Monthly report: May 2026
17/6/2026
Current Performance and Growth
As of May 2026, our key performance indicator, the Net Return Ratio, stands at 167% (on a 6-year horizon). We currently project the Expected Collection Overall to reach €102.4 million (the sum of cumulative gross collections of €57.4 million and the remaining forecasted recoveries).
New Acquisitions (May 2026)
During the recent period, we successfully expanded our portfolio with new acquisitions:
Czech Republic: 1 portfolio (Total Outstanding Debt: €380,758)
New Portfolios Total: 1
Total Outstanding Debt (New Acquisitions): €380,758
Key Metrics (as of May 31, 2026)
Total Portfolios Under Management: 273
Total Assets Under Management (AUM): €2.75 billion
Regional Analysis
Indonesia maintains a dominant position in terms of yield and recovery efficiency. Kazakhstan (94 portfolios) continues to provide a stable foundation for our geographical exposure.