Investment Strategy

Trident Multifamily targets 1980’s or newer vintage multifamily properties that can be repositioned to achieve exceptional risk adjusted returns for our investor partners.

We acquire properties below historical replacement cost and current market value. We then address the physical and operational deficiencies which have caused the asset to underperform. Once stabilized, we seek to either refinance or sell once investment returns have been optimized

Investment Criteria

Property Type



1980’s or newer

Asset Class

A, B, C

Project Size

$20M – $150M Total Capitalization

Investment Type

Core Plus, Value-Add

Target Returns

> 17% IRR


Map of the US with Oklahoma highlighted


Trident owns and operates a $125 million portfolio of multifamily properties in the state of Oklahoma.

Growth markets

While we continue to pursue properties in Oklahoma, we are targeting expansion into additional markets that exhibit strong fundamentals including economic and population growth.


Capital Preservation

Our investor (LP) capital comes first. We strive to be exceptional stewards of capital through risk management.

Honesty & integrity

Honesty and integrity are foundational at Trident. We demonstrate these values through transparency in our performance by providing monthly financial and operational updates to our investor partners.

Alignment of interest

Trident principals coinvest a personally substantial equity position in every partnership to align our interests with our investor partners.

Delivering returns

Our goal is to deliver superior risk-adjusted returns over the investment period.

Contact Us

Register to learn more about Trident Multifamily’s current and future investment opportunities.
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