I think another aspect is fairly important. Investors have seen this a lot when they wanted to make oil products transactions.
We haven't really heard much about the United States strategic oil reserve. If I've understood correctly, the Americans are trying to reduce this reserve because they no longer see the point of keeping it very high. However—and perhaps you can give me more details on this development—it seems that the reserve is being maintained, probably because of low prices and because they want to avoid intensifying the drop. That's a factor to be considered in the context of the transactions. Even if, in absolute terms, the impact is perhaps not as important, it can intensify the price drop on the market.
How much do you think a factor like this could influence prices in the future?