Improved Cash GenerationThe shift to positive operating cash flow (~70M) and free cash flow (~18M) in 2025 signals operational cash recovery after multi-year negatives. Durable cash inflows can fund working capital and selective investment, improving resilience and the ability to service liabilities if sustained.
Revenue ReboundReported revenue rebound and multi-year RevenueGrowth (~14%) demonstrate regained demand or improved market traction. Sustained top-line growth supports economies of scale, provides scope to absorb fixed costs, and is a prerequisite for tackling persistent losses over the medium term.
Sizable Asset BaseA sizable asset base provides a structural cushion to support operations, collateral for financing, and optionality for restructuring or asset sales. This balance sheet resource can help manage near-term obligations while the company works to restore profitability.