LEED BD+C v4 - Refefence Guide

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REFERENCE

GUIDE FOR
BUILDING
DESIGN AND
CONSTRUCTION v4
i

COPYRIGHT
Copyright 2013 by the U.S. Green Building Council. All rights reserved.

The U.S. Green Building Council, Inc. (USGBC) devoted significant time and resources to create this LEED
Reference Guide for Building Design and Construction, 2013 Edition. USGBC authorizes individual use of the
Reference Guide. In exchange for this authorization, the user agrees:
1. to retain all copyright and other proprietary notices contained in the Reference Guide,
2. not to sell or modify the Reference Guide, and
3. not to reproduce, display, or distribute the Reference Guide in any way for any public or commercial
purpose, including display on a website or in a networked environment.

Unauthorized use of the Reference Guide violates copyright, trademark, and other laws and is prohibited.

The text of the federal and state codes, regulations, voluntary standards, etc., reproduced in the Reference Guide
is used under license to USGBC or, in some instances, in the public domain. All other text, graphics, layout, and
other elements of content in the Reference Guide are owned by USGBC and are protected by copyright under
both United States and foreign laws.

NOTE: for downloads of the Reference Guide:


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DISCLAIMER
None of the parties involved in the funding or creation of the Reference Guide, including the USGBC, its
members, its contractors, or the United States government, assume any liability or responsibility to the user or
any third parties for the accuracy, completeness, or use of or reliance on any information contained in the
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As a condition of use, the user covenants not to sue and agrees to waive and release the U.S. Green Building
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Reference Guide.

U.S. Green Building Council


2101 L Street, NW
Suite 500
Washington, DC 20037

TRADEMARK
LEED is a registered trademark of the U.S. Green Building Council.
LEED Reference Guide for Building Design and Construction
2013 Edition
ISBN #978-1-932444-19
ACKNOWLEDGMENTS
TheLEED Reference Guide for Building Design and Construction, 2013 Edition, has been made possible only
through the efforts of many dedicated volunteers, staff members, and others in the USGBC community. The
Reference Guide drafting was managed and implemented by USGBC staff and consultants and included review
and suggestions by many Technical Advisory Group (TAG) members. We extend our deepest gratitude to all of
ii

our LEED committee members who participated in the development of this guide, for their tireless volunteer
efforts and constant support of USGBCs mission:

LEED Steering Committee


Joel Todd, Chair Joel Ann Todd
Bryna Dunn, Vice-Chair Moseley Architects
Felipe Faria Green Building Council Brasil
Elaine Hsieh KEMA Services
Susan Kaplan BuildingWrx
Malcolm Lewis Cadmus Group
Muscoe Martin M2 Architecture
Lisa Matthiessen Integral Group
Brenda Morawa Integrated Environmental Solutions
Tim Murray Morris Architects
Sara O'Mara Choate Construction Company
Bruce Poe Modus Architecture Collaborative
Alfonso Ponce Deloitte Finance
David Sheridan Aqua Cura
Lynn Simon Thornton Tomasetti
Doug Gatlin (Non-voting) U.S. Green Building Council
Scot Horst (Non-voting) U.S. Green Building Council
Brendan Owens (Non-voting) U.S. Green Building Council
Peter Templeton (Non-voting) U.S. Green Building Council

LEED Technical Committee


Susan Kaplan, Chair BuildingWrx
Maureen McGeary Mahle, Vice-Chair Steven Winter Associates
Jennifer Atlee BuildingGreen
Steve Baer Five Winds International
Ted Bardacke Global Green USA
Steve Benz OLIN
Neal Billetdeaux SmithGroupJJR
David Bracciano Alliance for Water Efficiency
Daniel Bruck BRC Acoustics & Audiovisual
Design
David Carlson Columbia University
Jenny Carney YR&G
Mark Frankel New Buildings Institute
Nathan Gauthier EA Buildings
George Brad Guy Catholic University of America
Michelle Halle Stern The Green Facilitator
Malcolm Lewis Cadmus Group
John McFarland Working Buildings LLC
Jessica Millman The Agora Group
Neil Rosen North Shore LIJ Health System
Thomas Scarola Tishman Speyer
Chris Schaffner The Green Engineer
Marcus Sheffer 7group
Sheila Sheridan Sheridan Associates
Bob Thompson U.S. Environmental Protection
Agency
Alfred Vick University of Georgia
LEED Market Advisory Committee
Lisa Matthiessen, Chair Integral Group
iii

Holley Henderson, Vice-Chair H2Ecodesign


Liana Berberidou-Kallivoka City of Austin
Jeffrey Cole Konstrukt
Walter Cuculic Pulte Homes
Rand Ekman Cannon Design
Richard Kleinman LaSalle Investment Management
Craig Kneeland NYSERDA
Muscoe Martin M2 Architecture
Cindy Quan Goldman Sachs & Co.
Matt Raimi Raimi + Associates
Jon Ratner Forest City Enterprises
Marcus Sheffer 7group
Rebecca Stafford University of California, Office of President
Gary Thomas CB Richard Ellis
Keith Winn Catalyst Partners

