Company: TRTN-PA
Filing Date: 2025-11-14
Form Type: F-3
Source: 0001193125-25-283312
Chunk: 10

Company: Triton International Ltd
Filing Date: 2025-11-14
Form: F-3
Chunk 10
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 it a part of this prospectus or any accompanying prospectus supplement. 6

RISK FACTORS

Investing in our securities involves risk. See the risk factors described in our most recent Annual Report on Form 20-F and in subsequently filed Quarterly Reports on Form 6-K and those contained in our other filings with the SEC that are incorporated by reference in this prospectus and
any accompanying prospectus supplement, as well as any risk factors included in any accompanying prospective supplement. Before making an investment decision, you should carefully consider these risks as well as other information we include or
incorporate by reference in this prospectus and any accompanying prospectus supplement. These risks could materially adversely affect our business, financial condition, results of operations and cash flows and cause the value of our securities to
decline. You could lose all or part of your investment.

7

CAPITALIZATION The table below sets forth our capitalization as September 30, 2025. Our capitalization set forth below does not reflect transactions occurring after September 30, 2025. You should read this table in conjunction with the financial statements that are incorporated by reference in this prospectus.

| (dollars in thousands)                                                                                                 |     | As of         
 September 30, 
 2025          |           |
|:-----------------------------------------------------------------------------------------------------------------------|:----|:--------------|----------:|
| Cash and cash equivalents                                                                                              |     | $             |    50,182 |
| Restricted cash                                                                                                        |     |               |   116,301 |
| Total cash and cash equivalents and restricted cash                                                                    |     |               |   166,483 |
| Debt of TCIL and TALICC                                                                                                |     |               |           |
| Credit Facility                                                                                                        |     |               | 2,752,400 |
| Notes due 2026                                                                                                         |     |               |   600,000 |
| Notes due 2031                                                                                                         |     |               |   600,000 |
| Notes due 2032                                                                                                         |     |               |   600,000 |
| Total debt of TCIL and TALICC                                                                                          |     |               | 4,552,400 |
| Subsidiary Debt                                                                                                        |     |               |           |
| Asset-backed securitization notes                                                                                      |     |               | 2,089,035 |
| Asset-backed securitization warehouse                                                                                  |     |               |   160,000 |
| Total subsidiary debt