Episode

126. Iran’s Chokepoint Strategy: Oil Market’s Breaking Point?

Podcast
The Long-Short
Published
Mar 18, 2026
Duration seconds
2786
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https://shows.acast.com/the-long-short/episodes/126-irans-chokepoint-strategy-oil-markets-breaking-point
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https://sphinx.acast.com/p/open/s/636b781f4a382300110bb134/e/69ba9629073190d04ad51198/media.mp3
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/v1/public/podcasts/the-long-short-4366180/episodes/126-iran-s-chokepoint-strategy-oil-market-s-breaking-point
Markdown
/podcast/the-long-short-4366180/126-iran-s-chokepoint-strategy-oil-market-s-breaking-point.md

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Summary

As geopolitical tensions escalate in the Middle East, this episode of The Long-Short explores what a broader regional conflict could mean for hedge funds, energy markets, and macro positioning.   Damien Bruckard, Co-Founder and Chair of Geopolitical Strategy, explains why the Strait of Hormuz, a critical artery for roughly 20% of global oil supply, is central to the investment outlook, how disruption could ripple through inflation, rates, and the broader question of US dollar dominance Hosted on Acast. See acast.com/privacy for more information.