Nippon Prologis REIT, Inc. announced that it will obtain debt financing. Summary of Borrowing: Category: Long-term Borrowing; Lender: Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation; Borrowing Amount: JPY 6,481 Million; Interest Rate: Base interest rate (JBA 3-month Japanese yen TIBOR) +0.200%; Borrowing Date: February 15, 2024; Borrowing Method: Borrowing based on individual term loan agreements dated February 13, 2024, with the lenders shown on the left; Repayment date: August 15, 2030; Repayment method: Paid in full upon maturity; Collateral: Unsecured and non-guaranteed. Category: Long-term Borrowing; Lender: Syndicate of lenders arranged by MUFG Bank Ltd.; Borrowing Amount: JPY 3,519 Million; Interest Rate: 0.9274%; Borrowing Date: February 15, 2024; Borrowing Method: Borrowing based on individual term loan agreements dated February 13, 2024, with the lenders shown on the left; Repayment date: August 15, 2030; Repayment method: Paid in full upon maturity; Collateral: Unsecured and non-guaranteed.