Cresud Inc. will pay a second installment of capital amounting to USD 9,915,036.78 for its Series XLII Fixed Rate Notes on January 5, 2026, related to a total principal of USD 30,045,566 due in 2026. This payment reflects 33% of the total capital due with the payment period covering from October 4, 2025, to January 5, 2026.