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Phenixfin Corporation (NASDAQ: PFX)
PFX Technical Analysis
5
As on 9th Jun 2023 PFX STOCK Price closed @ 34.20 and we RECOMMEND Strong Sell for LONG-TERM with Stoploss of 40.26 & Strong Sell for SHORT-TERM with Stoploss of 42.48 we also expect STOCK to react on Following IMPORTANT LEVELS. |
PFXSTOCK Price
Open | 34.11 | Change | Price | % |
High | 34.47 | 1 Day | 0.20 | 0.59 |
Low | 33.25 | 1 Week | -1.80 | -5.00 |
Close | 34.20 | 1 Month | -4.05 | -10.59 |
Volume | 2077 | 1 Year | -7.31 | -17.61 |
52 Week High 43.35 | 52 Week Low 31.05 |
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PFX Daily Charts |
PFX Intraday Charts |
Whats New @ Bazaartrend |
PFX Free Analysis |
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PFX Important Levels Intraday
RESISTANCE | 36.55 |
RESISTANCE | 35.80 |
RESISTANCE | 35.33 |
RESISTANCE | 34.86 |
SUPPORT | 33.54 |
SUPPORT | 33.07 |
SUPPORT | 32.60 |
SUPPORT | 31.85 |
PFX Forecast May 2024
4th UP Forecast | 39 |
3rd UP Forecast | 37.46 |
2nd UP Forecast | 36.51 |
1st UP Forecast | 35.56 |
1st DOWN Forecast | 32.84 |
2nd DOWN Forecast | 31.89 |
3rd DOWN Forecast | 30.94 |
4th DOWN Forecast | 29.4 |
PFX Weekly Forecast
4th UP Forecast | 37.61 |
3rd UP Forecast | 36.52 |
2nd UP Forecast | 35.84 |
1st UP Forecast | 35.16 |
1st DOWN Forecast | 33.24 |
2nd DOWN Forecast | 32.56 |
3rd DOWN Forecast | 31.88 |
4th DOWN Forecast | 30.79 |
PFX Forecast2024
4th UP Forecast | 59.19 |
3rd UP Forecast | 51.18 |
2nd UP Forecast | 46.22 |
1st UP Forecast | 41.27 |
1st DOWN Forecast | 27.13 |
2nd DOWN Forecast | 22.18 |
3rd DOWN Forecast | 17.22 |
4th DOWN Forecast | 9.21 |
Phenixfin Corporation ( NASDAQ USA Symbol : PFX )
Sector : Financial Services And Other Stocks in Same Sector
Sector : Financial Services And Other Stocks in Same Sector
PFX Other Details
Segment | EQ | |
Market Capital | 112259608.00 | |
Sector | Financial Services | |
Industry | Asset Management | |
Offical website | > echo $website ; ?> |
PFX Address
PFX Latest News
PFX Business Profile
PhenixFIN Corporation is a business development company. The firm seeks to invest in privately negotiated debt and equity securities of small and middle market companies. It primarily invests in the following sectors: business services; buildings and real estate; automobile; oil and gas; aerospace and defense; home and office furnishings, housewares, and durable consumer products; healthcare, education and childcare; personal, food, and miscellaneous services; retail stores, diversified or conglomerate manufacturing; telecommunications; mining, steel, iron, and non-precious metals; leisure, amusement, motion pictures, and entertainment; chemicals, plastics, and rubber; finance; personal and nondurable consumer products (manufacturing only); beverage, food, and tobacco; containers, packaging, and glass; structure finance securities; machinery (non-agriculture, non-construction, non-electric); diversified or conglomerate service; restaurant and franchise; electronics; and cargo transport. The fund seeks to invest in companies located in North America. The fund targets private debt transactions in companies with enterprise values or asset values between $25 million and $250 million. The fund seeks to invest in companies with debt investment values between $10 million and $50 million. It exits its investments between three years and seven years; it holds most of its investments to maturity or repayment, but may realize or sell some investments earlier. The fund may take a board seat on its investee companies and can also offer managerial assistance to certain portfolio companies. It structures its investments as first lien senior secured loans, second lien senior secured loans, senior secured notes, senior subordinated notes, subordinate notes, unitranche loans, and seeks warrants or other equity participation. The fund may co-invest in privately negotiated transactions under certain conditions. Address: 445 Park Avenue, New York, NY, United States, 10022
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