brazil’s Big Oil Breakthrough and the Global Energy Shift06 Aug 202500:06:57

Today’s episode dives into Brazil’s historic deepwater oil discovery, the implications of a falling U.S. rig count, and the shifting dynamics in global energy and agriculture markets. From the heart of the Santos Basin to the fields of the Permian, we break down what these developments mean for commodities, energy security, and trade.

Markets in Flux: Oil, Grains, and the Rise of Strategic Minerals05 Aug 202500:07:26

Today’s episode explores shifting commodity markets—from oil and agriculture to metals and critical minerals. We dive into Aramco’s earnings decline, Venezuela’s cautious oil exports, Ukraine’s rising grain outlook, and Australia’s new strategy to secure rare earth supplies.

Market Shifts and Commodities Crossroads: Oil, Palm, Copper, and Coffee in Focus04 Aug 202500:07:47

In this episode, we explore the latest developments in global commodities—from OPEC+ production moves and aging palm oil plantations to China's copper dominance and U.S. trade tariffs reshaping coffee and biodiesel markets.


Tariffs, Turbulence, and Tipping Points: Commodities in Flux01 Aug 202500:06:07

Emily Costa unpacks a volatile week in commodities, from oil earnings slumps and Indian refiners backing off Russian crude to Ukraine’s smaller harvest, U.S. copper market shocks, and China’s solar shakeout.

Sanctions, Sugar, and Plunging Copper: The Week in Global Commodities01 Aug 202500:05:22

In this episode, Emily Costa unpacks the latest shocks in the oil, agriculture, and metals markets—from sweeping U.S. sanctions on Iran’s shipping network to Brazil’s sugar production downgrade and the dramatic market reaction to Trump’s scaled-back copper tariffs.

Tariffs, Tensions, and Triumphs: The Global Commodities Landscape in Flux30 Jul 202500:07:23

From looming U.S. tariffs on Russian oil buyers to groundbreaking agricultural innovations in Australia, this episode unpacks the latest geopolitical tensions, supply chain shake-ups, and unexpected resilience shaping today’s global commodities market.

Asia’s Appetite, Africa’s Harvest, and America’s LNG Push29 Jul 202500:07:48

On this episode of The Commodities Institute Podcast, we dive into surging oil prices, China’s growing influence in the refined fuels market, and U.S. ambitions to dominate LNG exports. We also examine supply challenges in cocoa and corn, and a controversial strategy unfolding in Myanmar over rare earths.

Tariffs, Trade, and Tumbling Expectations: Global Energy in Focus28 Jul 202500:06:35

Today’s episode explores the high-stakes world of global energy politics, from Trump’s controversial tariff threats on Russian oil to the EU’s ambitious—but likely unachievable—U.S. energy import pledge. We unpack what’s rhetoric, what’s realistic, and what it all means for oil markets, energy security, and global inflation.

Oil Markets Bet on Bluff, Crops Surge, and Metals Face Supply Shocks11 Aug 202500:08:00

Today’s episode dives into global oil market complacency over U.S.–India–Russia tensions, a sharp rebound in European grain harvests, and the latest disruptions in copper and lithium supply. We also explore how these developments ripple across commodities, trade, and geopolitics.

Supply Shifts, Corporate Chess Moves, and Commodities on Edge12 Aug 202500:07:26

A deep dive into today’s commodity market shifts — from Saudi oil flows to China, to the fierce battle over Citgo’s parent company, a potential shakeup in global cocoa trade, and policy moves shaping critical minerals and LNG. Emily Costa unpacks the headlines, adds context, and explores the broader market implications.


Energy Shocks, Trade Shifts, and Global Commodities at a Crossroads19 Aug 202500:09:02

Today’s episode unpacks major disruptions in oil flows to Central Europe, Indonesia’s bold refining plans, and sweeping changes in agriculture and metals markets. From Brazil’s soy moratorium suspension to India’s fight over steel tariffs, we explore how shifting energy and commodity policies are reshaping trade, industry, and geopolitics.

Oil Sanctions, Sunflower Surges, and Shifting Power Grids18 Aug 202500:09:06

In today’s episode, we unpack the latest developments shaping global commodities—from Trump’s wavering stance on China’s Russian oil purchases, to Russia’s record-breaking sunflower harvest, South Korea’s nuclear energy push, and Uganda’s ambitious gold mining project.

Oil Eases, Crops Shift, and Metals Move: A Mid-August Market Check16 Aug 202500:08:11

Today’s episode breaks down why oil prices are softening as summer demand fades, how shifting crop yields in Europe and South America are reshaping agricultural markets, and why copper and renewable energy policy are taking center stage in the metals and power sectors.

Oil Glut Looms, Crops Shift, and Metals Defy Signals14 Aug 202500:07:44

On today’s episode of The Commodities Institute Podcast, We unpacks the IEA’s warning of an oil market oversupply, shifting crop patterns in Argentina, cocoa setbacks in West Africa, a sharp copper forecast cut from Chile, and why the zinc market isn’t buying into low inventory panic. We’ll also touch on LNG arbitration victories, China’s solar slowdown, and how Brazil is edging out U.S. soybeans in key sales to China.


