{"ticker":"PFX","downloaded_at":"2026-08-20","balance_sheet":{"2026-06-30":{"Treasury Shares Number":null,"Ordinary Shares Number":1932600.0,"Share Issued":1932600.0,"Net Debt":144531917.0,"Total Debt":146710000.0,"Tangible Book Value":157862907.0,"Invested Capital":304572907.0,"Net Tangible Assets":157862907.0,"Common Stock Equity":157862907.0,"Total Capitalization":304572907.0,"Total Equity Gross Minority Interest":157862907.0,"Stockholders Equity":157862907.0,"Retained Earnings":-543423385.0,"Additional Paid In Capital":701284360.0,"Capital Stock":1932.0,"Common Stock":1932.0,"Total Liabilities Net Minority Interest":152024046.0,"Long Term Debt And Capital Lease Obligation":146710000.0,"Payables":2850651.0,"Other Payable":224322.0,"Total Tax Payable":77509.0,"Accounts Payable":2548820.0,"Total Assets":309886953.0,"Investments And Advances":301637310.0,"Investmentin Financial Assets":301637310.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":301637310.0,"Prepaid Assets":84797.0,"Receivables":1741025.0,"Cash And Cash Equivalents":2178083.0,"Cash Cash Equivalents And Federal Funds Sold":2178083.0},"2026-03-31":{"Treasury Shares Number":790471.0,"Ordinary Shares Number":1933238.0,"Share Issued":2723709.0,"Net Debt":143552206.0,"Total Debt":146627000.0,"Tangible Book Value":153811704.0,"Invested Capital":300438704.0,"Net Tangible Assets":153811704.0,"Common Stock Equity":153811704.0,"Total Capitalization":300438704.0,"Total Equity Gross Minority Interest":153811704.0,"Stockholders Equity":153811704.0,"Retained Earnings":-547505760.0,"Additional Paid In Capital":701315531.0,"Capital Stock":1933.0,"Common Stock":1933.0,"Total Liabilities Net Minority Interest":151763073.0,"Long Term Debt And Capital Lease Obligation":146627000.0,"Payables":2636195.0,"Other Payable":126936.0,"Total Tax Payable":48137.0,"Accounts Payable":2461122.0,"Total Assets":305574777.0,"Investments And Advances":295810691.0,"Investmentin Financial Assets":295810691.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":295810691.0,"Prepaid Assets":115969.0,"Receivables":2075079.0,"Cash And Cash Equivalents":3074794.0,"Cash Cash Equivalents And Federal Funds Sold":3074794.0},"2025-12-31":{"Treasury Shares Number":724075.0,"Ordinary Shares Number":1999634.0,"Share Issued":2723709.0,"Net Debt":143138153.0,"Total Debt":146545000.0,"Tangible Book Value":155821248.0,"Invested Capital":302366248.0,"Net Tangible Assets":155821248.0,"Common Stock Equity":155821248.0,"Total Capitalization":302366248.0,"Total Equity Gross Minority Interest":155821248.0,"Stockholders Equity":155821248.0,"Retained Earnings":-548638528.0,"Additional Paid In Capital":704457776.0,"Capital Stock":2000.0,"Common Stock":2000.0,"Total Liabilities Net Minority Interest":151559913.0,"Long Term Debt And Capital Lease Obligation":146545000.0,"Payables":2533529.0,"Other Payable":132365.0,"Total Tax Payable":178690.0,"Accounts Payable":2222474.0,"Total Assets":307381161.0,"Investments And Advances":295639564.0,"Investmentin Financial Assets":295639564.