Operating Cash Flow StrengthConsistent operating cash flow provides a durable internal funding source to support operations, service debt and fund project reinvestment even while accounting earnings are weak. Steady cash generation improves resilience, allowing the company to sustain investment and operations over coming quarters.
Improved Free Cash Flow In 2024Marked free cash flow improvement in 2024 indicates better cash conversion and working-capital management. This strengthens the company’s ability to self-fund capex, invest in projects or deleverage without heavy external financing, enhancing medium-term financial flexibility and strategic optionality.
Diversified Green Business MixA diversified portfolio across renewables, waste management and sustainable agriculture reduces dependency on any single revenue stream and spreads operational risk. Coupled with government incentives and local partnerships, this structural mix supports more stable, policy-aligned cash flows over multiple quarters.