Oil Demand, Record Harvests, and Trade Tensions: Commodities at a Crossroads13 Aug 202500:08:14

On today’s episode, Emily Costa dives into OPEC’s bullish oil outlook, record-breaking U.S. corn and soybean harvests, and the latest in global trade tensions—from coffee tariffs to canola disputes—unpacking what these developments mean for markets and producers worldwide.


OPEC Supply Shifts, Coffee Battles, and Energy Crossroads03 Oct 202500:09:25

Today’s episode unpacks rising OPEC output, shifting U.S. fuel oil imports, Brazil’s bid to dominate robusta coffee, and global energy market tensions—from LNG Canada’s rocky startup to China’s growing role in Middle Eastern gas projects.

OPEC’s Tightrope, U.S. Farmers’ Struggles, and California’s Solar Revolution06 Oct 202500:09:53

On today’s episode of The Commodities Institute Podcast, Emily Costa dives deep into shifting energy and agriculture landscapes—from OPEC+’s delicate balancing act to the U.S. soybean sector’s trade woes, and California’s remarkable strides toward clean energy dominance.

From Oilfield Deals to Sugar Shocks: How Global Commodities Are Shifting in 202509 Oct 202500:10:23

In today’s episode of The Commodities Institute Podcast, Emily Costa dives deep into a world reshaped by politics, technology, and shifting consumer trends — from Iraq’s bold new oil partnership with Exxon to the quiet crisis facing U.S. sugar beet farmers, and from silver’s stunning price rally to China’s tightening grip on rare earth exports. We explore how energy, metals, and agriculture are navigating a volatile 2025.

Yuan Payments, Record Gold, and the Rise of Renewables08 Oct 202500:10:42

In today’s episode, we unpack the shifting tides of global commodities—from India’s quiet pivot toward yuan payments for Russian oil and Argentina’s slowing shale boom, to gold’s record-breaking rally and the world’s first-ever renewable power triumph over coal.

Oil Glut Ahead: The IEA’s Warning and What It Means for Global Energy Markets15 Oct 202500:09:26

In today’s episode, Emily Costa unpacks the International Energy Agency’s stark forecast of a major oil surplus in 2026, exploring the potential ripple effects across global markets. From OPEC+ output shifts to the evolving dynamics in agriculture and metals, Emily examines how the forces of supply, demand, and policy are reshaping the future of commodities.

Balancing the Scales: Oil Supply Shifts, Grain Struggles, and the Changing Face of Global Trade14 Oct 202500:10:35

In today’s episode, we unpack the shifting tides of global commodities—from OPEC’s new production dynamics to China’s battle with rain-soaked harvests, Chile’s push to diversify copper smelting, and the escalating trade tensions reshaping global freight flows. Join Emily Costa as she connects the dots between energy, agriculture, metals, and geopolitics in this week’s pulse of the global commodities market.

Trade Tensions, Rare Earths, and Rising Metals: The New Face of Global Commodities13 Oct 202500:10:33

In today’s episode of The Commodities Institute Podcast, Emily Costa unpacks the escalating U.S.–China trade rift, its ripple effects on energy and metals, the latest on oil and agriculture, and how Europe’s energy security is once again in question.

Shockwaves in Energy and Opportunity in Metals: A Global Commodities Rebalancing22 Oct 202500:11:48

On this October 22nd edition of The Commodities Institute Podcast, Emily Costa unpacks a volatile week across oil, agriculture, metals, carbon, and freight. From Ukrainian drone strikes disrupting Central Asian energy flows to Rio Tinto’s strategic maneuvering with China’s Chinalco and Bolivia’s cautious reawakening of its lithium ambitions—this episode dives deep into the shifting tectonics of global commodities and the forces shaping tomorrow’s markets.

Oil Glut Fears, Shadow Markets, and the New Energy Realignment21 Oct 202500:10:23

In today’s episode, we explore the mounting fears of a global oil supply glut, Donald Trump’s renewed pressure on India over Russian crude, the shifting alliances shaping the energy world, and what all this means for commodities from crude to critical minerals. From contango to critical minerals diplomacy, this is a sweeping look at how geopolitics and supply dynamics are redrawing the map of global trade.

China, Sanctions, and the Shifting Balance of Global Oil24 Oct 202500:09:40

Today, we unpack how sweeping new U.S. sanctions on Russian oil giants Rosneft and Lukoil are reshaping the global energy market, testing China and India’s diplomatic balancing acts, and rattling oil prices. Plus, we explore ripple effects across agriculture, metals, and energy—from Argentine beef to Malaysian LNG exports.

Sanctions, Surpluses, and Shifting Sands: The Week in Global Commodities27 Oct 202500:09:33

On today’s episode of The Commodities Institute Podcast, Emily Costa breaks down the latest twists in global oil, agriculture, and metals markets — from U.S. sanctions on Russian oil and record corn harvests to disruptions in copper mining and LNG’s shifting power balance. A sweeping look at how politics, production, and policy are reshaping the world’s commodity flows.

