Key risks
Valuation: PE 33.79 is elevated; 1-year return of -2.45% despite ROE 16.76% signals investor concern.
Margin swings: Operating margin ranges 7.4%–11.8% in recent quarters—verify whether operational variance, cost pressure, or product mix changes drive this.
Commodity exposure: Industrial minerals sector is cyclical and price-sensitive—verify customer concentration, pricing power, and construction/manufacturing cycle exposure.
Consolidation dependency: Consolidated revenue 40%+ higher than standalone—verify stability and returns from subsidiaries and joint ventures.
Generated analysis · source review pending