Embassy Office Parks REIT announced payment of the coupon amount in respect of (i) Embassy REIT Series II Tranche A Non-Convertible Debentures 2020 (ISIN: INE041007035) (ii) Embassy REIT Series II Tranche B Non-Convertible Debentures 2020 (ISIN: INE041007043), (iii) Embassy REIT Series III Non-Convertible Debentures (ISIN: INE041007050), (iv) Embassy REIT Series IV Non-Convertible Debentures (ISIN: INE041007068), (v) Embassy REIT Series V Tranche A Non-Convertible Debentures (ISIN: INE041007076), (vi) Embassy REIT Series V Tranche B Non-Convertible Debentures (ISIN: INE041007084) and (vii) Embassy REIT Series VI Non-Convertible Debentures (ISIN: INE041007092) for the quarter ended June 30, 2022, have been paid as under: ISIN of the Securities: INE041007035. Description of the Securities: INR 7,500 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 7,500,000,000/-. Date of Allotment: September 09, 2020.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.

ISIN of the Securities: INE041007043. Description of the Securities: INR 7,500 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 7,500,000,000/-. Date of Allotment: October 27, 2020.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.

ISIN of the Securities: INE041007050. Description of the Securities: INR 26,000 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 26,000,000,000/-. Date of Allotment: January 15, 2021.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.

ISIN of the Securities: INE041007068. Description of the Securities: INR 3,000 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 3,000,000,000/-. Date of Allotment: September 07, 2021.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.

ISIN of the Securities: INE041007076. Description of the Securities: INR 20,000 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 20,000,000,000/-. Date of Allotment: October 18, 2021.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.

ISIN of the Securities: INE041007084. Description of the Securities: INR 11,000 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 11,000,000,000/-. Date of Allotment: October 18, 2021.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.

ISIN of the Securities: INE041007092. Description of the Securities: INR 10,000 denominated, listed, rated, secured, redeemable, transferrable, non-convertible debentures of INR 1,000,000/- only per debenture, aggregating to INR 10,000,000,000/-. Date of Allotment: April 05, 2022.

Payment Date is June 29, 2022. Record Date is June 23, 2022. Relevant Period: Quarter ended June 30, 2022.