General Investment Strategy
Trimarchi Management seeks to acquire multifamily and commercial assets that offer the opportunity for incremental value to be added through focused management of operational, financial and capital processes. We begin by identifying markets that we predict will outperform the market as a whole. We then identify superior submarkets within those markets that demonstrate unique benefits such as supply constraints. We then identify land and/or existing assets within those submarkets that enjoy superior locations within their submarkets and meet other designated criteria depending on the objective. We seek to diversify and avoid a high concentration of acquisitions within any one geographic location.
- Each investment’s capital structure is optimized for the specific underlying asset and through our network of institutional lenders, investors and partners, we are typically able to arrange the best possible terms available in the marketplace.
- Our exit strategy is clearly articulated prior to acquisition with projected Internal Rates of Return and expected holding period. Typically our investment horizon is five to seven years. If, however, prevailing market conditions and asset performance dictate a shorter holding period, we will accelerate disposition.
- From an execution, management and reporting standpoint, each transaction we undertake benefits from our twenty-five years of experience, our best practices and our team of exceptional professionals.
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