Kenedix Retail REIT Corporation announced decision to undertake debt financing (for a total of JPY 1,000 million) with series 50 from Sumitomo Mitsui Banking Corporation with Interest rate of Base rate (JBA TIBOR for 3-month) 0.35000% carrying Contract date of October 27, 2022; Drawdown date of October 31, 2022; Principal repayment date of October 31, 2023 and Collateral /Repayment method to be Unsecured, unguaranteed /Repayment of principal in full on maturity date The proceeds of the Borrowing will be applied to the repayment of Series 44 (total amount of 1,000 million) on October 31, 2022.