Canadian Solar Infrastructure Fund, Inc. announced that it has decided to borrow funds with the total amount of borrowings of ¥900 million. Details of borrowings are Lender: Sumitomo Mitsui Banking Corporation, Interest Rate: Interest rate obtained by adding 0.45% to the base rate, Drawdown Date: February 1, 2018, Borrowing Method: Borrowings under the individual loan agreement dated the January 26, 2018 with the lender, Repayment Date: The 3rd anniversary date of the drawdown date, Repayment Method: Balloon, and Security/Guarantee: Unsecured and Unguaranteed. To fund a part of the anticipated acquisition of assets and other related costs as separately released in the 'Notice Concerning the Completion of Domestic Project Acquisitions'.