Aramco CEO just dropped a bomb: global oil inventories hitting "stress levels" — could take 2 YEARS to refill.

This isn't just oil talk. Macro matters for risk-on assets. Tight energy = inflationary pressure = Fed stays hawkish longer = liquidity squeeze continues.

If you're long $BTC $ETH or any risk assets, watch crude closely. Energy shocks historically precede volatility spikes across all markets.

TLDR: Oil stress = macro headwinds. Position accordingly.