SOSiLA Logistics REIT, Inc. announced that it decided on lenders in connection with the loans, the borrowing date of which is April 3, 2023, to be made as part of the debt financing announced in the Notice Concerning Debt Financing dated November 14, 2022. SLR will undertake the Borrowings in the form of Green Loans. The company borrowed amount of JPY 4,000 million from Sumitomo Mitsui Banking Corporation with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from Sumitomo Mitsui Trust Bank, Limited with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from Mizuho Bank Ltd. with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from MUFG Bank Ltd. with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from Shinkin Central Bank with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from The Bank of Kyoto Ltd. with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from The Chiba Bank Ltd. with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 4,000 million from Development Bank of Japan with borrowing date as April 3, 2023, repayment date as November 30, 2028 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from Sumitomo Mitsui Banking Corporation with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from Sumitomo Mitsui Trust Bank, Limited with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from Mizuho Bank Ltd. with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from MUFG Bank Ltd. with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from Shinkin Central Bank with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from The Bank of Kyoto Ltd. with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from The Chiba Bank Ltd. with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed, borrowed amount of JPY 3,900 million from Development Bank of Japan with borrowing date as April 3, 2023, repayment date as May 31, 2029 and collateral is unsecured non-guaranteed.

The Borrowings will be used for the acquisition, scheduled for April 3, 2023, of SOSiLA Amagasaki (45% quasi- co-ownership interest) included in the assets for acquisition referred to in the Notice Concerning Acquisitions and Leasing of Domestic Real Estate Trust Beneficiary Interests released on November 14, 2022 and the payment of part of the expenses related to the acquisition, as well as the repayment of a short-term loan of 1,100 million yen taken out on December 2, 2022.