The Fund has an agreement with Bouwinvest Development B.V., which develops part of the investment property for the Fund.
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The bank balances of € 29.8 million are freely available to the Fund as at 31 December 2015 and the bank deposits of € 100.0 million have a 30 days' notice period.
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For 2015, before appropriation of result
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The other payables relate to invoices yet to be received for maintenance of and investments in the portfolio.
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Basic earnings per share are calculated by dividing the net result attributable to shareholders by the weighted average number of ordinary shares outstanding during the year.
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In 2015, € 104.1 million (2014: € 101.5 million) was paid as dividend.
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As at 31 December 2015, the Fund’s total future commitments amounted to € 692 million (2014: € 401 million).
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The Residential Fund and members of the Supervisory Board and Board of Directors of Bouwinvest Real Estate Investment Management B.V. (Bouwinvest) and the other entities under management by Bouwinvest, qualify as related parties of the Fund.
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Bouwinvest is the manager and the Statutory Director of the Fund. The management fee paid for the year 2015 amounted to € 14.3 million (2014: € 13.3 million).
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