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":295639564.0,"Prepaid Assets":42076.0,"Receivables":3489405.0,"Cash And Cash Equivalents":3406847.0,"Cash Cash Equivalents And Federal Funds Sold":3406847.0},"2025-09-30":{"Treasury Shares Number":719940.0,"Ordinary Shares Number":2003769.0,"Share Issued":2723709.0,"Net Debt":140722629.0,"Total Debt":148012000.0,"Tangible Book Value":160774300.0,"Invested Capital":308786300.0,"Net Tangible Assets":160774300.0,"Common Stock Equity":160774300.0,"Total Capitalization":308786300.0,"Total Equity Gross Minority Interest":160774300.0,"Stockholders Equity":160774300.0,"Retained Earnings":-543868352.0,"Additional Paid In Capital":704640648.0,"Capital Stock":2004.0,"Common Stock":2004.0,"Total Liabilities Net Minority Interest":156135495.0,"Long Term Debt And Capital Lease Obligation":148012000.0,"Payables":5684366.0,"Other Payable":132365.0,"Total Tax Payable":137538.0,"Accounts Payable":5414463.0,"Total Assets":316909795.0,"Investments And Advances":302272488.0,"Investmentin Financial Assets":302272488.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":302272488.0,"Prepaid Assets":96342.0,"Receivables":1885205.0,"Cash And Cash Equivalents":7289371.0,"Cash Cash Equivalents And Federal Funds Sold":7289371.0},"2025-06-30":{"Treasury Shares Number":719840.0,"Ordinary Shares Number":2003869.0,"Share Issued":2723709.0,"Net Debt":137648481.0,"Total Debt":144919000.0,"Tangible Book Value":156694119.0,"Invested Capital":301613119.0,"Net Tangible Assets":156694119.0,"Common Stock Equity":156694119.0,"Total Capitalization":301613119.0,"Total Equity Gross Minority Interest":156694119.0,"Stockholders Equity":156694119.0,"Retained Earnings":-547421557.0,"Additional Paid In Capital":704113672.0,"Capital Stock":2004.0,"Common Stock":2004.0,"Total Liabilities Net Minority Interest":150116113.0,"Long Term Debt And Capital Lease Obligation":144919000.0,"Payables":4666207.0,"Other Payable":152365.0,"Total Tax Payable":null,"Accounts Payable":4513842.0,"Total Assets":306810232.0,"Investments And Advances":294438831.0,"Investmentin Financial Assets":294438831.0,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":294438831.0,"Prepaid Assets":101115.0,"Receivables":2289330.0,"Cash And Cash Equivalents":7270519.0,"Cash Cash Equivalents And Federal Funds Sold":7270519.0},"2025-03-31":{"Treasury Shares Number":703931.0,"Ordinary Shares Number":null,"Share Issued":null,"Net Debt":null,"Total Debt":null,"Tangible Book Value":null,"Invested Capital":null,"Net Tangible Assets":null,"Common Stock Equity":null,"Total Capitalization":null,"Total Equity Gross Minority Interest":null,"Stockholders Equity":null,"Retained Earnings":null,"Additional Paid In Capital":null,"Capital Stock":null,"Common Stock":null,"Total Liabilities Net Minority Interest":null,"Long Term Debt And Capital Lease Obligation":null,"Payables":null,"Other Payable":null,"Total Tax Payable":null,"Accounts Payable":null,"Total Assets":null,"Investments And Advances":null,"Investmentin Financial Assets":null,"Financial Assets Designatedas Fair Value Through Profitor Loss Total":null,"Prepaid Assets":null,"Receivables":null,"Cash And Cash Equivalents":null,"Cash Cash Equivalents And Federal Funds Sold":null}},"income_stmt":{"2026-06-30":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.020121,"Net Income From Continuing Operation Net Minority Interest":4223938.0,"Net Interest Income":2063859.0,"Interest Expense":2319759.0,"Interest Income":4383618.0,"Normalized Income":4223938.0,"Net Income From Continuing And Discontinued Operation":4223938.0,"Diluted Average Shares":1932597.0,"Basic Average Shares":1932597.0,"Diluted