Committed to owning assets that are net zero carbon in operations by fiscal year 2025, covering Scope 1 and 2 emissions.
Disclose energy consumption as well as Scope 1 and 2 emissions through annual sustainability year-in-review reporting.
The Fund’s Responsible Property Investment (RPI) Strategy outlines actions that include acquiring high performing assets that meet minimum benchmark requirements, implementation of energy efficiency programs, renewable and low carbon energy systems, effective tenant and community engagement and installation of leading facilities management technology and systems.
Verify asset level performance through third party certification schemes including NABERS Energy and Green Star – Performance. Undertake third party assurance for environmental data of portfolio annually via a limited assurance process to the ASAE3000 standard.
As described in group-wide Sustainability Framework, continue to create, ensure and support sustainable economic growth, vibrant resilient cities and communities and healthy people and planet.