Workflow
壳牌首席财务官:由于我们看到油价波动与基本面之间存在脱节,因此我们在第二季度对石油交易采取了规避风险的策略。

Core Insights - The CFO of Shell indicated a risk-averse strategy in oil trading during the second quarter due to a disconnect observed between oil price fluctuations and fundamental market conditions [1] Group 1 - Shell's CFO highlighted the volatility in oil prices and its disconnection from the underlying fundamentals [1]