Our markets

Hoist Finance acquires portfolios that can generate attractive risk-adjusted return on equity. We have a pan-European presence and aim for a balanced geographical exposure.

Our investment management processes are largely centralised and carried out on Group level, while the loan management business needs to be carefully tailored to local conditions and is carried out locally in each of our markets. Our local expertise and presence enable a dialogue with customers on their terms. Collections are managed in a mix of in-house and outsourced operations, of which the majority in-house.

Key figures 2022

SEK 6.9 bn
portfolio acquisitions
2
main asset classes: unsecured and secured NPLs
82%
partner banks ranking Hoist Finance among top three in the market
27
years as an SFSA regulated credit market company