Financial Policy Our financing and financial risks are managed under the control and supervision of our Board of Director's. Treasury management is centralized within the TeliaSonera Corporate Finance & Treasury unit of TeliaSonera AB. We generally seek to arrange our financing through our parent company TeliaSonera AB. Our policy is to have a strong liquidity position in terms of available cash and/or unutilized committed credit facilities. We finance our operation chiefly by borrowing under our uncommitted open-market financing programs directly in Sweden and in the international money markets and capital markets.
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