Nippon Building Fund Inc. provided notice that the following was decided as of April 24, 2024 concerning long-term borrowings. Lender: Sumitomo Mitsui Banking Corporation. Amount Borrowed: ¥3 billion.

Interest Rate: 0.934%. Amount Borrowed: ¥3 billion. Interest Rate: 0.741%.

Expected Date of Implementation: April 26, 2024. Methods of Borrowing, Repayment, Security and Guarantee etc: Unsecured, unguaranteed, repayable in one lump sum on repayment due date. Repayment Due Date: April 25, 2031 and April 26, 2029.