Preferred Shares

Please click on the Series name to view its declared dividends.

Distribution Period Record Date Payment Date Distribution per Unit
Jan - Mar 2017 Feb 28, 2017 Mar 31, 2017 $0.28125 Cdn
Oct - Dec 2016 Nov 30, 2016 Jan 3, 2017 $0.28125 Cdn
Jul - Sept 2016 Aug 31, 2016 Sept 30, 2016 $0.28125 Cdn
Apr – Jun 2016 May 31, 2016 June 30, 2016 $0.28125 Cdn
Jan – Mar 2016 Feb 29, 2016 Mar 31, 2016 $0.28125 Cdn
Oct – Dec 2015 Nov 30, 2015 Dec 31, 2015 $0.28125 Cdn
Jul – Sep 2015 Aug 31, 2015 Sep 30, 2015 $0.28125 Cdn
Distribution Period Record Date Payment Date Distribution per Unit
Jan - Mar 2017 Feb 28, 2017 Mar 31, 2017 $0.34375 Cdn
Oct - Dec 2016 Nov 30, 2016 Jan 3, 2017 $0.34375 Cdn
Jul - Sept 2016 Aug 31, 2016 Sept 30, 2016 $0.34375 Cdn
Apr – Jun 2016  May 31, 2016  June 30, 2016  $0.34375 Cdn 
Jan – Mar 2016  Feb 29, 2016  Mar 31, 2016  $0.4295 Cdn 
Distribution Period Record Date Payment Date Distribution per Unit
Jan - Mar 2017 Feb 28, 2017 Mar 31, 2017 $0.334375 Cdn
Oct - Dec 2016 Nov 30, 2016 Jan 3, 2017 $0.334375 Cdn
Jul - Sept 2016 Aug 31, 2016 Sept 30, 2016 $0.2162 Cdn
Distribution Period Record Date Payment Date Distribution per Unit
Jan - Mar 2017 Feb 28, 2017 Mar 31, 2017 $0.2192 Cdn
     
Class A
Preferred
Limited
Partnership
Units
TSX Listed CUSIP1 Annualized
Distribution
Basis*
Description** Record
Date
Payment
Date***
Unit
Provisions
Series 1 BIP.PR.A G16252 127 4.50%1 Fixed Rate, Rate Reset and may be Reclassified to Series 2 (certain restrictions apply) Last day of Feb., May, Aug. & Nov. Last day of Mar., June, Sept. & Dec.  
Series 3 BIP.PR.B G16252 143 5.50%2 Fixed Rate, Rate Reset and may be Reclassified to Series 4 (certain restrictions apply) Last day of Feb., May, Aug. & Nov. Last day of Mar., June, Sept. & Dec.  
Series 5 BIP.PR.C G16252 168 5.35%3 Fixed Rate, Rate Reset and may be Reclassified to Series 6 (certain restrictions apply) Last Day of Feb., May, Aug. & Nov. Last day of Mar., June, Sept. & Dec.  
Series 7 BIP.PR.D G16252 184 5.00%4 Fixed Rate, Rate Reset and may be Reclassified to Series 8 (certain restrictions apply) Last Day of Feb., May, Aug. & Nov. Last day of Mar., June, Sept. & Dec.  

* All unit distribution payments are subject to declaration by The Board of Directors of the GP of Brookfield Infrastructure Partners L.P.
** Please refer to Unit Provisions for further details.
*** If such day is not a business day, the payment date shall be the following business day.

1 Commencing on June 30, 2020, the distribution rate will be reset every five years at a rate equal to the 5-year Government of Canada bond plus 3.56%. On this date, the Series 1 Preferred Units may, at the holder’s option, be reclassified to Series 2 Preferred Units, which will pay a floating quarterly distribution rate.

2 Commencing on December 31, 2020, the distribution rate will be reset every five years at a rate equal to the greater of: (i) the 5-year Government of Canada bond plus 4.53%, and (ii) 5.50%. On this date, the Series 3 Preferred Units may, at the holder’s option, be reclassified to Series 4 Preferred Units, which will pay a floating quarterly distribution rate.

3 Commencing on September 30, 2021, the distribution rate will be reset every five years at a rate equal to the greater of (i) the 5-year Government of Canada bond plus 4.64% and (ii) 5.35%. On this date, the Series 5 Preferred Units may, at the holders option, be reclassified to Series 6 Preferred Units, which will pay a floating quarterly distribution rate.

4 Commencing on March 31, 2022, the distribution rate will be reset every five years at a rate equal to the greater of (i) the 5-year Government of Canada bond plus 3.78% and (ii) 5.00%. On this date, the Series 7 Preferred Units may, at the holders option, be reclassified to Series 8 Preferred Units, which will pay a floating quarterly distribution rate.