Takara Leben Infrastructure Fund, Inc. announced financial guidance for the Fiscal period ending May 31, 2022, fiscal period ending November 30, 2022 and for Fiscal period ending May 31, 2023. For the period ending May 31, 2022, the company expected Operating revenue of JPY 3,487 million, Operating income of JPY 1,165 million, Net income of JPY 939 million and Net income per unit of JPY 3,147.

For the period ending November 30, 2022, the company expected Operating revenue of JPY 3,469 million, Operating income of JPY 1,097 million, Net income of JPY 874 million and Net income per unit of JPY 2,931.

For the period ending May 31, 2023, the company expected Operating revenue of JPY 3,469 million, Operating income of JPY 1,123 million, Net income of JPY 910 million and Net income per unit of JPY 3,052.