Daiwa Office Investment Corporation decided to borrow a total of JPY 3,400 million (the "Borrowing"): Lender- Sumitomo Mitsui Banking Corporation with Loan amount of JPY 1,400 million. Interest rate - 1 month Japanese Yen TIBOR + 0.25%, scheduled borrowing date is May 31, 2021, borrowing/repayment method - Unsecured repayment in lump sum and repayment date is May 31, 2021; Lender- Shinsei Bank Ltd. Corporation with Loan amount of JPY 1,000 million. Interest rate - 1 month Japanese Yen TIBOR + 0.25%, scheduled borrowing date is May 31, 2021, borrowing/repayment method - Unsecured repayment in lump sum and repayment date is May 31, 2021; and Lender- The 77 Bank Ltd. Corporation with Loan amount of JPY 1,000 million. Interest rate - 3 month Japanese Yen TIBOR + 0.25%, scheduled borrowing date is May 31, 2021, borrowing/repayment method - Unsecured repayment in lump sum and repayment date is May 31, 2021. The Borrowing will be provided for the repayment of ¥3,400 million borrowed in total due on May 31, 2021.