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Geopolitical Risks to Oil Markets - S&P Global Platts Issues FACTBOX and INFOGRAPHIC

S&P Global Platts logo

News provided by

S&P Global Platts

May 03, 2018, 01:13 ET

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LONDON, May 3, 2018 /PRNewswire/ -- With global oil markets now largely rebalanced, risks to oil prices, including the geopolitical risks grabbing news headlines in recent months, have become more acute.  S&P Global Platts has just issued a special FACTBOX round-up of the top geopolitical threats by country, with an accompanying infographic.

"Increased West Africa, Libya and U.S. shale production are offsetting falls in supply from Venezuela, China, Egypt, Brazil's Campos basin and North Sea," according to Chris Midgley, global head of analytics, S&P Global Platts. "At the moment we do not see oil prices returning to levels seen pre-2015 despite the market looking tight with stocks below 5 year average.  As seasonal demand jumps almost 3 million barrels per day during the northern hemisphere summer we expect Brent oil prices to test the $75-$80-per-barrel range, but may find further support from increased supply disruption and increasing geopolitical risk."

The S&P Global Platts FACTBOX, prepared by the Platts editorial team, summarizes the key energy market geopolitical risk areas as below. Find the full FACTBOX and Infographic at this S&P Global Platts FACTBOX link (http://plts.co/QIap30jOIh7):

IRAN

  • Production: 3.83 million barrels per day (b/d)
  • Main export grade: Heavy sour crude
  • Top customers: China, India, South Korea

Most Iran nuclear deal watchers expect U.S. President Donald Trump to re-impose oil sanctions on Tehran. Iran's oil output has regained most of its previous market share since sanctions were lifted in January 2016, growing 1 million b/d to hover near 4 million b/d.

The oil market continues to react sharply to any new signals from the White House, the deal's European partners, or Tehran ahead of May 12, the deadline for Trump to decide whether to continue waiving sanctions.

Renewed U.S. sanctions would likely have an immediate impact on crude exports from Iran, OPEC's third-biggest producer. Upstream investment in the country has already slowed considerably on expectations of a U.S. exit from the deal.

STRAIT OF HORMUZ

  • Oil transit volumes: 18.5 million b/d
  • Liquefied natural gas (LNG) transit volumes: 3.7 trillion cubic feet per year (Tcf/year)

The Strait of Hormuz is the key maritime transit route through which Persian Gulf exporters (Saudi Arabia, Iran, Iraq, Kuwait, Qatar, the United Arab Emirates (UAE), and Bahrain) ship their oil.

The U.S. Energy Information Administration (EIA) estimates that 18.5 million b/d, or about 30% of all seaborne oil exports, passed through the choke point in 2016 mainly to customers in East Asia. Almost a third of global LNG supplies also pass through the waterway. Qatar dominates LNG export flows through the Gulf with the UAE shipping smaller volumes.

Bordered by Iran and Oman -- at 21 miles wide -- only Iran and Saudi Arabia have alternative access routes to maritime shipping lanes.

In the past, Iran has threatened to block shipping access to the Gulf by closing the waterway as tension over Western oil sanctions simmered. Although strategists believe Iran would struggle to blockade the choke point given the constant U.S. naval presence, a return to U.S. oil sanctions could spark fresh retaliatory threats from Tehran.

VENEZUELA

  • Production: 1.49 million b/d
  • Main export grade: Heavy sour crude
  • Top customers: U.S., India, Latin America

Venezuelan output has dropped by around 40% over the last two years from 2.35 million b/d, as lower prices and a crippled economy prevent investment. The U.S. has said that it may impose further sanctions if it believes democracy is being undermined there.

The country's May 20 elections are expected to be a trigger for potential new sanctions, which could target oil or refined product flows.

Historically a major buyer of Venezuela's oil, especially on the U.S. Gulf Coast, U.S. refiners have been diversifying their supplies, importing heavy crudes from new markets as Venezuelan supply dips.

U.S. refiners imported 438,000 b/d of Venezuelan crude in January, with five Gulf Coast refineries taking 92% of the total, Energy Information Administration data shows.

SYRIA

  • Production: 20,000 b/d (International Energy Agency – IEA)

The proxy-war being fought in Syria is not seen as a direct risk to oil. However, with Russia and Iran supporting President Bashar Assad's forces, the potential for broader Middle East tension has increased after U.S.-led strikes last month.

Any confrontation between Washington and Moscow would have implications for regional oil transit and global demand.

