Brookfield Global Infrastructure Securities Income Fund announces a share repurchase program. Under the program, the company will repurchases units on an Annual Redemption Date if the simple average of the net asset values of the units of the Fund on each business day of the month of August preceding the Annual Redemption Date is less than $10.00. Units of the Fund must be surrendered for redemption at least 15 days prior to the Annual Redemption i.e September 15, 2016. Brookfield Investment Management (Canada) Inc. and Brookfield Investment Management Inc. are the manager and investment manager of the Fund.