EPS":2.19,"Basic EPS":2.19,"Diluted NI Availto Com Stockholders":4223938.0,"Net Income Common Stockholders":4223938.0,"Net Income":4223938.0,"Net Income Including Noncontrolling Interests":4223938.0,"Net Income Continuous Operations":4223938.0,"Tax Provision":86737.0,"Pretax Income":4310675.0,"Gain On Sale Of Security":410759.0,"Operating Expense":2055895.0,"Other Operating Expenses":null,"Selling General And Administration":977220.0,"General And Administrative Expense":977220.0,"Total Revenue":6366570.0,"Operating Revenue":6366570.0},"2026-03-31":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.127824,"Net Income From Continuing Operation Net Minority Interest":1132768.0,"Net Interest Income":1872437.0,"Interest Expense":2308578.0,"Interest Income":4181015.0,"Normalized Income":1132768.0,"Net Income From Continuing And Discontinued Operation":1132768.0,"Diluted Average Shares":1972943.0,"Basic Average Shares":1972943.0,"Diluted EPS":0.57,"Basic EPS":0.57,"Diluted NI Availto Com Stockholders":1132768.0,"Net Income Common Stockholders":1132768.0,"Net Income":1132768.0,"Net Income Including Noncontrolling Interests":1132768.0,"Net Income Continuous Operations":1132768.0,"Tax Provision":166015.0,"Pretax Income":1298783.0,"Gain On Sale Of Security":-1118586.0,"Operating Expense":2142302.0,"Other Operating Expenses":null,"Selling General And Administration":1125466.0,"General And Administrative Expense":1125466.0,"Total Revenue":3441085.0,"Operating Revenue":3441085.0},"2025-12-31":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.21,"Net Income From Continuing Operation Net Minority Interest":-4770176.0,"Net Interest Income":1492925.0,"Interest Expense":2432335.0,"Interest Income":3925260.0,"Normalized Income":-4770176.0,"Net Income From Continuing And Discontinued Operation":-4770176.0,"Diluted Average Shares":2001470.0,"Basic Average Shares":2001470.0,"Diluted EPS":-2.38,"Basic EPS":-2.38,"Diluted NI Availto Com Stockholders":-4770176.0,"Net Income Common Stockholders":-4770176.0,"Net Income":-4770176.0,"Net Income Including Noncontrolling Interests":-4770176.0,"Net Income Continuous Operations":-4770176.0,"Tax Provision":423429.0,"Pretax Income":-4346747.0,"Gain On Sale Of Security":693604.0,"Operating Expense":2113607.0,"Other Operating Expenses":12314.0,"Selling General And Administration":1132120.0,"General And Administrative Expense":1132120.0,"Total Revenue":-2233140.0,"Operating Revenue":-2233140.0},"2025-09-30":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.21,"Net Income From Continuing Operation Net Minority Interest":4084954.0,"Net Interest Income":1817460.0,"Interest Expense":2493715.0,"Interest Income":4311175.0,"Normalized Income":4084954.0,"Net Income From Continuing And Discontinued Operation":4084954.0,"Diluted Average Shares":null,"Basic Average Shares":null,"Diluted EPS":null,"Basic EPS":null,"Diluted NI Availto Com Stockholders":4084954.0,"Net Income Common Stockholders":4084954.0,"Net Income":4084954.0,"Net Income Including Noncontrolling Interests":4084954.0,"Net Income Continuous Operations":4084954.0,"Tax Provision":-484335.0,"Pretax Income":3600619.0,"Gain On Sale Of Security":-40352.0,"Operating Expense":2984755.0,"Other Operating Expenses":null,"Selling General And Administration":1368869.0,"General And Administrative Expense":1368869.0,"Total