TRITON INTL LTD - CL A (TRTN)

Historical Holders from Q1 2016 to Q4 2023

Symbol
TRTN
Type / Class
Equity / CL A
All holders as of 31 Dec 2023
Q4 2023
Total 13F shares, excl. options
0
Holdings value
$0
Number of holders
0
Number of sells
-48
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of TRITON INTL LTD - CL A (TRTN)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2023 Q4 0 $0 -$412,947,072 0
2023 Q3 5,004,413 $412,947,072 -$3,029,144,050 $79.55 48
2023 Q2 41,394,245 $3,447,077,192 +$107,326,456 $83.26 288
2023 Q1 40,784,769 $2,578,897,024 -$50,432,890 $63.22 285
2022 Q4 41,675,650 $2,850,113,356 +$8,883,021 $68.78 295
2022 Q3 41,670,284 $2,305,587,793 -$96,680,840 $54.73 268
2022 Q2 43,427,859 $2,317,508,720 +$16,634,546 $52.65 267
2022 Q1 43,245,108 $3,033,254,775 +$101,416 $70.18 307
2021 Q4 43,334,770 $2,610,161,079 -$89,007,619 $60.23 287
2021 Q3 44,772,540 $2,330,418,725 -$53,576,071 $52.04 269
2021 Q2 45,897,041 $2,402,094,322 -$506,082 $52.34 268
2021 Q1 46,351,437 $2,548,474,718 -$66,799,867 $54.99 291
2020 Q4 47,587,822 $2,308,684,435 -$49,821,114 $48.51 251
2020 Q3 50,283,694 $2,044,500,167 +$190,181,455 $40.67 194
2020 Q2 45,759,105 $1,383,972,574 +$19,215,460 $30.24 187
2020 Q1 45,304,756 $1,173,169,382 -$19,641,831 $25.87 185
2019 Q4 45,707,099 $1,837,518,197 +$27,826,433 $40.2 191
2019 Q3 34,499,834 $1,167,584,836 +$24,121,848 $33.84 182
2019 Q2 44,502,201 $1,439,980,402 -$60,863,511 $32.76 183
2019 Q1 46,821,169 $1,456,213,108 -$151,582,537 $31.1 203
2018 Q4 51,675,511 $1,607,034,462 -$15,393,072 $31.07 192
2018 Q3 51,908,984 $1,726,679,992 -$45,235,868 $33.27 186
2018 Q2 53,408,784 $1,637,523,043 +$2,721,893 $30.66 185
2018 Q1 53,317,278 $1,631,471,243 -$9,361,795 $30.6 171
2017 Q4 53,405,574 $2,000,430,093 +$78,160,510 $37.45 201
2017 Q3 51,312,253 $1,707,957,957 +$167,837,682 $33.28 165
2017 Q2 46,304,890 $1,548,369,871 +$68,301,693 $33.44 140
2017 Q1 44,490,103 $1,147,428,370 -$78,403,247 $25.79 128
2016 Q4 50,928,288 $806,376,229 +$35,808,452 $15.8 122
2016 Q3 48,826,015 $643,875,020 +$634,620,895 $13.19 109
2016 Q2 696,891 $9,342,000 +$9,304,000 $13.41 1
2016 Q1 1,228 $38,000 $30.94 1