KDX Realty Investment Corporation announced its decision to undertake debt financing (for a total of JPY 7,400 million) (the "Borrowings") and the execution of interest rate swap agreement. Series: 0011-A. Lender: SBI Shinsei Bank, Limited. Amount: JPY 2,000 million.

Interest Rate: 0.86551% (Fixed rate). Contract Date: March 21, 2024. Drawdown Date: March 25, 2024.

Principal Repayment Date: October 31, 2029. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0011-B. Lender: Resona Bank, Limited.

Amount: JPY 3,000 million. Interest Rate: Base rate +0.27993%. Contract Date: March 21, 2024.

Drawdown Date: March 25, 2024. Principal Repayment Date: April 30, 2030. Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date.

Series: 0012-A. Lender: Sumitomo Mitsui Banking Corporation. Amount: JPY 1,000 million. Interest Rate: Base rate (JPY TIBOR for 3-month) +0.22885%.

Contract Date: March 27, 2024. Drawdown Date: March 29, 2024. Principal Repayment Date: April 30, 2029.

Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Series: 0012-B. Lender: Mizuho Bank Ltd. Amount: JPY 1,400 million. Interest Rate: To be determined (Fixed rate).

Contract Date: March 27, 2024. Drawdown Date: March 29, 2024. Principal Repayment Date: October 31, 2030.

Collateral /Repayment Method: Unsecured, unguaranteed /Repayment of principal in full on maturity date. Purpose of Borrowings: The proceeds of Series 0011 will be applied to the portion of acquisition of iias Kasugai (30% quasi-co-ownership interest) (anticipated acquisition price: JPY 6,135 million) (the "Property") on March 25, 2024. Moreover, the proceeds of Series 0012-A will be applied to the repayment of Series 144-A (Note) on March 29, 2024, Series 0012-B will be applied to the repayment of Series 52-A (Note) on March 29, 2024, respectively.