During the finalisation of this annual report, the world was overtaken by a serious crisis due to the COVID-19 virus.
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Bouwinvest is the fund manager of the Fund and as such is responsible for portfolio management and risk management.
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Bouwinvest constantly aims to strengthen the risk management function within the organisation.
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Bouwinvest has organised Risk Management according to the three lines of defence model. The roles and high-level risk responsibilities are described for each of the lines.
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To achieve an integrated approach to risk management, all the risks Bouwinvest is exposed to must be uniformly defined. To this end, Bouwinvest drew up a Risk Taxonomy that has been approved by the Executive Board of Directors.
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Bouwinvest sees integrity, transparency and corporate social responsibility and important prerequisites to achieving its business objectives.
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Based on our assessment of the dynamics, opportunities and threats of the Dutch residential market over 2019, we arrived at following vision of the Dutch residential market:
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The Dutch economy continued to perform well in 2019, although momentum did weaken during the course of the year. Real GDP growth amounted to 1.7% in 2019, which makes the Netherlands one of the most flourishing economies in Western Europe.
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In 2019, the national government took a number of steps in the context of the National Housing Plan 2018-2021.
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Before 2050, all residential buildings will have to be made sustainable and converted to low (or even net-zero) carbon.
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