YEMEN

  • Production: 30,000 b/d (IEA)

Yemen's Houthis rebels backed by Iran have attacked oil shipments in local waters.

Suspected militants damaged a Saudi oil tanker off the coast last month, one of the few attempted attacks to tanker shipping to be at least partially successful.

Oil market participants have raised concerns about shipping in the Red Sea and potential disruptions to supply after the attack. The rebels' recent spate of missile attacks on Saudi Arabia has shown some are able to cause damage, despite Saudi reports of successful interceptions. The Houthi leadership has said it intends to continue targeting Saudi Arabian military facilities, airports and economic infrastructure, particularly the oil sector.

RED SEA

  • Oil transit: 4.8 million b/d of crude/products

The war in Yemen has raised concerns over the Red Sea. Some 4.8 million b/d of oil and products passed through the area in 2016, representing nearly 5% of global maritime trade, according to the EIA.

Around 1.5 million b/d of crude oil mainly from Saudi Arabia, Kuwait, UAE and Oman moves south from Ain Sukhna on the Red Sea to Sidi Kerir on the Mediterranean in northern Egypt via the SUMED pipeline. The bulk of Europe's crude oil imports from the Middle East arrive through this pipeline.

As well as being a key transit route for oil, the Bab-el-Mandeb Strait is also critical to Saudi Arabia's own Red Sea refineries, which are largely supplied with crude oil produced in its eastern region shipped from the Persian Gulf.

IRAQ

  • Production: 4.46 million b/d
  • Main export grades: Heavy sour crude
  • Top customers: China, India, U.S., Europe

Simmering tensions with semi-autonomous Kurdistan in northern Iraq has hit oil exports via Turkey. Despite the defeat of the so-called Islamic State (IS), the risk of attacks from militants on energy infrastructure continues to weigh. Recent disruption has been the result of short-lived strikes and local protests.

The potential for a new push by Baghdad to take control of oil fields in Kurdish areas is also a risk.

The upcoming elections later this month are also a short-term risk, delaying contracts while the new government is formed.

LIBYA

  • Production: 970,000 b/d
  • Main export grades: Light sweet crude
  • Top customers: Italy, Spain, China
  • Gas exports to Italy: 12 million cubic meters per day (cu m/d)

Libya's oil production remains stubbornly around 1 million b/d, far below pre-war levels of 1.6 million b/d.

The lack of a clear legitimate government continues to fuel protests and attacks which have caused major disruptions to producing fields, pipeline and export infrastructure. Outages -- although mostly short-lived -- cause significant volatility in production and export flows.

Feuding factions continue to hamper energy operations making it tricky for oil companies to operate.

Concerns of renewed disruption have been fueled by the movements of Khalifa Haftar, the military strongman who controls most of eastern Libya. He recently returned to his home territory after a two-week disappearance which prompted health rumors.

RUSSIA

  • Oil production: 10.98 million b/d
  • Main export grade: Medium sour Urals
  • Gas production: 2.12 billion cubic meters per day (Bcm/d)
  • Top oil customers: China, Netherlands, Germany, Belarus
  • Top gas customers: Germany, Turkey, Italy, Belarus

Russia is the world's biggest oil producer and supplies more than a third of Europe's gas. Its political relations with the West are widely seen as having sunk to Cold War lows in the wake of accusations of political meddling in the 2016 U.S. elections and the alleged poisoning of a former Russian spy in the United Kingdom (U.K.).

While Moscow dismisses any suggestions of political risk to its oil and gas exports, lingering concerns remain over the potential to use energy supplies as a weapon.

Russia's gas supply cut-offs to Ukraine in 2014 and 2015 over a pricing dispute are widely cited as an example. Should relations with Europe deteriorate further, the potential for Russia to hike its gas export duties is seen as a supply risk for the region.

For more information on crude oil, visit the S&P Global Platts website.

CONTACT
Kathleen Tanzy, + 1 917 331 4607, [email protected]

About S&P Global Platts

At S&P Global Platts, we provide the insights; you make better informed trading and business decisions with confidence. We're the leading independent provider of information and benchmark prices for the commodities and energy markets. Customers in over 150 countries look to our expertise in news, pricing and analytics to deliver greater transparency and efficiency to markets. S&P Global Platts coverage includes oil and gas, power, petrochemicals, metals, agriculture and shipping.

 

S&P Global Platts is a division of S&P Global (NYSE: SPGI), which provides essential intelligence for individuals, companies and governments to make decisions with confidence. For more information, visit www.platts.com.

SOURCE S&P Global Platts

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