Revenue":6585374.0,"Operating Revenue":6585374.0},"2025-06-30":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.035745,"Net Income From Continuing Operation Net Minority Interest":-1497463.0,"Net Interest Income":1947779.0,"Interest Expense":2660472.0,"Interest Income":4608251.0,"Normalized Income":-1497463.0,"Net Income From Continuing And Discontinued Operation":-1497463.0,"Diluted Average Shares":2017330.0,"Basic Average Shares":2017330.0,"Diluted EPS":-0.74,"Basic EPS":-0.74,"Diluted NI Availto Com Stockholders":-1497463.0,"Net Income Common Stockholders":-1497463.0,"Net Income":-1497463.0,"Net Income Including Noncontrolling Interests":-1497463.0,"Net Income Continuous Operations":-1497463.0,"Tax Provision":-55511.0,"Pretax Income":-1552974.0,"Gain On Sale Of Security":-11985811.0,"Operating Expense":2339001.0,"Other Operating Expenses":null,"Selling General And Administration":1101234.0,"General And Administrative Expense":1101234.0,"Total Revenue":786027.0,"Operating Revenue":786027.0},"2025-03-31":{"Tax Effect Of Unusual Items":null,"Tax Rate For Calcs":null,"Net Income From Continuing Operation Net Minority Interest":null,"Net Interest Income":null,"Interest Expense":null,"Interest Income":null,"Normalized Income":null,"Net Income From Continuing And Discontinued Operation":null,"Diluted Average Shares":2019778.0,"Basic Average Shares":2019778.0,"Diluted EPS":-0.44,"Basic EPS":-0.44,"Diluted NI Availto Com Stockholders":null,"Net Income Common Stockholders":null,"Net Income":null,"Net Income Including Noncontrolling Interests":null,"Net Income Continuous Operations":null,"Tax Provision":null,"Pretax Income":null,"Gain On Sale Of Security":null,"Operating Expense":null,"Other Operating Expenses":null,"Selling General And Administration":null,"General And Administrative Expense":null,"Total Revenue":null,"Operating Revenue":null}},"cashflow":{"2026-06-30":{"Free Cash Flow":-693976.0,"Repurchase Of Capital Stock":-31172.0,"Repayment Of Debt":0.0,"Issuance Of Debt":0.0,"End Cash Position":2178083.0,"Beginning Cash Position":3074794.0,"Changes In Cash":-896711.0,"Financing Cash Flow":-202735.0,"Net Other Financing Charges":0.0,"Cash Dividends Paid":-141563.0,"Common Stock Dividend Paid":-141563.0,"Net Common Stock Issuance":-31172.0,"Common Stock Payments":-31172.0,"Net Issuance Payments Of Debt":0.0,"Net Long Term Debt Issuance":0.0,"Long Term Debt Payments":0.0,"Long Term Debt Issuance":0.0,"Operating Cash Flow":-693976.0,"Change In Working Capital":747795.0,"Change In Other Current Liabilities":-36634.0,"Change In Other Current Assets":204747.0,"Change In Payable":214456.0,"Change In Prepaid Assets":31172.0,"Change In Receivables":334054.0,"Other Non Cash Items":-175537.0,"Gain Loss On Investment Securities":-5490172.0,"Net Income From Continuing Operations":4223938.0},"2026-03-31":{"Free Cash Flow":2711898.0,"Repurchase Of Capital Stock":-3142312.0,"Repayment Of Debt":98361.0,"Issuance Of Debt":0.0,"End Cash Position":3074794.0,"Beginning Cash Position":3406847.0,"Changes In Cash":-332053.0,"Financing Cash Flow":-3043951.0,"Net Other Financing Charges":0.0,"Cash Dividends Paid":null,"Common Stock Dividend Paid":null,"Net Common Stock Issuance":-3142312.0,"Common Stock Payments":-3142312.0,"Net Issuance Payments Of Debt":98361.0,"Net Long Term Debt Issuance":98361.0,"Long