An analysis of the 300 billion America First Refining deal announced twelve days after the Strait of Hormuz closed. The piece examines the decade-long regulatory and site preparation that preceded the announcement, Reliance Industries' positioning after being squeezed off Venezuelan and pressured off Russian crude, and the timing of the Ambani-Trump relationship. Rather than framing the deal as a reaction to crisis, the analysis argues it represents opportunistic positioning — infrastructure that was already waiting for favorable conditions. Includes a March 12, 2026 addendum noting Bloomberg's confirmation that the deal remains under negotiation and that the intent was to "smooth bilateral relations. "
JW Signal (2026) studied this question.