The Board of Agile Group Holdings Limited announced that the outstanding HKD Loan in an amount of HKD 3,344,700,000 and the outstanding USD Loan in an amount of $60,000,000 have been fully repaid on 20 May 2022. Following the repayment, there is no any outstanding Facility as at the date of this announcement. Reference is made to the announcement of the Company dated 21 May 2018 in relation to, among other things, the entering into of a facility agreement between the Company as borrower and certain of its subsidiaries as original guarantors with one of the original lenders who is also acting as facility agent and security agent and certain other financial institutions as remaining original lenders, pursuant to which a term loan facility (the "Facility") comprising of two tranches of HKD 8,834 million (with a greenshoe option of HKD 2,500 million) (the "HKD Loan") and $200 million (the "USD Loan") with a term of 48 months has been granted to the Company; and the announcement of the Company dated 19 November 2021 in relation to the partial repayment of HKD Loan and USD Loan.