HusCompagniet A/S entered into a new facilities agreement with Danske Bank A/S and Nordea Danmark, Filial af Nordea Bank Abp, Finland for the purpose of refinancing the Company's existing facilities agreement with the Lenders dated 20 October 2020 . The effective date of the New Facilities Agreement is subject to the Company raising gross proceeds of at least DKK 150 million in an issuance of new shares pursuant to the authorisation in articles 3 of the Company's articles of association . the Company and certain of its subsidiaries as original borrowers and original guarantors, Danske Bank A/S and Nordea Danmark, Filial af Nordea Bank Abp, Finland as mandated lead arrangers and original lenders, and Danske Bank A/S as agent entered into the New Facilities Agreement.

Under the New Facilities Agreement the following facilities are made available to the Group (i) a DKK 500,000,000 term loan facility with a final maturity date falling three years after effective date of the New Facilities Areement and (ii) a DKK 250 million revolving credit facility with a final maturity date falling three years after the effective date of the New Facilities Areement . The size of the New Facilities is as per the Company's request. The Company may request (on two occasions) that the maturity date of each of the Term Loan Facility and the Revolving Facility is extended for one year at a time.

Extension of each of the New Facilities is subject to the discretion of each of the lenders under the New Facilities Agreement.