Implementation Advisory Committee


Brenda Morawa, Chair Integrated Environmental Solutions
Adam Fransen, Vice-Chair CB Richard Ellis
Michelle Malanca Michelle Malanca Sustainability Consulting
Brad Pease Paladino and Co.
Ken Potts McGough
Richard Schneider U.S. Army Engineer Research and Development
Center
Greg Shank Altura Associates
David Sheridan Aqua Cura
Natalie Terrill Viridian Energy & Environmental
Bill Worthen Urban Fabrick Design
Max Zahniser Praxis | Building Solutions

Location and Planning TAG


Jessica Millman, Chair The Agora Group
John Dalzell, Vice-Chair Boston Redevelopment Authority/ City of Boston
Eliot Allen Criterion Planners
Laurence Aurbach Office of Laurence Aurbach
Ted Bardacke Global Green USA
Erin Christensen Mithun
Andy Clarke League of American Bicyclists
Fred Dock City of Pasadena
Bruce Donnelly Auricity
Victor Dover Dover, Kohl, and Partners
Reid Ewing University of Utah
Doug Farr Farr & Associates
Lois Fisher Fisher Town Design
Tim Frank Sierra Club
Randy Hansell Earth Advantage Institute
Justin Horner Natural Resources Defense Council
Ron Kilcoyne Lane Transit District
Todd Litman Victoria Transport Policy Institute
Dana Little Treasure Coast Regional Planning Council
Art Lomenick Parsons Brinckerhoff
Steve Mouzon New Urban Guild
Lynn Richards U.S. Environmental Protection Agency
Harrison Rue ICF International
iv

Shawn Seamen PN Hoffman


Anthony Sease Civitech
Laurie Volk Zimmerman/ Volk Associates
Patricia White Defenders of Wildlife

Sustainable Sites TAG


Jenny Carney, Chair YR&G
Neal Billetdeaux, Vice-Chair SmithGroupJJR
Michele Adams Meliora Environmental Design
Joby Carlson University of Arkansas
Laura Case Southface Energy Institute
Stephen Cook VIKA
Richard Heinisch Acuity Brands Lighting
Heather Holdridge Lake | Flato Architects
Jason King Greenworks, PC
Katrina Rosa The EcoLogic Studio
Kyle Thomas Natural Systems Engineering
Alfred Vick University of Georgia
Teresa Watkins St. John's Water Management District Steve
Benz OLIN

Water Efficiency TAG


Neil Rosen, Chair North Shore LIJ Health System
Doug Bennett, Vice-Chair Las Vegas Valley Water
District / Southern Nevada Water Authority
Damann Anderson Hazen & Sawyer
Gunnar Baldwin TOTO USA
Robert Benazzi Jaros Baum & Bolles
Steve Benz OLIN
Neal Billetdeaux SmithGroupJJR
David Bracciano Alliance for Water Efficiency
David Carlson Columbia University
Ron Hand E/FECT. Sustainable Design Solutions
Bill Hoffman H.W. Hoffman and Associates
Winston Huff SSR Engineers
Joanna Kind Eastern Research Group
Heather Kinkade Forgotten Rain
Gary Klein Affiliated International Management
John Koeller Koeller and Company
Shawn Martin International Code Council
Don Mills Clivus Multrum
Geoff Nara Civil & Environmental Consultants
Karen Poff Austin Energy
Shabbir Rawalpindiwala Kohler
Robert Rubin NCSU
Stephanie Tanner US Environmental Protection Agency
David Viola International Association of Plumbing and Mechanical Officials
Bill Wall Clivus New England
Daniel Yeh University of South Florida
Rob Zimmerman Kohler
Energy and Atmosphere TAG
Nathan Gauthier, Chair EA Buildings
v

Jeremy Poling, Vice-Chair Goby


John Adams General Services Administration
Amanda Bogner The Energy Studio
Kevin Bright Harvard University
Lane Burt Natural Resources Defense Council
Allan Daly Taylor Engineering
Charles Dorgan University of Wisconsin-Madison
Jay Enck Commissioning & Green Building Solutions
Ellen Franconi Rocky Mountain Institute
Scott Frank Jaros Baum & Bolles
Gail Hampsmire Low Energy Low Cost
Tia Heneghan ZIA for Buildings
Rusty Hodapp Dallas/Fort Worth International Airport Board
Brad Jones Sebesta Blomberg
Dan Katzenberger Engineering, Energy, and the Environment
Doug King King Sustainability
Chris Ladner Viridian
Richard Lord Carrier Corporation
Bob Maddox Sterling Planet
Rob Moody Organic Think
Brenda Morawa BVM Engineering
Paul Raymer Heyoka Solutions
Erik Ring LPA
David Roberts National Renewable Energy Laboratory
Michael Rosenberg Pacific Northwest National Laboratory
Greg San Martin PG&E
Chris Schaffner The Green Engineer
Marcus Sheffer 7group
Gordon Shymko G.F. Shymko & Associates
Jason Steinbock The Weidt Group
Jorge Torres Coto MBO
Tate Walker Energy Center of Wisconsin

