Nippon Prologis REIT, Inc. announced that it will obtain Unsecured and non- guaranteed debt financing from Sumitomo Mitsui Banking Corporation and MUFG Bank Ltd. for Long-term of ¥6,000 Million with Base interest rate (JBA 1-month Japanese yen TIBOR) +0.253%, Repayment Date of October 29, 2032. Borrowing Method: Borrowing based on individual term loan agreement dated April 25, 2024. Borrowing Date: April 30, 2024.

Repayment Method: Paid in full upon maturity.