ABOUT US

WHO WE ARE

Odyssey is a leading alternative investment fund manager, active in the acquisition and management of high quality income producing real estate. Odyssey’s management team boast extensive experience in the real estate sector, with a combined professional experience of over 100 years and a track record of transactions in total value of more than €1 billion. Headquartered in Luxembourg and active across Europe, our primary expertise and focus is in the German speaking countries. We implement a low-risk and highly focused strategy to generate attractive returns.

WHY ODYSSEY

A unique combination of experience, agility & tenacity – Odyssey provides professional execution and confidence in closing, resulting in access to exclusive and first tier transactions. Our investors around the world benefit from:

1st ACCESS

Hands-on local market intelligence and exclusive access to unique and off-market transactions.

FINE-TUNED STRATEGY

Focused and cherry-picked strategy to create a balanced portfolio generating above market returns.

EFFICIENT EXECUTION

Experienced and focused team leveraging an impressive track record, industry network, and know-how to seize opportunities for the benefit of our investors.

1st ACCESS

Hands-on local market intelligence and exclusive access to unique and off-market transactions.

FINE-TUNED STRATEGY

Focused and cherry-picked strategy to create a balanced portfolio generating above market returns.

EFFICIENT EXECUTION

Experienced and focused team leveraging an impressive track record, industry network, and know-how to seize opportunities for the benefit of our investors.

FOCUSED INVESTMENT STRATEGY

Under promise, Over deliver.

Risk management through a conservative diversification approach leveraging up to a maximum of 50% of our total assets focusing on three strong asset classes (office, logistics and retail) with two investment strategies.

CORE AND CORE PLUS INCOME PRODUCING PROPERTIES

Low leveraged and low risk properties with highly predictable cash flows. Stable properties, mostly fully leased, class A, single or multi-tenant properties within strong, diversified metropolitan areas.

VALUE-ADD PROPERTIES

Properties that represent a higher predictable return. The strategy involves buying mispositioned properties and improving their cash flow in different ways so that greater value can be unlocked by strategic activity as, for example, improving management, lowering expenses or rising rents.

Core and Core Plus income producing properties

Low leveraged and low risk properties with highly predictable cash flows. Stable properties, mostly fully leased, class A, single or multi-tenant properties within strong, diversified metropolitan areas.

Value-add Properties

Properties that represent a higher predictable return. The strategy involves buying mispositioned properties and improving their cash flow in different ways so that greater value can be unlocked by strategic activity such as improving management, lowering expenses or rising rents.

INVESTMENT PROCESS

Local relationships and hands-on team

DEAL SOURCING

DEAL SOURCING

Active relationship and reputation management within the target markets to identify and evaluate the best investment opportunities

DUE DILIGENCE

DUE DILIGENCE

In-depth and full disclosure audits on the fundamentals of the property, to reduce and mitigate financial uncertainties and create the maximum security

VALUATION & PRICE

VALUATION & PRICE

Accurate, conservative and disciplined determination of value and Sensitive pricing analysis to reduced risk

DEAL STRUCTURING

DEAL STRUCTURING

Structure the ownership and financial terms, Tax structure and other business conditions for a successful and swift closing process

PROACTIVE PORTFOLIO MANAGEMENT

PROACTIVE PORTFOLIO MANAGEMENT

Proactive review and management for an effective optimization of cash flow and value appreciation from the fund’s portfolio

  • Deal Sourcing

    Active relationship and reputation management within the target markets to identify and evaluate the best investment opportunities

  • Due Diligence

    In-depth and full disclosure audits on the fundamentals of the property, to reduce and mitigate financial uncertainties and create the maximum security

  • Valuation & Price

    Accurate, conservative and disciplined determination of value and Sensitive pricing analysis to reduced risk

  • Deal Structuring

    Structure the ownership and financial terms, Tax structure and other business conditions for a successful and swift closing process

  • Proactive Portfolio Management

    Proactive review and management for an effective optimization of cash flow and value appreciation from the fund’s portfolio

CHECK OUT OUR CASE STUDIES

CORE AND CORE PLUS INCOME PRODUCING PROPERTIES

Low leveraged and low risk properties with highly predictable cash flows. Stable properties, mostly fully leased, class A, single or multi-tenant properties within strong, diversified metropolitan areas.

VALUE-ADD PROPERTIES

Properties that represent a higher predictable return. The strategy involves buying mispositioned properties and improving their cash flow in different ways so that greater value can be unlocked by strategic activity as, for example, improving management, lowering expenses or rising rents.