Materials and Resources TAG


Steve Baer, Chair PE INTERNATIONAL/ Five Winds Strategic
Consulting
Brad Guy, Vice-Chair Material Reuse
Paul Bertram Kingspan Insulated Panels, North America
Paul Bierman-Lytle Pangeon/ iMCC Management Consulting
Steve Brauneis Rocky Mountain Institute
Amy Costello Armstrong World Industries
Chris Geiger San Francisco Department of the Environment
Barry Giles BuildingWise
Avi Golen Construction Waste Management
Lee Gros Lee Gros Architect and Artisan
Rick Levin Kahler Slater
Joep Meijer The Right Environment
Xhavin Sinha CH2M HILL
Raymond Smith U.S. Environmental Protection Agency
Wes Sullens StopWaste.Org of Alameda County
Denise Van Valkenburg Eurofins
Indoor Environmental Quality TAG
Daniel Bruck, Chair BRC Acoustics & Audiovisual Design
vi

Michelle Halle Stern, Vice-Chair The Green Facilitator


Sahar Abbaszadeh The Cadmus Group
Terry Brennan Camroden Associates
Aida Carbo UL Environment
Randal Carter Steelcase
Wenhao Chen California Department of Public Health
Nancy Clanton Clanton & Associates
Dan Dempsey Carrier
Larry Dykhuis Herman Miller
Dwayne Fuhlhage PROSOCO
Stowe Hartridge Beam Scientific Certification Systems
Dan Int-Hout Krueger
Alexis Kurtz The Sextant Group
Matt Latchford Lam Partners
David Lubman David Lubman & Associates
Richard Master USG Corporation
John McFarland WorkingBuildings
Bud Offermann Indoor Environmental Engineering
Reinhard Oppl Eurofins Product Testing A/S
Ozgem Ornektekin New York University
Charles Salter Salter Associates
Chris Schaffner The Green Engineer
Dana Schneider Jones Lang LaSalle
Dennis Stanke Trane Commercial Systems
Don Stevens Panasonic Home and Environment
Company
Bob Thompson U.S. Environmental Protection Agency
Ellen Tohn Tohn Environmental Strategies
Prasad Vaidya The Weidt Group

Pilot Credit Library Working Group


Marc Cohen (Chair) The Cadmus Group
Lindsay Baker Mary Davidge Associates
Cheryl Baldwin GreenSeal
James Bogdan PPG Industries
Carlie Bullock-Jones Ecoworks Studio
Paul Firth UL Environment
Mick Schwedler Trane
Steve Taylor Taylor Engineering
Richard Young Fisher-Nickel

Integrative Process Task Group


Lindsay Baker Mary Davidge Associates
John Boecker 7group
Penny Bonda Ecoimpact Consulting
Jenny Carney YR&G
Joel Todd Joel Ann Todd
Bill Reed Integrative Design Collaborative
Heather Rosenberg The Cadmus Group
Linda Sorrento National Academy of Environmental Design
Keith Winn Catalyst Partners
Bill Worthen Urban Fabrik
Max Zahniser Praxis | Building Solutions
vii

A special thanks to USGBC and GBCI staff for their invaluable efforts in developing this reference guide,
especially to the following for their technical expertise: Emily Alvarez, Eric Anderson, Theresa Backhus, Lonny
Blumenthal, Amy Boyce, Steve Brauneis, Sarah Buffaloe, Sara Cederberg, Christopher Davis, Robyn Eason,
Corey Enck, Sean Fish,
Asa Foss, Deon Glaser, Scott Haag, Gail Hampsmire, Jason Hercules, Jackie Hofmaenner, Theresa Hogerheide,
Mika
Kania, Heather Langford, Christopher Law, Rebecca Lloyd, Emily Loquidis, Chrissy Macken, Chris Marshall,
Batya Metalitz, Larissa Oaks, Lauren Riggs, Jarrod Siegel, Micah Silvey, Ken Simpson, Megan Sparks, Rebecca
Stahlnecker, and Tim Williamson.
A special thanks to Jessica Centella, Selina Holmes, and Dave Marcus for their graphics support and eye for
design.
A thank you also goes to Scot Horst, Doug Gatlin, and Brendan Owens for their vision and support, and
Meghan Bogaerts for her hard work, attention to detail and flair for writing. A very special thanks to Dara
Zycherman, staff lead on the development of the LEED v4 Reference Guide suite, for her unwavering
commitment to quality and her dedication to the production of the guides.
A special thanks to the consultant team which included Arup, CBRE, C.C. Johnson & Malhotra, Criterion
Planners, Goby, Paladino & Co., Post Typography, West Main, and YR&G, and the unique artwork created for
this publication by RTKL Associates.
Table of ConTenTs
PrefaCe 4

GeTTinG sTarTed 8

MiniMuM ProGraM requireMenTs 26

raTinG sysTeM seleCTion GuidanCe 32

Prerequisite Integrative Project Planning and Design ....................................................................37 Credit

Integrative Process............................................................................................................................43 loCaTion

and TransPorTaTion 54
LT Overview ........................................................................................................................................................55
LT Credit LEED for Neighborhood Development Location ........................................................59
LT Credit Sensitive Land Protection .......................................................................................................63
LT Credit High-Priority Site ..........................................................................................................................71
LT Credit Surrounding Density and Diverse Uses ............................................................................77
LT Credit Access to Quality Transit .........................................................................................................89
LT Credit Bicycle Facilities ...........................................................................................................................99
LT Credit Reduced Parking Footprint .....................................................................................................111
LT Credit Green Vehicles ..............................................................................................................................121