Oil Discounts, Gold Demand, and Shifting Trade Winds30 Oct 202500:10:41

In today’s episode, we dive deep into the global commodities landscape — from Iran’s oil discounts to China, to America’s surprising crude drawdowns, Argentina’s looming strike, and a golden quarter for investors. Emily unpacks the numbers, the narratives, and the geopolitical currents shaping markets as October 2025 draws to a close.

From Crude to Crops: Shifting Winds in Global Commodities04 Nov 202500:10:10

In today’s episode, Emily Costa breaks down a volatile week across oil, agriculture, metals, and energy markets — from Aramco’s profit slide and Glencore’s looming smelter shutdown to China’s soybean maneuvers and Europe’s surging LNG appetite.

A Fragile Balance: Oil Demand, Trade Truces, and Climate Compromises05 Nov 202500:10:29

This episode explores TotalEnergies’ surprising forecast for oil demand through 2040, China’s growing clean tech dominance, a thaw in U.S.-China trade tensions, and Europe’s watered-down climate deal ahead of COP30. Emily Costa unpacks how energy politics and market shifts are colliding to redefine the global commodities landscape.

Shifting Tides in Global Commodities: Oil Flows, Soybean Deals, and LNG Ambitions07 Nov 202500:10:53

In today’s episode of The Commodities Institute Podcast, Emily Costa delves into the changing landscape of global commodities — from China’s surging oil and soybean imports to the U.S. push for critical minerals and record LNG deals. We unpack how sanctions, shifting alliances, and infrastructure bottlenecks are redefining global trade dynamics and what it all means for the months ahead.

Sanctions, Shifts, and Supply: The New Crossroads in Global Commodities10 Nov 202500:08:56

In today’s episode, Emily Costa unpacks the week’s most consequential moves in oil, metals, agriculture, and power—from the collapse of Lukoil’s global operations under new U.S. sanctions to India’s shifting energy priorities and China’s recalibrated export controls. It’s a global balancing act where geopolitics, energy security, and trade strategy collide.

Aramco’s US Push, the Heavy Rare Earths Squeeze, and a Shifting Farm Map20 Nov 202500:07:46

Today we unpack a wave of market-moving moves — from Aramco’s multi-billion dollar U.S. memoranda and a scramble for heavy rare earths to shifts in U.S. crop plantings and China’s soybean sourcing — and explains what they mean for traders, producers, and long-term commodity security.

Market Threads: Ports, Refineries, and the New Logic of Commodity Risk19 Nov 202500:07:48

A clear, listener-first breakdown of how recent disruptions — from an attack on Russia’s Novorossiysk terminal to surging refining margins and shifting soy and wheat flows — are reshaping oil, agricultural, and metals markets. Practical implications for traders, processors, and policy watchers, delivered in plain language.

Chevron, China and the Changing Flow of Commodities18 Nov 202500:06:34

A close look at this week’s seismic moves across oil, agriculture, metals and power — from Chevron’s interest in Lukoil assets and China’s crude stock-building to coffee tariffs and coal phase-outs — and what they mean for markets and supply chains.

Oil Shock, Yttrium Squeeze, and a Trade U-Turn — What Commodities Traders Need to Know17 Nov 202500:07:17

In today’s episode Emily Costa breaks down a volatile week in commodities: Russia’s Black Sea export hub reopens after an attack, U.S. licensing opens the door to sales of Lukoil’s foreign assets, a surprising tariff rollback on food, a brewing yttrium shortage that could choke aerospace and semiconductors, and Saudi Aramco’s leap into U.S. LNG. Clear, actionable analysis for traders, producers, and curious listeners.

Shifting Power Plays Across Global Commodities21 Nov 202500:09:33

A deep dive into the latest cross-sector moves reshaping global commodities, from China’s metals maneuvering and Bosnia’s bid for energy independence to evolving grain balances, offshore drilling battles in the United States, and Asia’s accelerating demand for feed grains.

China’s Stealth Crude, Surging Diesel Margins, and a Global Grains Surprise24 Nov 202500:08:45

Today’s episode unpacks surprising shifts in China’s crude sourcing, why diesel markets are sending a very different signal than crude, and how agricultural and metals markets are responding to political deals, regulatory hurdles, and tightening supplies. A wide-ranging look across the global commodities grid.

Russia’s Oil Pivot, Dangote’s Big Bet, and Gold Tensions Ease in Mali25 Nov 202500:09:35

In today’s episode, we explore how Russia is working to expand oil flows to China, why Nigeria’s Dangote refinery is taking bold steps to double capacity, and how a breakthrough in Mali could reshape the global gold landscape. We also look at renewed Chinese buying in U.S. agriculture and disruptions in rare earths production.

Codelco’s premium shock, policy friction in power, and the ripple effects of sanctions. 27 Nov 202500:08:09

Emily Costa breaks down the week’s biggest moves across metals, power, agriculture, oil and dry freight — from Codelco’s record copper premium to UK oil licensing shifts, and why sanctions and policy are reshaping supply chains and investment decisions.

© My Podcast Data