Japan Real Estate Investment Corporation hereby announces its decision to procure funds as follows: Reason for the borrowing: Repayment of the existing longterm loan of JPY 50 billion executed on March 26, 2018. Borrowing date is March 26, 2024. Lender: MUFG Bank Ltd. Amount of loan: JPY 5,000 million.

Principal repayment date: March 26, 2030. Interest rate: 0.65125% (Fixed). Method of borrowing: Loan agreement dated February 28, 2024, Unsecured/unguaranteed loan.

Interest payment date: The principal repayment date and the 26th of every March and September in the period until the principal repayment date. Method of principal repayment: Lumpsum repayment on the principal repayment date.