SS Overview .......................................................................................................................................................137
SS Prerequisite Construction Activity Pollution Prevention ......................................................139
SS Prerequisite Environmental Site Assessment .............................................................................147
SS Credit Site Assessment .........................................................................................................................153
SS Credit Site DevelopmentProtect or Restore Habitat ..........................................................163
SS Credit Open Space ..................................................................................................................................177
SS Credit Rainwater Management ..........................................................................................................183
SS Credit Heat Island Reduction .............................................................................................................197
SS Credit Light Pollution Reduction ....................................................................................................207
SS Credit Site Master Plan .........................................................................................................................225 SS Credit
Tenant Design and Construction Guidelines ..............................................................229
SS Credit Places of Respite .......................................................................................................................237
SS Credit Direct Exterior Access ...........................................................................................................243

SS Credit Joint Use of Facilities .............................................................................................................249

WE Overview ...................................................................................................................................................257
WE Prerequisite Outdoor Water Use Reduction ...........................................................................259
WE Prerequisite Indoor Water Use Reduction ................................................................................267
WE Prerequisite Building-Level Water Metering ...........................................................................283
WE Credit Outdoor Water Use Reduction ........................................................................................287
WE Credit Indoor Water Use Reduction ............................................................................................297
WE Credit Cooling Tower Water Use ..................................................................................................305
WE Credit Water Metering ..........................................................................................................................311

EA Overview ..................................................................................................................................................... 319


EA Prerequisite Fundamental Commissioning and Verification ..............................................321
EA Prerequisite Minimum Energy Performance ............................................................................335
EA Prerequisite Building-Level Energy Metering ...........................................................................375 EA Prerequisite
Fundamental Refrigerant Management .............................................................381
EA Credit Enhanced Commissioning .................................................................................................. 387
EA Credit Optimize Energy Performance .........................................................................................405
EA Credit Advanced Energy Metering ................................................................................................ 413
EA Credit Demand Response .................................................................................................................. 421
EA Credit Renewable Energy Production .........................................................................................429
EA Credit Enhanced Refrigerant Management ...............................................................................441
EA Credit Green Power and Carbon Offsets ...................................................................................453

MR Overview ...................................................................................................................................................467
MR Prerequisite Storage and Collection of Recyclables .............................................................473
MR Prerequisite Construction and Demolition Waste Management Planning ................479
MR Prerequisite PBT Source ReductionMercury .......................................................................485
MR Credit Building Life-Cycle Impact Reduction .........................................................................495
MR Credit Building Product Disclosure and Optimization
Environmental Product Declarations ..............................................................................................513
MR Credit Building Product Disclosure and Optimization
Sourcing of Raw Materials ..................................................................................................................525
MR Credit Building Product Disclosure and Optimization
Material Ingredients ................................................................................................................................ 541 MR
Credit PBT Source ReductionMercury.................................................................................... 553
MR Credit PBT Source ReductionLead, Cadmium, and Copper ........................................559
MR Credit Furniture and Medical Furnishings..................................................................................567
MR Credit Design for Flexibility ..............................................................................................................577

MR Credit Construction and Demolition Waste Management .................................................587 indoor

environMenTal qualiTy 596

EQ Overview ....................................................................................................................................................597
EQ Prerequisite Minimum Indoor Air Quality Performance .....................................................605 EQ Prerequisite
Environmental Tobacco Smoke Control ..........................................................623
EQ Prerequisite Minimum Acoustic Performance .........................................................................633
EQ Credit Enhanced Indoor Air Quality Strategies ......................................................................645
EQ Credit Low-Emitting Materials .........................................................................................................657
EQ Credit Construction Indoor Air Quality Management Plan ...............................................677
EQ Credit Indoor Air Quality Assessment ........................................................................................685
EQ Credit Thermal Comfort .....................................................................................................................695
EQ Credit Interior Lighting ..........................................................................................................................711
EQ Credit Daylight ........................................................................................................................................723
EQ Credit Quality Views ............................................................................................................................ 739
EQ Credit Acoustic Performance ...........................................................................................................757

IN Overview ......................................................................................................................................................777
IN Credit Innovation ......................................................................................................................................779
IN Credit LEED Accredited Professional.............................................................................................785

RP Overview ....................................................................................................................................................789
RP Credit Regional Priority ........................................................................................................................791

aPPendiCes 795
Appendix 1. Use Types and Categories .............................................................................................. 795
Appendix 2. Default Occupancy Counts ...........................................................................................796
Appendix 3. Retail Process Load Baselines ......................................................................................797
4

