In this episode, we are joined by Paul Horsnell, Global Head of Commodities Research at Standard Chartered Bank, to review the major events that had an impact on the oil and gas markets, as well as broader commodities, in 2022 and the major themes and learnings we can take into 2023. The year 2022 was extraordinary for the commodities sector with organizations struggling with unprecedented volatility while managing long term themes of a shifting political and global economic environment and energy transition. This year will likely be the same and Paul generously provides his view on how the markets will behave.