Nippon Healthcare Investment Corporation (the "Investment Corporation") has concluded the interest-rate swap agreements (the "Swap Agreement") regarding portions of the existing debt loans with floating-rate (the "Floating-rate Borrowing") (the total notional principal: JPY 2,400 million), as follows. Summary of the Swap Agreement for the Floating-rate Borrowing: From the lender, Sumitomo Mitsui Trust Bank Ltd., notional principal of JPY 1,200 million, the counterparty is Sumitomo Mitsui Trust Bank Ltd., with a interest rate of 0.16505%, variable receipt of 1 month Japanese Yen TIBOR, the scheduled commencement date is October 31, 2018 and schedule termination date of October 31, 2022. From the lender, Shinsei Bank Ltd., notional principal of JPY 800 million, the counterparty is Sumitomo Mitsui Trust Bank Ltd., with a interest rate of 0.19210%, variable receipt of 1 month Japanese Yen TIBOR, the scheduled commencement date is October 31, 2018 and schedule termination date of September 29, 2023. From the lender, Shinkin Central Bank, notional principal of JPY 400 million, the counterparty is Sumitomo Mitsui Trust Bank Ltd., with a interest rate of 0.16505%, variable receipt of 1 month Japanese Yen TIBOR, the scheduled commencement date is October 31, 2018 and schedule termination date of October 31, 2022. Fixed interest-rate after concluding the swap agreement: the lender is Sumitomo Mitsui Trust Bank Ltd. with amount of JPY 1,200 million, current floating interest-rate is 1 month Japanese Yen TIBOR + 0.225%, fixed interest- rate is 0.39005%, borrowing date is October 31, 2018 and repayment date is October 31, 2022. The lender is Shinsei Bank Ltd. with amount of JPY 500 million, current floating interest-rate is 1 month Japanese Yen TIBOR + 0.275%, fixed interest-rate is 0.4671%, borrowing date is September 28, 2018 and repayment date is September 29, 2023. The lender is Shinsei Bank Ltd. with amount of JPY 300 million, current floating interest-rate is 1 month Japanese Yen TIBOR + 0.275%, fixed interest-rate is 0.4671%, borrowing date is October 31, 2018 and repayment date is September 29, 2023. The lender is Shinkin Central Bank with amount of JPY 400 million, current floating interest-rate is 1 month Japanese Yen TIBOR + 0.225%, fixed interest-rate is 0.39005%, borrowing date is October 31, 2018 and repayment date is October 31, 2022.