Kenedix Residential Next Investment Corporation announced notice concerning debt financing (Series 81, 82 and 83), prepayment of borrowings and execution of interest rate swap agreements. The details are provided as follows. Details of Debt Financing: Series: 81-B; Lender: SBI Shinsei Bank, Limited; Amount: JPY 600 million; Interest Rate: 0.53768% Fixed rate; Contract Date: July 27, 2023; Drawdown Date: July 31, 2023; Principal Repayment Date: January 31, 2028 and Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date.

Series: 81-C(1); Lender: MUFG Bank, Ltd; Amount: JPY 400 million; Interest Rate: 0.64500% (Fixed rate); Contract Date: July 27, 2023; Drawdown Date: July 31, 2023; Principal Repayment Date: July 31, 2028 and Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 81-C(2); Lender: MUFG Bank, Ltd; Amount: JPY 500 million; Interest Rate: 0.64500% (Fixed rate); Contract Date: July 27, 2023; Drawdown Date: July 31, 2023; Principal Repayment Date: July 31, 2028 and Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 82-C; Lender: SBI Shinsei Bank, Limited; Amount: JPY 500 million; Interest Rate: 0.72000% (Fixed rate); Contract Date: July 27, 2023; Drawdown Date: July 31, 2023; Principal Repayment Date: July 31, 2029 and Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date.