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Taking a Long-term View

Corporate finance strategy

With a highly uncertain regulatory environment, and questions over the likely shape of the financing market in the next twelve to twenty four months, a flexible, long-term portfolio is more important than ever. We speak to the Director of Treasury & Funding at Borealis about their approach.

Key points

  • Credit characteristics
  • Defining parameters
  • Leveraging group liquidity
  • External financing
  • A balanced scorecard of benefits
  • Factors in a success
  • Equipped for the future

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Included in: Corporate Finance Series

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Written by:


Jan-Martin Nufer


Director of Treasury & Funding

This article is available as part of an extensive case studies collection: Corporate Finance Series

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Corporate Case Studies

Best practice articles written by CFOs and treasurers with real world experiences. Our case studies provide practical insights into the key issues that affect the day-to-day running of a treasury department.

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