Skip to content
N23C3A

Hamilton Lane Private Infrastructure Fund Redemption Payment Due

Hamilton Lane Private Infrastructure Fund will distribute repurchase proceeds on June 22, 2026, to investors whose redemption requests were accepted in the May 15, 2026 offering period. The fund capped redemptions at 5.0% of net asset value, or $7.14 million, based on a NAV of $142.79 million as of the cutoff date.

More updates for Hamilton Lane Private Infrastructure Fund