Pythagorean Fund
Company

Pythagorean Fund

Investment Management Cy 31 employees
Employees
31

Pythagorean Fund Overview

Headquarters
Cy
Industry
Investment Management
Employees
31
Founded
2018
NAICS
Other Financial Investment Activities
Portfolio Management
All Other Financial Investment Activities

About Pythagorean Fund

Pythagorean Value Added Hotel Investors Limited is the first dedicated hospitality Fund domiciled in Cyprus. The Fund is registered and regulated by the Cyprus Securities and Exchange Commission (CySEC) and its main objective is to acquire, upgrade and reposition existing 3-5 start hotels in both Cyprus and Greece. Pythagorean Value Added Hotel Investors I Ltd acquires, upgrades and repositions 3-5 Star Hotels located in Cyprus. The Fund offers non-EU high net worth investors the ability to obtain their European Citizenship on a fast track basis (6-months) while simultaneously achieving attractive real estate returns with significant downside protection. The Fund accomplishes the above objective with a low fee structure with institutional investment managers and with a very experienced team of construction managers/developers. Pythagorean Value Added Hotel Investors II Ltd acquires, upgrades and repositions 3-5 Star Hotels located in Cyprus and Greece. The Fund is ideally positioned for value-added repositioning by enhancing the physical asset through renovations and creating value through operational improvements. Pythagorean Value Added Hotel Investors II Ltd offers high net worth and institutional investors the ability to obtain attractive real estate returns with significant downside protection and it accomplishes that with a low fee structure and with institutional investment managers with a very experienced team of construction managers/developers. The Executive Directors of the Fund and internal teams are responsible for all operational matters relating to the fund, including marketing; administration; compliance; reporting; sourcing and selection of hotel assets; negotiation of all matters relating to each; and oversight of the investment portfolios, including but not limited to asset repositioning and disposition. The Fund retains independent fund administrative, tax and auditing firms, who provide its investors with timely reporting and other services.

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