GLP J-REIT announced the loan amount of JPY 2,520 Million from the syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation and MUFG Bank Ltd.). The interest rate was Base rate plus 0.195%. The repayment date was May 29, 2025. The company announced the JPY 12,720 Million from Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation and MUFG Bank, Ltd, base rate was 0.250%. The repayment date was May 28, 2027. The company also announced the loan of JPY 9,610 Million from Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation and MUFG Bank Ltd.), base rate plus was 0.325%. The repayment date was May 29, 2029. The drawn date was May 29, 2020. The Borrowing based on the respective term loan agreements dated May 15, 2020 with the lenders shown to the left as lenders. The company also announced the Balance of loans before repayment was JPY 3,250 Million to Sumitomo Mitsui Banking Corporation, JPY 6,100 Million to Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation and MUFG Bank Ltd., 3,800 million to MUFG Bank Ltd., JPY 1,400 Million to The Bank of Fukuoka Ltd., JPY 1,400 Million to The Norinchukin Bank, JPY 3,150 Million to Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation and MUFG Bank, Ltd, JPY 1,150 Million to Mizuho Bank Ltd., JPY 800 Million to MUFG Bank Ltd., JPY 1,800 Million to Citibank, N.A., Tokyo Branch and The Bank of Fukuoka Ltd. each respectively, JPY 1,300 Million to The Norinchukin Bank.