The Case for Green buildinG


Green buildings are an integral part of the solution to The impetus behind development of the
the environmental challenges facing the planet. Leadership in Energy and Environmental Design
Today we use the equivalent of 1.5 Earths to (LEED) rating systems was recognition of those
meet the resource needs of everyday life and absorb problems, coupled with awareness that the design
the resulting wastes. This measure of our planets and construction industry already had the expertise,
carrying capacity means that it takes Earth 18 tools, and technology to transform buildings and
months to regenerate what is used in only 12 make significant advances toward a sustainable
months. If current trends continue, estimates planet. LEED projects throughout the world have
suggest, by the year 2030 we will need the demonstrated the benefits of taking a green design
equivalent of two planets.1 Turning resources into approach that reduces the environmental harms of
waste faster than they can be regenerated puts the buildings and restores the balance of natural
planet into ecological overshoot, a clearly systems.
unsustainable condition that we all must address. Buildings have a major role to play in
The forces driving this situation are numerous. sustainability through their construction, the lifetime
Human population has increased exponentially in of their operation, and patterns of development. As
the past 60 years, from about 2.5 billion in 1950 to Earths population continues to increase,
more than 7 billion today. Our linear use of construction and renovation of buildings expand
resources, treating outputs as waste, is responsible even more rapidly. For example, estimates for the
for the toxins that are accumulating in the U.S. indicate that two-thirds of the structures that
atmosphere, in water, and on the ground. This will exist in 2050 will have been built between now
pattern of extraction, use, and disposal has hastened and then.4 What we build today and where we build
depletion of finite supplies of nonrenewable energy, it are profoundly important.
water, and materials and is accelerating the pace of The green building portion of the construction
our greatest problemclimate change. Buildings market is rapidly expanding. It represented 2% of
account for a significant portion of greenhouse gas nonresidential construction starts in 2005, 12% in
emissions; in the U.S., buildings are associated with 2008, and 28% to 35% in 2010.5 The concept of
38% of all emissions of carbon dioxide2; globally, the green buildings provides a vision for resource
figure is nearly one-third.3 The problem is equity between developing and developed nations.
anticipated to worsen as developing countries attain As green building practices guide developed
higher standards of living. These forces are bringing nations toward a more responsible use of resources,
us to a tipping point, a threshold beyond which Earth they enable developing nations to attain essential
cannot rebalance itself without major disruption to improvements in quality of life without overtaxing
the systems that humans and other species rely on local resources.
for survival.
1. Global Footprint Network, http://footprintnetwork.org/en/index.php/gfn/page/world_footprint/, accessed 9/11/2012 2.
Energy Information Administration (2008). Assumptions to the Annual Energy
Outlook
3. unep.org/sbci/pdfs/SBCI-BCCSummary.pdf.
4. Ewing, R., K. Bartholomew, S. Winkleman, J. Walters, and D. Chen, Growing Cooler: The
Evidence on Urban Development and Climate Change (Washington, DC: Urban Land Institute, 2008), p.
8, smartgrowthamerica.org/documents/growingcoolerCH1.pdf.
5. Green Outlook 2011: Green Trends Driving Growth (McGraw-Hill Construction, 2010).
5

abouT leed
Developed by the U.S. Green Building Council, LEED is a framework for identifying, implementing, and measuring green building and
neighborhood design, construction, operations, and maintenance. LEED is a voluntary, marketdriven, consensus-based tool that serves as a
guideline and assessment mechanism. LEED rating systems address commercial, institutional, and residential buildings and neighborhood
developments.
LEED seeks to optimize the use of natural resources, promote regenerative and restorative strategies, maximize the positive and minimize the
negative environmental and human health consequences of the construction industry, and provide high-quality indoor environments for building
occupants. LEED emphasizes integrative design, integration of existing technology, and state-of-the-art strategies to advance expertise in green
building and transform professional practice. The technical basis for LEED strikes a balance between requiring todays best practices and
encouraging leadership strategies. LEED sets a challenging yet achievable set of benchmarks that define green building for interior spaces, entire
structures, and whole neighborhoods.
LEED for New Construction and Major Renovations was developed in 1998 for the commercial building industry and has since been updated
several times. Over the years, other rating systems have been developed to meet the needs of different market sectors.
Since its launch, LEED has evolved to address new markets and building types, advances in practice and technology, and greater
understanding of the environmental and human health effects of the built environment. These ongoing improvements, developed by USGBC
member-based volunteer committees, subcommittees, and working groups in conjunction with USGBC staff, have been reviewed by the LEED Steering
Committee and the USGBC Board of Directors before being submitted to USGBC members for a vote. The process is based on principles of
transparency, openness, and inclusiveness.

leed's Goals
The LEED rating systems aim to promote a transformation of the construction industry through strategies designed to achieve seven
goals:
To reverse contribution to global climate change
To enhance individual human health and well-being
To protect and restore water resources
To protect, enhance, and restore biodiversity and ecosystem services
To promote sustainable and regenerative material resources cycles
To build a greener economy
To enhance social equity, environmental justice, community health, and quality of life

These goals are the basis for LEEDs prerequisites and credits. In the BD+C rating system, the major prerequisites and credits are
categorized as Location and Transportation (LT), Sustainable Sites (SS), Water Efficiency (WE), Energy and Atmosphere (EA),
Materials and Resources (MR), and Indoor Environmental Quality (EQ).
The goals also drive the weighting of points toward certification. Each credit in the rating system is allocated points based on the
relative importance of its contribution to the goals. The result is a weighted average: credits that most directly address the most
important goals are given the greatest weight. Project teams that meet the prerequisites and earn enough credits to achieve certification
have demonstrated performance that spans the goals in an integrated way. Certification is awarded at four levels (Certified, Silver,
Gold, Platinum) to incentivize higher achievement and, in turn, faster progress toward the goals.

benefiTs of usinG leed


LEED is designed to address environmental challenges while responding to the needs of a competitive market.
Certification demonstrates leadership, innovation, environmental stewardship, and social responsibility. LEED
6

gives building owners and operators the tools they need to immediately improve both building performance and the bottom line while
providing healthful indoor spaces for a buildings occupants.

