Daiwa House REIT Investment Corporation announced that the applicable interest rate for the loans to be executed on March 29, 2024 as announced in the release ?Notice Concerning Debt Financing (Including Green Loan)? on March 22, 2024 was determined as follows. Determination of interest rate: Category: Long-Term.

Lender: Mitsui Sumitomo Insurance Company, Limited, anticipated borrowing amount is JPY 1,000 million, Interest rate is 1.00625% (Fixed), borrowing period is 7 years, anticipated date of execution is March 29, 2024, principal repayment date is March 31, 2031 and Collateral is Unsecured and nonguaranteed. Category: Long-Term. Lender: Mitsui Sumitomo Insurance Company, Limited; MUFG Bank Ltd.; Sumitomo Mitsui Trust Bank, Limited; Sumitomo Mitsui Banking Corporation; Mizuho Bank Ltd.; Aozora Bank Ltd.; Resona Bank, Limited; SBI Shinsei Bank, Limited, anticipated borrowing amount is JPY 11,000 million, Interest rate is 1.15375% (Fixed), borrowing period is 8 years, anticipated date of execution is March 29, 2024, principal repayment date is March 31, 2032 and Collateral is Unsecured and nonguaranteed.