Brookfield Infrastructure Partners L.P. announced that its subsidiaries Brookfield Infrastructure Finance ULC, Brookfield Infrastructure Finance LLC, Brookfield Infrastructure Finance Limited and Brookfield Infrastructure Finance Pty Ltd. have exercised their right to redeem their CAD 450,000,000, 3.452%, Series 2 Notes, due March 11, 2022 The redemption will occur on October 6, 2020. The redemption price for the Series 2 Notes will be determined in accordance with the provisions of the indenture dated October 10, 2012, the second supplemental indenture dated March 11, 2015 and pricing supplement no. 1 dated March 5, 2015 to the Issuers' short form base shelf prospectus dated December 29, 2014, as supplemented by a prospectus supplement dated March 5, 2015. The redemption amount paid will also include accrued and unpaid interest on the Series 2 Notes up to, but not including, the date of redemption.