About Us

Who We Are

Remus Capital is a North American investment firm focused on real estate, hospitality, and FMCG acquisitions. We operate as both a principal investor and strategic partner, acquiring institutional-grade assets and structuring them for long-term value creation. Our investment strategy is portfolio-driven, ensuring every asset contributes to a larger capital markets strategy with clear pathways to liquidity.

With active investments across North America, Europe, and the Middle East, we focus on well-leased, high-quality properties that align with market fundamentals. Our expertise extends across commercial real estate, mixed-use developments, and operating businesses, providing diversified exposure to growth sectors with strong cash flow potential.

Remus Capital is a North American investment firm focused on real estate, hospitality, and FMCG acquisitions. We operate as both a principal investor and strategic partner, acquiring institutional-grade assets and structuring them for long-term value creation. Our investment strategy is portfolio-driven, ensuring every asset contributes to a larger capital markets strategy with clear pathways to liquidity.

With active investments across North America, Europe, and the Middle East, we focus on well-leased, high-quality properties that align with market fundamentals. Our expertise extends across commercial real estate, mixed-use developments, and operating businesses, providing diversified exposure to growth sectors with strong cash flow potential.

Investment Approach

Direct Ownership & Joint Ventures

We invest as principals and structure joint ventures where necessary to optimize returns.

Institutional-Grade Asset Selection

We focus on properties with strong tenants, long-term leases, and resilient fundamentals.

Capital Markets Integration

Assets are positioned for structured exits, whether through direct yield, asset sales, or securitization.

Global Diversification

Investments are strategically allocated across North America, Europe, and the Middle East to balance risk and maximize opportunities.

Geographic Markets

North America: Toronto, Vancouver, Calgary, Edmonton – Institutional real estate acquisitions focused on cash flow and appreciation.

Middle East: Dubai – Large-scale mixed-use developments in a high-growth market

Europe / USA – Strategic FMCG acquisitions, including premium wineries and international distribution.

Executives

Robert Baggetta
Director / CEO
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Luigi Perri
Director / COO
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Billy McCallum
CFO / Board Member
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Sath Kanagarajah
Chairman
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Our Strategy

Remus Capital invests with a structured, portfolio-driven approach. We don’t do one-off deals. Every acquisition is part of a larger plan designed for long-term value creation, capital markets integration, and clear exit strategies.

Remus Capital invests with a structured, portfolio-driven approach. We don’t do one-off deals. Every acquisition is part of a larger plan designed for long-term value creation, capital markets integration, and clear exit strategies.

We acquire institutional-grade assets that make sense on their own but are stronger as part of a portfolio. North America provides stability and liquidity, Dubai delivers high-growth opportunities, and Europe balances exposure with strategic FMCG and hospitality plays. Everything we buy fits into a broader structure that maximizes returns, mitigates risk, and creates long-term cash flow.

Capital structuring is a key part of our model. We don’t just hold assets; we optimize them for liquidity. The goal is to securitize the portfolio into a rated bond issued by a major institution, shifting the return profile from property yields to capital markets performance. This strategy ensures scalability and access to deeper pools of capital.

Execution is fast and precise. Once the numbers check out, we move within 72 hours. First drawdown happens within 90 days of signing a term sheet. Ownership structures are flexible, whether through direct acquisitions or joint ventures, but the control and strategy remain with us.

Everything is acquired based on fundamentals—strong tenants, long-term lease structures, and assets that are either undervalued or positioned for appreciation. We don’t speculate, and we don’t waste time on deals that don’t fit. Remus Capital invests for scale, liquidity, and long-term market positioning.

We acquire institutional-grade assets that make sense on their own but are stronger as part of a portfolio. North America provides stability and liquidity, Dubai delivers high-growth opportunities, and Europe balances exposure with strategic FMCG and hospitality plays. Everything we buy fits into a broader structure that maximizes returns, mitigates risk, and creates long-term cash flow.

Capital structuring is a key part of our model. We don’t just hold assets; we optimize them for liquidity. The goal is to securitize the portfolio into a rated bond issued by a major institution, shifting the return profile from property yields to capital markets performance. This strategy ensures scalability and access to deeper pools of capital.

Execution is fast and precise. Once the numbers check out, we move within 72 hours. First drawdown happens within 90 days of signing a term sheet. Ownership structures are flexible, whether through direct acquisitions or joint ventures, but the control and strategy remain with us.

Everything is acquired based on fundamentals—strong tenants, long-term lease structures, and assets that are either undervalued or positioned for appreciation. We don’t speculate, and we don’t waste time on deals that don’t fit. Remus Capital invests for scale, liquidity, and long-term market positioning.

Contact

We welcome inquiries from qualified investors, owners and stakeholders interested in collaborating on impactful opportunities. Please follow our structured application process for consideration.

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