Our Strategy

Our strategy is simple by design: focus on multi-family opportunities with strong fundamentals, manage them with care, and position them for long-term growth.

How We Invest

At Trinity Group Properties, we believe great investments come from a combination of rigorous analysis and real-world practicality. Our strategy is built on three pillars:

  1. Market Selection
    We focus on thriving markets with job growth, population growth, and strong rental demand. These fundamentals create a foundation for stability and appreciation.

  2. Value-Add Opportunities
    We target properties where strategic improvements—renovations, better management, or operational efficiencies—can significantly increase cash flow and property value.

  3. Active Management
    Acquisition is just the beginning. We manage with an owner’s mindset, ensuring properties are maintained, residents are satisfied, and performance is maximized.

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Investment Criteria

Transaction Size

Properties ranging from $2M to $50M for optimal scalability.

Asset Type

Focus on C-B+ multi-family properties with 85%+ occupancy and long-term debt potential.

Property Size

Targeting properties with 50–250 units for efficiency and growth.

Value Add Opportunity

Enhancing value through strategic management and renovations.

Ratios and Exit

Targeting 7–8% cash-on-cash returns in primary markets and 8–10% in emerging markets with a 1.5+ debt coverage ratio.

Investment Duration

Holding assets for 3–7 years to balance returns and stability.

Target Markets

Focusing on primary and emerging markets nationwide for diverse opportunities.