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本文以当前我国石油企业所处的新常态环境为背景,对影响我国石油企业稳定经营的重要因素进行了预测和风险探讨,并从金融衍生品市场对我国石油企业如何应对新常态提出了相应的操作建议,以尽量规避外部客观因素对石油企业正常经营的影响。
In this paper, based on the new normal environment in which Chinese petroleum enterprises are currently located, this paper forecasts and analyzes the important factors affecting the stable operation of Chinese oil companies. From the perspective of the financial derivatives market, how to deal with the new normal in petroleum enterprises in China, Operational suggestions to try to avoid the impact of external objective factors on the normal operation of oil companies.