Triton International Ltd. Conv Cum Red Perp Pfd Registered Shs Series B - PFD (TRTNPRB)

Historical Holders from Q3 2019 to Q3 2025

Symbol
TRTNPRB
Type / Class
Equity / PFD
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
73,336
Holdings value
$1,842,207
% of all portfolios
0%
Number of holders
1
Number of sells
-1
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Triton International Ltd. Conv Cum Red Perp Pfd Registered Shs Series B - PFD (TRTNPRB)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 73,336 $1,842,207 -$37,077 $25.12 1
2025 Q2 74,812 $1,824,677 -$199,048 $24.39 1
2025 Q1 82,973 $2,086,792 -$82,367 $25.15 1
2024 Q4 86,248 $2,170,010 +$17,159 $25.16 1
2024 Q3 85,566 $2,160,548 -$120,948 $25.25 1
2024 Q2 90,356 $2,250,000 -$44,798 $24.9 1
2024 Q1 92,155 $2,322,000 +$2,322,000 $25.2 1
2023 Q4 0 $0 -$2,941,000 0
2023 Q3 113,956 $2,941,000 $25.81 1
2023 Q2 113,956 $2,941,000 -$54,662 $25.81 1
2023 Q1 116,074 $2,878,000 -$3,099 $24.79 1
2022 Q4 116,199 $2,903,000 -$58,710 $24.98 1
2022 Q3 118,549 $2,996,000 +$821,385 $25.27 1
2022 Q2 86,132 $2,203,000 +$189,318 $25.58 3
2022 Q1 78,731 $2,063,000 -$8,540 $27.4 3
2021 Q4 79,057 $2,165,987 -$115,920 $27.4 3
2021 Q3 82,960 $2,302,000 +$49,087 $27.57 2
2021 Q2 81,191 $2,289,000 -$141,108 $27.8 2
2021 Q1 86,196 $2,384,000 -$185,946 $27.53 2
2020 Q4 92,919 $2,482,000 -$290,855 $27.05 2
2020 Q3 103,808 $2,652,000 -$182,545 $26.47 2
2020 Q2 111,032 $2,630,000 -$482,985 $23.69 3
2020 Q1 131,417 $2,414,000 +$233,494 $18.07 3
2019 Q4 118,701 $3,211,000 +$3,210,000 $25 3
2019 Q3 73 $2,000 +$2,000 $27.4 1