2. Effective Date. The Agreement is hereby amended to reflect that the effective date of the
Registration Statement is February 25, 2025.
3. Limitations on Agents. Section 6(f) of the Agreement is amended and restated in its
entirety as follows:
(f) Limitation on Agents. The Company agrees that any offer to sell, any solicitation of an offer to buy
or any sales of Securities shall only be effected by or through only one of the Agents on any single given day (subject to the exceptions in Section 7(j)); provided, however, that such prohibition on the instruction of more than one Agent on
any Trading Day shall not apply to or prohibit the appointment of a second Agent (the Second Agent), so long as the Second Agent is only executing a block sale transaction after 4:00 p.m. New York City time on such Trading Day
(such block sale transaction, an After Hours Block Transaction). In addition, following the consummation of any After Hours Block Transaction, the Company shall provide written notice (which may be by facsimile or email) of the
occurrence of the After Hours Block Transaction, the amount of Securities sold in such After Hours Block Transaction, and the price at which Securities were sold in such After Hours Block Transaction by 8:00 a.m. New York City time the immediately
following Trading Day to the Agent through whom sales of Securities will be made on such Trading Day if such Agent is not the same Agent that consummated such After Hours Block Transaction; provided, however, that if the Company does not intend to
sell any Securities on the Trading Day following any After Hours Block Transaction, such notice is not required.
4. Notice Information.
Section 14 of the Agreement is amended and restated in its entirety as follows:
SECTION 14. Notices. Except as otherwise
provided in this Agreement, all notices and other communications hereunder shall be in writing and, unless otherwise specified, shall be mailed, hand delivered or transmitted by any standard form of telecommunication (i) if to the Company, at
the office of the Company, 814 East Main Street, Richmond Virginia 23219, Attention: Elizabeth S. Perkins, Email: lperkins@applereit.com and Matthew Rash, Email: mrash@applereit.com with a copy, which shall not constitute notice, to Hogan Lovells US
LLP, Columbia Square, 555 Thirteenth Street NW, Washington, DC 20004, Attention: Paul D. Manca, Email: Paul.Manca@hoganlovells.com and Tifarah R. Allen, Email: tifarah.allen@hoganlovells.com or (ii) if to the Agents, at the offices of: B. Riley
Securities, Inc., 299 Park Avenue, 21st Floor, New York, New York, 10171, Attention: General Counsel, Telephone (212) 457-9947, Email: atmdesk@brileyfin.com; Robert W. Baird & Co. Incorporated, 777 E.
Wisconsin Avenue, Milwaukee, Wisconsin 53202, Attention: Syndicate Department, fax no.: (414) 298-7474, with a copy to the Legal Department, Email: syndicate@rwbaird.com; BMO Capital Markets Corp., 151 W 42nd
Street, 32nd Floor, New York, NY 10036, Attention: Equity Syndicate Department, with a copy to the Legal Department at the same address; BofA Securities, Inc., One Bryant Park New York, New York 10036, Attention: Syndicate Department, Email:
dg.ecm_execution_services@bofa.com, with a copy to ECM Legal, Email: dg.ecm_legal@bofa.com; BTIG, LLC, 65 East 55th Street, New York, New York 10022, Attention ATM Trading Desk, Email: BTIGUSATMTrading@btig.com, Legal, Email: IBLegal@btig.com,
Compliance, Email: BTIGcompliance@btig.com; Jefferies Group LLC, 520 Madison Avenue, New York, New York 10022, Attn: General Counsel; KeyBanc Capital Markets Inc., 127 Public Square, 7th Floor, Cleveland, Ohio 44114, Attention: Jaryd Banach, Michael
Jones, John Salisbury, Nathan Flowers, Email: Jaryd.Banach@key.com; michael.c.jones@key.com; john.salisbury@key.com; Nathan.flowers@key.com, tel: 216-689-3910; Regions
Securities LLC, 615 South College Street, Suite 600 Charlotte, North Carolina 28202, Attention: ECM Desk, Email: ECMDesk@regions.com; brit.stephens@regions.com; ed.armstrong@regions.com; matthew.stewart@regions.com; scott.williams2@regions.com; SMBC
Nikko Securities America, Inc., 277 Park Avenue, 5th Floor New York, New York 10172, Attention: NYECM@smbcnikko-si.com; Scotia Capital (USA) Inc., 250 Vesey Street, 24th Floor, New York, New York 10281,
Attention: Equity Capital Markets / Chief Legal Officer, U.S., Email: US.Legal@scotiabank.com, US.ecm@scotiabank.com, fax no.: (212) 225-6653; Truist Securities, Inc., 50 Hudson Yards, 70th Floor, New York,
New York 10001, Attention: Equity Capital Markets; Wells Fargo Securities, LLC, 500 West 33rd Street, New York, New York 10001, Attention: Equity Syndicate Department (fax no: (212) 214-5918); and in each case
with a copy, which shall not constitute notice, to Morrison & Foerster LLP, 2100 L St. NW, Suite 900, Washington, DC 20037, Attention: Justin R. Salon, Email: JustinSalon@mofo.com.
5. Exhibit B. Exhibit B to the Agreement is replaced by Exhibit B attached hereto, and any references to Exhibit B in the Agreement shall refer to
Exhibit B attached hereto.
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