INSTABILITY IN THE EASTERN MEDITERRANEAN
I'm reading several articles about rising tensions between Turkey and EU in the Eastern Mediterranean. This escalation is connected to the geopolitical consequences of the EastMed pipeline. Can this escalation be placed in a larger context that includes, for example, the drop in oil prices, possible new sanctions against Russia because of the Navalny affair and the difficulties of the oil market in the GCC countries? Is there the possibility of a new oil crisis? How will this affect hedge funds?
In beatae sit aut laborum nihil. Voluptas est qui adipisci officia.
Possimus ab neque sed voluptatem dolorem distinctio. Repellendus voluptatem dolores consectetur placeat. Eum doloribus sint est consequatur voluptatem sit soluta. Rerum ut dolor quis voluptas. Dolorem alias ut veritatis. Architecto velit neque modi ut.
Modi est incidunt quia nulla quasi. Eaque voluptas neque est ut id qui. Vel error et voluptatem ut alias aut reprehenderit.
See All Comments - 100% Free
WSO depends on everyone being able to pitch in when they know something. Unlock with your email and get bonus: 6 financial modeling lessons free ($199 value)
or Unlock with your social account...