Investing where others see uncertainty

Arktika Capital is a Swedish regulated credit institution acquiring and managing non-performing consumer credit portfolios across Europe.

Understanding what lies beneath

Credit portfolios rarely tell the full story at first glance. Beneath the surface lie complex borrower behaviour patterns, legal frameworks and recovery dynamics.

Arktika combines decades of industry experience with advanced credit analytics to understand these hidden drivers of value.

This allows us to price portfolios with greater precision — delivering better outcomes for sellers and responsible solutions for consumers.

A platform built for disciplined credit investing

Credit investment expertise

Decades of experience in European consumer credit markets and non-performing loan investing.

Advanced portfolio analytics

Proprietary analytical models enabling precise portfolio valuation and disciplined investment decisions.

Strong capital foundation

A well-capitalised regulated credit institution built for long-term portfolio ownership.

Capital strength

192%

CET1 Ratio

Liquidity strength

4241%

Liquidity Coverage Ratio
(LCR)

Structural funding strength

775%

Net Stable Funding Ratio
(NSFR)