Nippon Building Fund Inc. provided notice that the following was decided as of January 9, 2026 concerning a long-term borrowing: Lender is MUFG Bank Ltd. Amount Borrowed is ¥2.7 billion. Interest Rate is 0.956%. Expected Date of Implementation is January 14, 2026.
Methods of Borrowing, Repayment, Security and Guarantee etc. Unsecured, unguaranteed, repayable in one lump sum on repayment due date. Repayment Due Date is January 15, 2027.
















