| Note |   | Total 2014 | Per share 2014 | Total 2013 | Per share 2013 | 
|   | NAV as per the financial statements | 670,322 | 2,527.09 | 605,784 | 2,594.04 | 
|   | Reclassification of certain IFRS liabilities as components of equity |   |   |   |   | 
| 1 | Effect of reclassifying shareholder loans and hybrid capital instruments (including convertible bonds) that represent shareholders long term interests in a vehicle | -   | -   | -   | -   | 
| 2 | Effect of dividends recorded as a liability which have not been distributed | -   | -   | -   | -   | 
|   | NAV after reclassification of equity-like interests and dividends not yet distributed | 670,322 | 2,527.09 | 605,784 | 2,594.04 | 
|   | Fair value of assets and liabilities |   |   |   |   | 
| 3 | Revaluation to fair value of investment properties | -   | -   | -   | -   | 
| 4 | Revaluation to fair value of self-constructed or developed investment property | -   | -   | -   | -   | 
| 5 | Revaluation to fair value of investment property held for sale | -   | -   | -   | -   | 
| 6 | Revaluation to fair value of property that is leased to tenants under a finance lease | -   | -   | -   | -   | 
| 7 | Revaluation to fair value of real estate held as inventory | -   | -   | -   | -   | 
| 8 | Revaluation to fair value of other investments in real assets | -   | -   | -   | -   | 
| 9 | Revaluation to fair value of indirect investments not consolidated | -   | -   | -   | -   | 
| 10 | Revaluation to fair value of financial assets and financial liabilities | -   | -   | -   | -   | 
| 11 | Revaluation to fair value of construction contracts for third parties | -   | -   | -   | -   | 
| 12 | Set-up costs | -   | -   | 100 | 0.43 | 
| 13 | Acquisition expenses | 4,518 | 17.03 | 3,255 | 13.94 | 
| 14 | Contractual fees | -   | -   | -   | -   | 
|   | Effects of the expected manner of settlement of sales/vehicle unwinding |   |   |   |   | 
| 15 | Revaluation to fair value of savings of purchaser’s costs such as transfer taxes | -   | -   | -   | -   | 
| 16 | Revaluation to fair value of deferred taxes and tax effect of INREV NAV adjustments | -   | -   | -   | -   | 
| 17 | Effect of subsidiaries having a negative equity (non-recourse | -   | -   | -   | -   | 
|   | Other adjustments |   |   |   |   | 
| 18 | Goodwill | -   | -   | -   | -   | 
| 19 | Non-controlling interest effects of INREV adjustments | -   | -   | -   | -   | 
|   | INREV NAV | 674,840 | 2,544.13 | 609,139 | 2,608.41 | 
|   |   |   |   |   |   | 
|   | Number of shares issued | 265,254 |   | 233,529 |   | 
|   | Number of shares issued taking dilution effect into account | 265,254 |   | 233,529 |   | 
|   | Weighted average INREV NAV | 641,989 |   | 599,469 |   | 
|   | Weigthed average INREV GAV | 656,622 |   | 607,877 |   | 
|   | Total Expense Ratio (NAV) | 0.57% |   | 0.57% |   | 
|   | Total Expense Ratio (GAV) | 0.56% |   | 0.56% |   | 
|   | Real Estate Expense Ratio (GAV) | 0.75% |   | 0.78% |   |