Term Debt Payments":98361.0,"Long Term Debt Issuance":0.0,"Operating Cash Flow":2711898.0,"Change In Working Capital":1691302.0,"Change In Other Current Liabilities":18255.0,"Change In Other Current Assets":229948.0,"Change In Payable":102666.0,"Change In Prepaid Assets":-73893.0,"Change In Receivables":1414326.0,"Other Non Cash Items":-250868.0,"Gain Loss On Investment Securities":138696.0,"Net Income From Continuing Operations":1132768.0},"2025-12-31":{"Free Cash Flow":-2038150.0,"Repurchase Of Capital Stock":-182876.0,"Repayment Of Debt":-1661498.0,"Issuance Of Debt":0.0,"End Cash Position":3406847.0,"Beginning Cash Position":7289371.0,"Changes In Cash":-3882524.0,"Financing Cash Flow":-1844374.0,"Net Other Financing Charges":0.0,"Cash Dividends Paid":null,"Common Stock Dividend Paid":null,"Net Common Stock Issuance":-182876.0,"Common Stock Payments":-182876.0,"Net Issuance Payments Of Debt":-1661498.0,"Net Long Term Debt Issuance":-1661498.0,"Long Term Debt Payments":-1661498.0,"Long Term Debt Issuance":0.0,"Operating Cash Flow":-2038150.0,"Change In Working Capital":-4172385.0,"Change In Other Current Liabilities":42013.0,"Change In Other Current Assets":486373.0,"Change In Payable":-3150837.0,"Change In Prepaid Assets":54266.0,"Change In Receivables":-1604200.0,"Other Non Cash Items":46438.0,"Gain Loss On Investment Securities":6857973.0,"Net Income From Continuing Operations":-4770176.0},"2025-09-30":{"Free Cash Flow":-2973639.0,"Repurchase Of Capital Stock":-4773.0,"Repayment Of Debt":-15500000.0,"Issuance Of Debt":18500000.0,"End Cash Position":7289371.0,"Beginning Cash Position":7270519.0,"Changes In Cash":18852.0,"Financing Cash Flow":2992491.0,"Net Other Financing Charges":0.0,"Cash Dividends Paid":0.0,"Common Stock Dividend Paid":0.0,"Net Common Stock Issuance":-4773.0,"Common Stock Payments":-4773.0,"Net Issuance Payments Of Debt":3000000.0,"Net Long Term Debt Issuance":3000000.0,"Long Term Debt Payments":-15500000.0,"Long Term Debt Issuance":18500000.0,"Operating Cash Flow":-2973639.0,"Change In Working Capital":605226.0,"Change In Other Current Liabilities":2248662.0,"Change In Other Current Assets":-3070493.0,"Change In Payable":1018159.0,"Change In Prepaid Assets":4773.0,"Change In Receivables":404125.0,"Other Non Cash Items":-99542.0,"Gain Loss On Investment Securities":-7564277.0,"Net Income From Continuing Operations":4084954.0},"2025-06-30":{"Free Cash Flow":-6875927.0,"Repurchase Of Capital Stock":-795932.0,"Repayment Of Debt":0.0,"Issuance Of Debt":7391619.0,"End Cash Position":7270519.0,"Beginning Cash Position":8689461.0,"Changes In Cash":-1418942.0,"Financing Cash Flow":5456985.0,"Net Other Financing Charges":0.0,"Cash Dividends Paid":0.0,"Common Stock Dividend Paid":0.0,"Net Common Stock Issuance":-795932.0,"Common Stock Payments":-795932.0,"Net Issuance Payments Of Debt":7391619.0,"Net Long Term Debt Issuance":7391619.0,"Long Term Debt Payments":0.0,"Long Term Debt Issuance":7391619.0,"Operating Cash Flow":-6875927.0,"Change In Working Capital":2026272.0,"Change In Other Current Liabilities":-32619.0,"Change In Other Current Assets":81951.0,"Change In Payable":602664.0,"Change In Prepaid Assets":0.0,"Change In Receivables":1374276.0,"Other Non Cash Items":-43120.0,"Gain Loss On Investment Securities":-7361616.0,"Net Income From Continuing Operations":-1497463.0}}}