China’s Grip on Global Antimony Refining: Strategic Control and Market Implications

China’s Grip on Global Antimony Refining: Strategic Control and Market Implications
Antimony

Understanding China’s Dominance in Global Antimony Refining

Antimony stands as a vital mineral for military, semiconductor, and alloy applications. China’s overwhelming control of antimony refining capacity—alongside Russia—poses significant strategic leverage in global supply chains. Together, these nations command approximately 89% of global refining, concentrating power in a few hands. This consolidation raises concerns about supply security for countries dependent on antimony for defense and industrial uses.

 

Geopolitical Risks in the Antimony Market

The dominance of China in antimony refining exposes global markets to geopolitical risks. Limited data from Russia adds uncertainty but confirms their influential role in this sector. This concentration creates vulnerabilities, especially for defense industries requiring stable, high-quality antimony supplies. Meanwhile, countries outside these spheres must explore diversification and strategic stockpiling to mitigate supply disruptions. As demand for semiconductors and advanced alloys grows, securing reliable antimony sources becomes increasingly urgent.

 

SuperMetalPrice Commentary:

China’s grip on global antimony refining underscores the strategic importance of securing critical mineral supply chains. For industries relying on antimony, understanding these geopolitical dynamics is essential. Moving forward, nations should foster domestic refining capacities and collaborate on transparent trade policies. This approach will enhance resilience against market shocks and geopolitical tensions while supporting sustainable growth in defense and technology sectors.

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