Welcome to Nexa Asset Acquisitions' Public Investor Portal.
Here you will find everything you need to understand our investment strategy, review live portfolio performance, and evaluate how The Nexa Process works. Nexa has been acquiring deeply discounted consumer credit portfolios from U.S. banks and FinTech lenders since 2004 โ returning 100% of investor capital by Month 15 and a projected 167% total return by Month 36, with monthly distributions starting in Month 2. All portfolios are fully licensed, FDCPA and CFPB compliant, and managed to performance through proprietary AI-driven analytics.
Please review the documents below. If you would like to discuss how Nexa may complement your portfolio, we invite you to schedule a call with Peter Bennett directly โ we look forward to hearing from you.
February 2026 Monthly Newsletter
Nexa's monthly investor update outlining the opportunity created by the 2026 U.S. tax refund season. Covers The Nexa Process, key investment terms โ 100% capital return by Month 15, 167% total return by Month 36 with monthly distributions from Month 2 โ and current portfolio performance against targets.
Download NewsletterPerformance Tracker
Live performance data across all open Nexa portfolios. Tracks $6.6M deployed against $90.3M in face value across 30,162 accounts, with gross collections, liquidation rates, and projected future cashflows by portfolio and investor segment. Updated weekly.
Download TrackerPortfolio Management Strategy
A detailed look at how Nexa acquires, manages, and maximizes returns on its consumer credit portfolios โ from FinTech forward flow due diligence and bidding, to collection strategy, Debt Settlement Company matching, and residual inventory sales. Authored by Matt Dion, COO/CCO.
Download StrategyReady to explore an investment with Nexa?
Schedule a call with Peter Bennett to discuss how a Nexa portfolio acquisition may complement your investment strategy. We are available for introductory calls at your convenience.