• N23C3A
Cantor Fitzgerald Infrastructure Fund Opens Redemption Window
Cantor Fitzgerald Infrastructure Fund has opened its redemption window for the offering period beginning May 19, 2026, with a redemption cap of 5.0% of net asset value, or $30.66 million. Investors may submit redemption requests through the June 30, 2026 deadline, with payments scheduled for July 7, 2026. The fund's current net asset value stands at $613.22 million.