CION Investment Corporation
Date: August 13, 2025
To: To: www.isa.gov.il www.tase.co.il Via the Magna System Via the Magna System
The Israeli Securities Authority The Tel Aviv Stock Exchange Ltd.
Ladies and Gentlemen,
Re: An Immediate Report
Reference is made to Section 2.4 to the Deed of Trust1 for Bonds Offered to the Public, between CION Investment Corporation, incorporated under the laws of the State of Maryland, USA (the "Company"), and Mishmeret Trust Company Ltd., as Trustee. Unless otherwise defined herein or unless the context otherwise requires, all capitalized terms used herein shall have the meanings ascribed to such terms in the Deed of Trust.
Pursuant to Section 2.4 to the Deed of Trust, the calculation of the Interest to be paid to the Bondholders on the Interest Payment Date of August 31, 2025 is performed by way of weighted average (according to the number of days) of the SOFR rates that were in effect each day, starting from the first day to the Interest Period and up to four (4) days before the Interest Payment Date, plus the Margin Rate.
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- The Interest will be paid for the Interest Period starting on May 31, 2025 and ending on August 30, 2025.
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- The Record Date for the payment of the Interest for the Interest Period is the end of the Trading Day on August 19, 2025.
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- The weighted average SOFR rate for the Interest Period is 1.09162%.
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- The Margin Rate for the Interest Period is 0.96285%.
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- The Interest Rate for the Interest Period is 2.05447%.
Respectfully, CION Investment Corporation
By: _______________________
Name: Keith S. Franz Title: Chief Financial Officer
1 Published on February 21, 2023 (reference number: 2023-02-016534) (the "Deed of Trust").