KDX Realty Investment Corporation announced its decision to undertake debt financing (for a total of JPY 15,550 million) and prepayment of borrowings (for a total of JPY 1,800 million). Furthermore, the Borrowings are to be partially procured as green loans. The details are provided as follows.

Details of Borrowings: Series: 0013-A1, Lender: Sumitomo Mitsui Banking Corporation. Amount: JPY 1,600 million. Interest Rate: Base rate (JPY TIBOR for 1-month) +0.12500%.

Contract Date: April 25, 2024. Drawdown Date: April 30, 2024. Principal Repayment Date: April 30, 2025.

Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-A2, Lender: Mizuho Trust & Banking Co. Ltd. Amount: JPY 300 million.

Interest Rate: Base rate (JPY TIBOR for 1-month) +0.12500%. Contract Date: April 25, 2024. Drawdown Date: April 30, 2024.

Principal Repayment Date: April 30, 2025. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-B1, Lender: Mizuho Trust & Banking Co.

Ltd. Amount: JPY 500 million. Interest Rate: Base rate (JPY TIBOR for 1-month) +0.10000%. Contract Date: April 25, 2024.

Drawdown Date: April 30, 2024. Principal Repayment Date: October 31, 2026. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date.

Series: 0013-B2, Lender: Resona Bank, Limited. Amount: JPY 450 million. Interest Rate: Base rate (JPY TIBOR for 1-month) +0.10000%.

Contract Date: April 25, 2024. Drawdown Date: April 30, 2024. Principal Repayment Date: October 31, 2026.

Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-C, Lender: Resona Bank, Limited. Amount: JPY 1000 million.

Interest Rate: Base rate (JPY TIBOR for 1-month) +0.17500%. Contract Date: April 25, 2024. Drawdown Date: April 30, 2024.

Principal Repayment Date: April 30, 2028. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-D1, Lender: Sumitomo Mitsui Banking Corporation.

Amount: JPY 2000 million. Interest Rate: Base rate (JPY TIBOR for 1-month) +0.22500%. Contract Date: April 25, 2024.

Drawdown Date: April 30, 2024. Principal Repayment Date: April 30, 2029. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date.

Series: 0013-D2, Lender: The Norinchukin Bank. Amount: JPY 1000 million. Interest Rate: to be determined.

Contract Date: April 25, 2024. Drawdown Date: April 30, 2024. Principal Repayment Date: April 30, 2029.

Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-E, Lender: Kansai Mirai Bank, Limited. Amount: JPY 1,100 million.

Interest Rate: Base rate +0.25000%. Contract Date: April 25, 2024. Drawdown Date: April 30, 2024.

Principal Repayment Date: October 31, 2030. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-F1, Lender: MUFG Bank Ltd. Amount: JPY 4,600 million.

Interest Rate: to be determined. Contract Date: April 25, 2024. Drawdown Date: April 30, 2024.

Principal Repayment Date: April 30, 2031. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-F2, Lender: Development Bank of Japan Inc. Amount: JPY 2000 million.

Interest Rate: to be determined. Contract Date: April 25, 2024. Drawdown Date: April 30, 2024.

Principal Repayment Date: April 30, 2031. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0013-F3, Lender: SBI Shinsei Bank, Limited.

Amount: JPY 1000 million. Interest Rate: to be determined. Contract Date: April 25, 2024.

Drawdown Date: April 30, 2024. Principal Repayment Date: April 30, 2031. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date.

Details of the Prepayment: Series 14-D Lender: Sumitomo Mitsui Banking Corporation. Borrowing Amount JPY 1,000 million. Repayment Amount JPY 1,000 million Drawdown Date: April 30, 2015, Principal Repayment Date: April 30, 2025, Prepaymen Date: April 30, 2024.

Collateral Unsecured, unguaranteed. Series 15-F, Lender: Mizuho Bank Ltd. Borrowing Amount: JPY 950 million Repayment Amount: JPY 800 million Amount after Repayment: JPY 150 million. Drawdown Date: August 31, 2015 Principal Repayment Date: August 31, 2024 Prepayment Date: April 30, 2024 Collateral Unsecured, unguaranteed.

Status of Interest-bearing Debt after the Borrowings and the Prepayment (as of April 30, 2024): Total Borrowings and Investment Corporation Bonds is JPY 543,070 million.