GLP J-REIT announced the borrowing of funds and the signing of interest rate swap agreement. Lender is MUFG Bank Ltd. Loan amount is JPY 3,250 million. Interest rate is Base rate plus 0.250%. Drawdown date will be January 31, 2020. Borrowing method is Borrowing based on the term loan agreement dated January 29, 2020 with the lenders shown to the left as lenders. Repayment date will be January 29, 2027. Repayment method will be Lump-sum repayment on repayment date. Security is Unsecured Not guaranteed. GLP J-REIT decided to borrow funds to utilize them to refinance the loan that will mature on January 31, 2020.