SOSiLA Logistics REIT, Inc. has decided on the lenders for the borrowings to be made on March 31, 2022 (the "Borrowings"), out of the borrowings announced in the press release on November 16, 2021, titled "Notice Concerning Debt Financing". SLR has decided to use a green loan to fund the portion of the Borrowings excluding the short-term borrowing of JPY 390 million. Lenders are Sumitomo Mitsui Banking Corporation, Sumitomo Mitsui Trust Bank, Limited, Mizuho Bank Ltd., MUFG Bank Ltd., THE BANK OF FUKUOKA, LTD. Loan amount is JPY 3,850 million.

Scheduled borrowing date is March 31, 2022. Borrowing method is SLR will enter into individual loan agreements with the lenders listed on the left on March 29, 2022. Repayment date is November 29, 2030.

Repayment method. To be paid in full upon maturity.