LEED-certified buildings are designed to deliver the following benefits:

Lower operating costs and increased asset value


Reduced waste sent to landfills
Energy and water conservation
More healthful and productive environments for occupants
Reductions in greenhouse gas emissions
Qualification for tax rebates, zoning allowances, and other incentives in many cities

By participating in LEED, owners, operators, designers, and builders make a meaningful contribution to the green building industry. By
documenting and tracking buildings resource use, they contribute to a growing body of knowledge that will advance research in this rapidly
evolving field. This will allow future projects to build on the successes of todays designs and bring innovations to the market.

leed CerTifiCaTion ProCess


The process begins when the owner selects the rating system and registers the project (see Rating System Selection). The project is then designed
to meet the requirements for all prerequisites and for the credits the team has chosen to pursue. After documentation has been submitted for certification,
a project goes through preliminary and final reviews. The preliminary review provides technical advice on credits that require additional work for
achievement, and the final review contains the projects final score and certification level. The decision can be appealed if a team believes additional
consideration is warranted.

LEED has four levels of certification, depending on the point thresholds achieved:
Certified, 4049 points
Silver, 5059 points
Gold, 6079 points
Platinum, 80 points and above
7
10

More abouT The furTher exPlanaTion seCTion


Further Explanation contains varied subsections depending on the credit; two of the common subsections are elaborated upon here.

CaMPus ProjeCTs

Campus refers to the Campus Program for Projects on a Shared Site, which certifies multiple buildings located on one site and under the control of a
single entity. Examples include buildings on a corporate or educational campus and structures in a commercial development. Only project teams using
the Campus Program need to follow the guidance in the Campus section; the guidance is not applicable to projects that are in a campus setting or are
part of a multitenant complex but not pursuing certification using the Campus Program.

There are two approaches to certifying multiple buildings under the Campus Program:
Group Approach allows buildings that are substantially similar and are in a single location to certify as one project that shares a single
certification.
Campus Approach allows buildings that share a single location and site attributes to achieve separate LEED certification for each project,
building space, or group on the master site.

For each approach, the reference guide gives any credit-specific information and notes two possible scenarios:
Group Approach
All buildings in the group may be documented as one. The buildings may meet the credit requirements as a single group by, for example,
pooling resources or purchasing, and then submitting a single set of documentation.
Submit separate documentation for each building. Each building in the group project must meet the credit requirements individually for the
project to earn the credit.
Campus Approach
Eligible. This credit may be documented once at the level of the master site, and then individual projects within the master site boundary earn
the credit without submitting additional documentation.
Ineligible. Each LEED project may pursue the credit individually. Each project within the campus boundary may earn the credit but each
project must document compliance separately.

ProjeCTs ouTside The us

The International Tips section offers advice on determining equivalency to U.S. standards or using non-U.S.
standards referenced in the rating system. It is meant to complement, not replace, the other sections of the credit. Helpful advice for projects
outside the U.S. may also appear in the Step-by-Step Guidance section of each credit. When no tips are needed or available, the International
Tips heading does not appear.
Units of measurement are given in both Inch-Pound (IP) and International System of Units (SI). IP refers to the system of
measurements based on the inch, pound, and gallon, historically derived from the English system and commonly used in the U.S. SI
is the modern metric system used in most other parts of the world and defined by the General Conference on Weights and Measures.
Where local equivalent is specified, it means an alternative to a LEED referenced standard that is specific to a projects locality.
This standard must be widely used and accepted by industry experts and when applied, must meet the credits intent leading to similar
or better outcomes.
Where USGBC-approved local equivalent is specified, it means a local standard deemed equivalent to the listed standard by the
U.S. Green Building Council through its process for establishing non-U.S. equivalencies in LEED.
11

