Shell’s chief said it took a “prudent” approach to trading wild oil price swings triggered by geopolitical upheaval including the war between Israel and Iran, in contrast to rivals that capitalised on market volatility.
殼牌(Shell)掌門人表示,該公司對地緣政治動蕩(包括以色列與伊朗之間的戰爭)引發的劇烈油價波動采取了“審慎”的交易策略,與利用市場波動獲利的競爭對手形成鮮明對比。
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