Diversified Business ModelKPM's mix of manufacturing, construction services and property investment provides durable revenue diversification across related construction value chains. This reduces single-market exposure, supports cross-selling and steady cash inflows over months, aiding resilience through sector cycles.
Improved Cash GenerationThe shift to positive operating and free cash flow indicates stronger internal cash generation and better working-capital management. This durable improvement enhances funding for operations and capex, reduces reliance on external financing, and bolsters short- to medium-term financial flexibility.
Manageable Leverage And Cash BufferA moderate leverage profile combined with a strong cash balance gives KPM capacity to absorb shocks, fund projects, and pursue opportunities without immediate refinancing. This structural balance-sheet strength supports operational continuity and strategic optionality over the coming months.