Reported Q: Q3 2024 Rev YoY: +208.6% EPS YoY: -69.7% Move: +1.81%
PhenixFIN Corporation
PFX
$43.60 1.81%
Exchange NASDAQ Sector Financial Services Industry Asset Management
Q3 2024
Published: Aug 6, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for PFX

Reported

Report Date

Aug 6, 2024

Quarter Q3 2024

Revenue

14.93M

YoY: +208.6%

EPS

1.29

YoY: -69.7%

Market Move

+1.81%

Previous quarter: Q2 2024

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Earnings Highlights

  • Revenue of $14.93M up 208.6% year-over-year
  • EPS of $1.29 decreased by 69.7% from previous year
  • Gross margin of 100.0%
  • Net income of 2.61M
  • "N/A — No earnings transcript provided for QQ3 2024." - Management
PFX
Company PFX

Executive Summary

QQ3 2024 highlighted by a sharp jump in revenue and gross profit, aligned with PhenixFIN’s asset-management and fee-based business model. Revenue rose to $14.93 million, up 208.6% year-over-year and 220.5% quarter-over-quarter, with gross profit matching revenue (gross margin effectively 100%). Operating income was $3.70 million and EBITDA reached $4.33 million, supporting an operating margin of 24.8% and an EBITDA margin of 29.0%. Net income totaled $2.61 million, or $1.29 per basic share, reflecting a healthy bottom-line contribution despite a sizable non-operating drag and a negative cash flow profile.

Balance sheet strength is evident in an equity-heavy base (Total stockholders’ equity of $154.2 million) and a moderate leverage stance (long-term debt of $85.6 million; total debt $85.6 million with net debt approximately $76.8 million). Cash and cash equivalents stood at $8.87 million at quarter-end, resulting in a cash position that, coupled with working-capital dynamics, produced negative operating cash flow of $8.32 million and free cash flow of the same magnitude for the period. The company maintains solid liquidity metrics (current and quick ratios both near 1.77) and a conservative debt-to-capitalization profile (~35.7%), but CFO pressure warrants watching as portfolio activity and financing needs unfold.

Valuation remains modest, with a trailing P/E of about 9.0x, P/BV around 0.61x, and P/S near 6.3x, alongside a dividend yield of approximately 2.81%. Relative to peers, PhenixFIN sits in a middle-ground valuation band for asset-management and BDC-like players, though the cash-flow dynamics and ongoing balance-sheet gearing merit close monitoring. In the absence of an earnings-call transcript, management-specific guidance could not be incorporated; nonetheless, the QQ3 print reinforces the growth trajectory in fee-based revenue while underscoring the sensitivity of cash generation to working-capital movements and financing activity.

Key Performance Indicators

Revenue
Increasing
14.93M
QoQ: 220.53% | YoY: 208.61%
Gross Profit
Increasing
14.93M
1.00% margin
QoQ: 224.54% | YoY: 101.17%
Operating Income
Increasing
3.70M
QoQ: 73.09% | YoY: 40.54%
Net Income
Decreasing
2.61M
QoQ: -51.44% | YoY: -70.74%
EPS
Decreasing
1.29
QoQ: -50.76% | YoY: -69.72%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 4.49 -0.44 -3.7% View
Q1 2025 3,767.47 1.22 +65.0% View
Q4 2024 8.53 2.99 +50.3% View
Q3 2024 14.93 1.29 +208.6% View
Q2 2024 4.66 2.62 -5.2% View