Cash Generation RecoveryA large swing to positive operating and free cash flow in 2025 materially strengthens the company's ability to fund project work, invest in specialized facilities, and reduce refinancing needs. Durable cash generation supports capital allocation flexibility for multi‑year nuclear projects and decommissioning contracts.
Improved LeverageLower leverage and a stronger equity cushion in 2025 improve financial resilience against project overruns and cyclical troughs. Manageable debt levels preserve capacity to bid for long-duration contracts and fund working capital during outages, reducing solvency and refinancing risks over the medium term.
Lifecycle Nuclear ServicesA broad suite of technical services across the nuclear plant lifecycle creates a diversified, high‑barrier business model. Specialist lab capabilities, engineering know‑how and waste conditioning offer recurring, contractable revenue streams tied to regulatory and lifecycle drivers that persist over years.