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2012年1月,国际原油市场呈现窄幅震荡走势。尽管美欧部分经济数据向好,中国可能采取刺激经济措施的预期,以及中东紧张局势(尼日利亚因燃油补贴结束引发罢工、欧盟决定于7月1日起对伊实施石油禁运),美国可能出现炼厂工人罢工等因素给油价一定支撑,但市场对未来石油需求疲软的担忧加剧,希腊债务问题仍然未能达成最终解决方案、欧洲部分国家评级遭调降、美国去年四季度GDP低于预期等因素限制了油价涨幅
In January 2012, the international crude oil market showed a narrow range of shocks. Although some economic data in the United States and Europe may improve, China may take the expectation of stimulating economic measures, and the Middle East tensions (Nigeria triggered a strike by the end of fuel subsidies and the EU decided to impose a petroleum embargo on Iraq from July 1), the United States may emerge Refineries workers strikes and other factors to the oil price support, but the market for oil demand in the future to worry about the weakening of Greece’s debt problem still failed to reach a final solution, some European countries were downgraded, the United States in the fourth quarter of last year, GDP was lower than expected Factors limit the price rise