TakinG an inTeGraTive aPProaCh To desiGn and


ConsTruCTion
The realization of benefits associated with LEED starts with a transformation of the design process itself. Success in LEED and green
building design is best accomplished through an integrative design process that prioritizes costeffectiveness over both the short and long
terms and engages all project team members in discovering beneficial interrelationships and synergies between systems and components.
By integrating technical and living systems, the team can achieve high levels of building performance, human performance, and
environmental benefits.
Conventionally, the design and construction disciplines work separately, and their solutions to design and construction challenges are fragmented.
These solutions often create unintended consequencessome positive, but mostly negative. The corollary is that when areas of practice are integrated,
it becomes possible to significantly improve building performance and achieve synergies that yield economic, environmental, and human health
benefits.1
In the conventional design process, each disciplines practitioner is expected to design the subassemblies and system components under his or her
control for the most benefit and the least cost. In an integrative process, an entire teamclient, designers, builders, and operatorsidentifies
overlapping relationships, services, and redundancies among systems so that interdependencies and benefits (which otherwise would have gone
unnoticed) can be exploited, thereby increasing performance and reducing costs.
To work this way requires that project teams, whose members represent various disciplines, come together so that the knowledge, analyses,
and ideas from each discipline can inform and link with the systems and components of all other disciplines. In this way, LEED credits become
aspects of a whole rather than separate components, and the entire design and construction team can identify the interrelationships and linked
benefits across multiple LEED credits.
The coordination of building and site systems should be addressed early, preferably before schematic design. The Integrative Process credit
formally introduces this way of working into LEED so that the team members expertise in building and site systems can inform the performance,
efficiency, and effectiveness of every system.
The strategies in the Integrative Process credit are recommended for all LEED projects because they encourage integration during early design
stages, when it will be the most effective. The credit introduces an integrative process by focusing on engaging energy- and water-related research
and analysis to inform early design decisions through high levels of collaboration among all project team members.
Approaching certification using an integrative process gives the project team the greatest chance of success. The process includes three
phases:
Discovery. The most important phase of the integrative process, discovery can be thought of as an extensive expansion of what is
conventionally called predesign. A project is unlikely to meets its environmental goals cost-effectively without this discrete phase.
Discovery work should take place before schematic design begins.
Design and construction (implementation). This phase begins with what is conventionally called schematic design. It resembles
conventional practice but integrates all the work and collective understanding of system interactions reached during the discovery phase.
Occupancy, operations, and performance feedback. This third stage focuses on preparing to measure performance and creating
feedback mechanisms. Assessing performance against targets is critical for informing building operations and identifying the need
for any corrective action.
Achieving economic and environmental performance requires that every issue and all team members (clients, designers, engineers,
constructors, operators) be brought into the project at the earliest point, before anything is yet designed. The structure to manage this flow of
people, information, and analysis is as follows:
All project team members, representing all design and construction disciplines, gather information and data relevant to the project.
Team members analyze their information.
Team members participate in workshops to compare notes and identify opportunities for synergy.

This process of research, analysis, and workshops is done in an iterative cycle that refines the design solutions. In the best scenario, the
research and workshops continue until the project systems are optimized, all reasonable synergies are identified, and the related strategies
associated with all LEED credits are documented and implemented.

1. Integrative Process (IP) ANSI Consensus National Standard Guide 2.0 for Design and Construction
of Sustainable Buildings and Communities (February 2, 2012), p. 4,
webstore.ansi.org/RecordDetail.aspx?sku=MTS+2012%3a1.
12

devisinG a leed Work Plan

it is recommended that leed applicants follow a series of steps to certification. sTeP 1. iniTiaTe

disCovery Phase

Begin initial research and analysis (see integrative Process credit). when sufficient information has been gathered, hold a goal-setting
workshop to discuss findings.

sTeP 2. seleCT leed raTinG sysTeM


the LEED system comprises 21 adaptations designed to accommodate the needs of a variety of market sectors (see Rating System
Selection Guidance). for many credits, Further Explanation highlights rating
system and project type variations to help teams develop a successful approach.

sTeP 3. CheCk MiniMuM ProGraM requireMenTs


all projects seeking certification are required to comply with the minimum program requirements (MPRs) for the applicable rating
system, found in this reference guide and on the usGBc website. sTeP 4. esTablish ProjeCT Goals
Prioritize strategies for certification that align with the projects context and the values of the project team, owner, or
organization. once these values are articulated, project teams will be able to select appropriate strategies and associated LEED
credits to meet the goals.
the recommended method for establishing project goals is to convene a goal-setting workshop (see integrative Process credit) for
the project team members and the owner. understanding the owners goals, budget, schedule, functional programmatic
requirements, scope, quality, performance targets, and occupants expectations will promote creative problem solving and
encourage fruitful interaction.
to capture the most opportunities, the workshop should occur before any design work and include wide representation from the design and
construction disciplines.

sTeP 5. define leed ProjeCT sCoPe


Review the projects program and initial findings from the goal-setting workshop to identify the project scope. special
considerations include off-site or campus amenities or shared facilities that may be used by project occupants.
next, map the LEED project boundary along property lines. if the project boundary is not obvious because of ownership by
multiple entities, partial renovations, or other issues, see the minimum program requirements. share the final project boundary
decision with the entire team, since this site definition affects numerous prerequisites and credits.
finally, investigate any special certification programs that may apply based on the projects scope, such as the Volume Program
or the campus Program. if the project owner is planning multiple similar buildings in different locations, Volume may be a
useful program to streamline certification. if the project includes multiple buildings in a single location, campus may be
appropriate.

sTeP 6. develoP leed sCoreCard


use the project goals to identify the credits and options that should be attempted by the team. the Behind the Intent sections offer
insight into what each credit is intended to achieve and may help teams align goals with credits that bring value to the owner,
environment, and community of the project.
this process should focus the team on those credits with the highest value for the project over the long term. once the high-priority
credits have been selected, identify related credits that reinforce the priority strategies and provide synergistic benefits.
finally, establish the target LEED certification level (certified, silver, Gold, or Platinum) and identify additional credits needed to
achieve it. Make sure that all prerequisites can be met and include a buffer of several points above the minimum in case of changes
during design and construction.
13

sTeP 7. ConTinue disCovery Phase


Project team members should perform additional research and analysis as the project progresses, refining the analysis, testing
alternatives, comparing notes, generating ideas in small meetings, and evaluating costs. Examples of research and analysis for
energy- and water-related systems are outlined in the integrative Process credit.
the project team should reassemble occasionally to discuss overlapping benefits and opportunities (e.g., how best to use the
waste products from one system to benefit other systems). this approach encourages the discovery of new opportunities,
raises new questions, and facilitates testing across disciplines.

