Kenedix Residential Next Investment Corporation announced the decision regarding debt financing total of JPY 1.5 billion and execution of interest rate swap agreements. MUFG Bank Ltd. is lending an amount of JPY 1,500 million at base rate of JPY TIBOR for 3 months + 0.500% for which the contract has been made on November 26, 2019 with a drawdown date of November 29, 2019. The principal repayment date is November 30, 2023 with a collateral repayment method of unsecured unguaranteed repayment of principal in full on maturity date.