Company: CIO
Filing Date: 2025-08-15
Form Type: DEFA14A
Source: 0001193125-25-181889
Chunk: 15

Company: City Office REIT, Inc.
Filing Date: 2025-08-15
Form: DEFA14A
Chunk 15
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 office located at 127 Public Square, Cleveland, Ohio 44114-1306, or at such other location as the Agent may designate from time to time by notice to the Borrower and the Lenders.

. Riemer & Braunstein LLP or such other counsel as selected by Agent.

. This Credit Agreement, as the same may be amended, modified, supplemented and/or extended from time to time,
including the and hereto.

. See §4.2.

Allocated Commitment Amount. The amount of the Total Commitment allocated to each Pool Property based upon the Value (as evidenced by the most recent Compliance Certificate delivered to Agent in accordance with the terms hereof) of such Pool Property individually relative to Pool Value in the aggregate as further set forth on Exhibit ACA.

Allocated Loan Amount. As of any date of determination, the greater of the Closing Allocated Loan Amount and the Then Allocated Loan Amount.

. All Legal Requirements of any jurisdiction applicable to the Credit Parties concerning or
relating to bribery or corruption, including without limitation, the Foreign Corrupt Practices Act of 1977.

. All Legal Requirements related to the financing of terrorism or money laundering, including without limitation, any applicable provision of the Patriot Act and The Currency and Foreign Transactions Reporting Act (also known as
the “Bank Secrecy Act,” 31 U.S.C. §§ 5311-5330 and 12U.S.C. §§ 1818(s), 1820(b) and 1951-1959).

. With respect to each Lender, the office designated by such Lender to the Agent as such
Lender’s lending office for all purposes of this Agreement. A Lender may have a different Applicable Lending Office for Base Rate Loans and SOFR Loans.

. The Applicable Margin for SOFR Loans and Base Rate Loans shall be a rate per annum equal to:

(a) at all times prior to the Investment Grade Pricing Date, the percentage rate as set forth in the
immediately following table corresponding to the Consolidated Leverage Ratio as set forth in the most recent Compliance Certificate pursuant to §7.4(c):

3

| Pricing Level   |     | Consolidated Leverage 
 Ratio                 |     | Revolving Credit 
 SOFR Loans       |     | Revolving        
 Credit Base Rate 
 Loans            |     | 2024 Term 
 SOFR      
 Loans     |     | 2024 Term 
 Base Rate 
 Loans     |
| Pricing Level 1 |     | Less than