Table 7: Supplementary GHG metrics on investments in sovereigns (reserve assets)
| | Portfolio as at: |
31.12.2019 | 31.12.2021 | 31.12.2023 | 31.12.2025 |
Portfolio holdings (by nominal value) | €24.4 billion | €25.1 billion | €25.6 billion | €25.4 billion |
Total carbon emissions (mn tCO2e) | With GDP adjusted by PPP as reference variable | With LULUCF | 7.27 (100 %) | 7.05 (100 %) | 5.61 (100 %) | 5.17* (100 %) |
| Excluding LULUCF | 8.31 (100 %) | 8.08 (100 %) | 6.35 (100 %) | 5.83* (100 %) |
Carbon footprint (tCO2e/€mn of investment) | With LULUCF | 297.3 (100 %) | 280.5 (100 %) | 219.0 (100 %) | 203.0* (100 %) |
| Excluding LULUCF | 340.0 (100 %) | 321.3 (100 %) | 247.7 (100 %) | 229.0* (100 %) |
Total carbon emissions (mn tCO2e) | Methodology: Government debt as reference variable | With LULUCF | 5.47 (100 %) | 5.19 (100 %) | 4.86 (100 %) | 4.28* (100 %) |
| Excluding LULUCF | 6.26 (100 %) | 5.92 (100 %) | 5.45 (100 %) | 4.79* (100 %) |
Carbon footprint (tCO2e/€mn of investment) | With LULUCF | 223.6 (100 %) | 206.3 (100 %) | 189.6 (100 %) | 168.3* (100 %) |
| Excluding LULUCF | 255.9 (100 %) | 235.3 (100 %) | 212.5 (100 %) | 188.1* (100 %) |
* Preliminary metrics based on the latest available GHG data (mostly for 2024). Total carbon emissions and carbon footprint with coverage (according to portfolio volume) in italics and in brackets. Sources: ISS ESG, Bundesbank data and calculations. |