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Responsible investment performance indicators

Continued improvement of the Fund's sustainability performance

Promoted ESG characteristic

Indicator

Measure

Units of measure

2023

2022

% change

Plan 2023-2025

Fund: above-average
sustainable fund

GRESB

Star rating

# stars

5

5

-

Annual improvement of overall GRESB score

Overall score

# [1-100]

93

92

1

Building: building certificate
BREEAM In-Use score

BREEAM

BREEAM-NL Label (asset)

%

95.8%

96.3%

-0.5 pp

All standing investments minimum BREEAM-NL in-use VERY GOOD by the end of 2023 at asset-level

BREEAM-NL Label (managment)

%

78.9%

70.1%

+8.7 pp

Reducing environmental impact

Promoted ESG characteristic

Indicator

Measure

Units of measure

2023

2022

% change

Plan 2023-2025

Combatting climate change:
source of energy (phase out fossil
fuels)

Free of natural gas

Percentage of gas free m²

%

61.4%

63.0%

-2.6%

100% Gas free in 2045

Emissions in kg CO2 m² (electricity purchased by the Fund)

Emissions in kg CO2 m² (electricity purchased by the Fund)

kg

0 (All emissions compensated)

0 (All emissions compensated)

+0

Annually no scope 2 emissions

Combatting climate change:
energy-efficient buildings

Average energy intensity

kWh/m²/yr

#

134

137

-2.0%

 
Stakeholder engagement performance

Promoted ESG characteristic

Indicator

Measure

Units of measure

2023

2022

% change

Plan 2023-2025

Tenant health & wellbeing

BREEAM In-Use health assessment score

BREEAM Label (asset)

%

  

+0.0 pp

2024: > 70%

BREEAM Label (managment)

%

  

+0.0 pp

2024 > 60%

Product accountability: tenant satisfaction

Tenant satisfaction

Average total score

#

7.3

7.3

+0.0

Tenants give the Fund a score higher than 7

* This concerns only lease agreements with regard to office space, leases for parking spaces are excluded.

Being a responsible organisation

Promoted ESG characteristic

Indicator

Measure

Units of measure

2023

2022

% change

Plan 2023-2025

Considerate constructors scheme (construction sites)

Construction sites working under the considerate constructors scheme (based on purchase price)

Participation rate (by acquisition price)

%

N/A

N/A

 

≥75% of total construction sites

Reporting of performance indicators

The Fund’s ambition to increase the coverage and therefore the transparency of its environmental impact according to INREV Sustainability Reporting Guidelines is reflected in the summary of key performance indicators in the table above.

Bouwinvest reports environmental data of those assets where there is management control possible (operational control approach). Data is provided for those assets where we have authority to introduce and implement operating policies and are responsible for purchasing energy and water and handling waste. Our management control differs greatly by asset type (e.g. residential and office); these differences affect the level of influence we have over the sustainability performance of our assets.

Energy related data and changes represents assets which have been fully owned and operational for the full 24 month period in our investment portfolio. It provides insight in the performance of an indicator over time at a constant portfolio scope. The reported GHG emissions (scope 2) can be explained by the compensation of carbon emissions through purchase of carbon certificates. This follows the commitment of Bouwinvest to reduce the impact its operations has on climate change.

For the managed portfolio (scope 1 and 2), Bouwinvest reports on its gas-free assets and indirect energy sources (electricity, district heating and district cooling).

In the annual report of Bouwinvest Real Estate Investors B.V. the results of a conducted analysis on material topics and observations on stakeholders and reporting criteria with regard to Bouwinvest and its investment activities in general are included. The responsible investing indicators in this report are aligned with these results and observations where applicable.