Kenedix Retail REIT Corporation announced that the undecided matters have been determined for the Borrowings. Series: 49-C; Lender: MUFG Bank Ltd.; JPY 500 Million; Interest rate 0.64732% (fixed rate); Contract date: October 24, 2022; Drawdown date October 26, 2022; Principal repayment date: September 30, 2026. Collateral/repayment method: Unsecured, unguaranteed/Repayment of principal in full on maturity date.

Series: 49-E; Lender: Shinsei Bank Ltd.; JPY 500 Million; Interest rate 0.79000% (fixed rate); Contract date: October 24, 2022; Drawdown date October 26, 2022; Principal repayment date: October 31, 2028. Collateral/repayment method: Unsecured, unguaranteed/Repayment of principal in full on maturity date. Series: 49-F; Lender: Kansai Mirai Bank Ltd.; JPY 600 Million; Interest rate 0.62000% (fixed rate); Contract date: October 24, 2022; Drawdown date October 26, 2022; Principal repayment date: September 30, 2030.

Collateral/repayment method: Unsecured, unguaranteed/Repayment of principal in full on maturity date.