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Management company

Bouwinvest is the fund manager of the Fund and as such is responsible for portfolio management and risk management.

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Three lines of defence model

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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Bouwinvest Risk Universe and Taxonomy

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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Compliance

Bouwinvest sees integrity, transparency and corporate social responsibility and important prerequisites to achieving its business objectives.

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Megatrends

In the ‘Market environment’ chapter, we describe the Fund-specific trends. In this appendix, we discuss a number of megatrends that are affecting and will continue to affect markets at national, European and global levels.

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Dutch residential market 2019

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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