Company: TRTN-PA
Filing Date: 2025-11-14
Form Type: F-3
Source: 0001193125-25-283312
Chunk: 2

Company: Triton International Ltd
Filing Date: 2025-11-14
Form: F-3
Chunk 2
---
3,000,000,000 TRITON INTERNATIONAL LIMITED Preference Shares Debt Securities Guarantees of Debt Securities TRITON CONTAINER INTERNATIONAL LIMITED Debt Securities Guarantees of Debt Securities TAL INTERNATIONAL CONTAINER CORPORATION Debt Securities Guarantees of Debt Securities Triton International Limited, an exempted company limited by shares formed under the laws of Bermuda (“Triton”), may offer, issue and sell, together or separately, from time to time:

| • |     | preference shares, which may be issued in one or more series; and |

| • |     | debt securities, which may be issued in one or more series, may be senior debt securities or subordinated debt                                                                                                                        
 securities and may be guaranteed by Triton Container International Limited, an exempted company limited by shares formed under the laws of Bermuda and wholly-owned subsidiary of Triton (“TCIL”), and/or TAL International Container 
 Corporation, a Delaware corporation and an indirect wholly-owned subsidiary of Triton and TCIL (“TALICC”).                                                                                                                            |

TCIL and TALICC may offer, issue and sell from time to time debt securities, which may be issued jointly by TCIL and TALICC as co-issuersor individually by either issuer, may be issued in one or more series, may be senior debt securities or subordinated debt securities and will be fully and unconditionally guaranteed by Triton. When securities are offered under this prospectus, we will provide a prospectus supplement describing the specific terms of any securities to be offered, and the specific manner in which they may be offered, including the amount and price of the offered securities. The prospectus supplement will indicate whether the

securities offered thereby will be listed on any securities exchange. The prospectus supplement may also add, update or change information contained in this prospectus.

You should read this prospectus and the applicable prospectus supplement, together with any documents incorporated by
reference, carefully before you invest in the securities described in the applicable prospectus supplement.

This prospectus may not be used to sell securities unless accompanied by a prospectus supplement.

Investing in our securities involves a number of risks. Before making any decision to invest in our securities, you should carefully consider the information disclosed under “ Risk Factors” beginning on page 7 of this prospectus, as well as those risk factors incorporated by reference into this prospectus and contained in any accompanying prospectus supplement.

We may offer securities through underwriting syndicates managed or co-managed by one or more underwriters or dealers, through