Episode

Corporate Finance Explained | Debt Refinancing Strategy

Podcast
FinPod
Published
Jun 2, 2026
Duration seconds
1448
Processing state
not_requested
Canonical source
https://podcast.corporatefinanceinstitute.com/233
Audio
https://media.transistor.fm/b25fbf25/9e97ef65.mp3
JSON
/v1/public/podcasts/finpod-6894559/episodes/corporate-finance-explained-debt-refinancing-strategy
Markdown
/podcast/finpod-6894559/corporate-finance-explained-debt-refinancing-strategy.md

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Summary

What happens when a company’s debt becomes its biggest strategic risk? In this episode of Corporate Finance Explained, we break down the hidden mechanics of corporate debt management, refinancing, restructuring, and the maturity ladder that quietly determines whether businesses thrive or collapse. Most investors focus on revenue growth, margins, and earnings. But beneath the surface, finance teams are constantly managing debt maturities, credit spreads, refinancing windows, and capital market access. When those decisions are handled well, companies gain flexibility and lower financing costs. When they are ignored, even large businesses can find themselves staring down bankruptcy.