Rettig Group is a privately held company. We finance our operations by supplementing our internally-generated funds with external loans. We have short-term and long-term financing programmes to secure the required financial flexibility. Our treasury team is responsible for borrowing, liquidity management and managing the associated risk exposure of Rettig Group.
|Funding strategy and principles »||Funding structure »||Outstanding bonds »|
|Commercial paper programme »||Debt maturity profile »||Funding position »|