sTeP 8. ConTinue iTeraTive ProCess


the above pattern of research and analysis followed by team workshops should continue until the solutions satisfy the project
team and owner.

sTeP 9. assiGn roles and resPonsibiliTies


select one team member to take primary responsibility for leading the group through the LEED application and documentation
process. this leadership role may change from the design to the construction phase, but both the design and the construction
leaders should be involved throughout the process to ensure consistency, clarity, and an integrative approach.
cross-disciplinary team ownership of LEED credit compliance can help foster integrative design while ensuring consistent
documentation across credits. on a credit-by-credit basis, assign primary and supporting roles to appropriate team
members for credit achievement and documentation.
clarify responsibilities for ensuring that design decisions are accurately represented in drawings and specifications and that construction
details match design documentation.
Establish regular meeting dates and develop clear communication channels to streamline the process and resolve issues quickly.

sTeP 10. develoP ConsisTenT doCuMenTaTion consistent documentation is


critical to achieving LEED certification.
Data accumulated throughout the construction process, such as construction materials quantities, should be gathered and assessed
at regular intervals to allow the team to track ongoing progress toward credit achievement and ensure that information is not
misplaced or omitted. Maintaining Consistency in the Application, below, and the credit category overviews discuss the numeric
values and meaning of terms that affect achievement of multiple credits within a credit category.

sTeP 11. PerforM qualiTy assuranCe revieW and subMiT for CerTifiCaTion
a quality assurance review is an essential part of the work program. a thorough quality control check can improve clarity
and consistency of the projects LEED documentation, thereby avoiding errors that require time and expense to correct
later in the certification process. the submission should be thoroughly proofread and checked for completeness. in
particular, numeric values that appear throughout the submission (e.g., site area) must be consistent across credits.
14

MainTaininG ConsisTenCy in The aPPliCaTion


Certain issues recur across multiple credits and credit categories and must be treated consistently throughout the
submission.

sPeCial ProjeCT siTuaTions


Projects with a combination of space types or unusual space types should pay particular attention to how these
characteristics influence credit achievement. Common project programs that require additional consideration
include the following:

Mixed Use
Projects with a mix of uses may find it helpful to consult the Project Type Variations and Rating
System Variations sections in the reference guide for advice. For example, if an office building
certifying under BD+C: New
Construction includes a small data center, the team should follow the data center guidelines for certain credits;
these guidelines are not limited to BD+C: Data Centers projects. Another common scenario is a hotel project
certifying under BD+C: Hospitality; in designing the retail spaces on the hotels ground floor, the team could
benefit from guidance for BD+C: Retail projects.

Multitenant Complex
Some projects may be part of a large complex of buildings or a master planned development. Any project can
follow the multitenant complex approach if it is part of a master plan development, regardless of whether the
project is using the LEED Campus approach.

Incomplete Spaces
Buildings and spaces that earn LEED certification should be completed by the time they have submitted their
final application for LEED certification. Complete means that no further work is needed and the project is
ready for occupancy. No more than 40% of the certifying gross floor area of a LEED project may consist of
incomplete space unless the project is using the LEED BD+C: Core and Shell rating system. Additionally,
projects that include incomplete spaces must use Appendix 2 Default Occupancy Counts to establish
occupant counts for incomplete spaces.
For incomplete spaces in projects using a rating system other than LEED BD+C: Core and Shell, the project
team must provide supplemental documentation.
Submit a letter of commitment, signed by the owner, indicating that the remaining incomplete spaces will
satisfy the requirements of each prerequisite and credit achieved by this project if and when completed by
the owner. This letter may cover the commitment in general terms and need not address each prerequisite
or credit individually.
For incomplete spaces intended to be finished by tenants (i.e., parties other than the owner), submit a set of
nonbinding tenant design and construction guidelines, with a brief explanation of the project
circumstances.

For prerequisites with established baselines (e.g., WE Prerequisite Indoor Water Use, EA Prerequisite Minimum
Energy Performance) and the credits dependent on the calculations in the prerequisites, the proposed design
must be equivalent to the baseline for the incomplete spaces. Project teams that wish to claim environmental
performance or benefit beyond the baseline for incomplete spaces should refer to the Tenant Lease and Sales
Agreement section.

Projects with Several Physically Distinct Structures


Primary and secondary school projects, hospitals (general medical and surgical), hotels, resorts, and resort
properties, as defined for ENERGY STAR building rating purposes, are eligible to include more than one
physically distinct structure in a single LEED project certification application without having to use the Campus
Program, subject to the following conditions.
15

The buildings to be certified must be a part of the same identity. For example, the buildings are all part of
the same elementary school, not a mix of elementary school and high school buildings.
The project must be analyzed as a whole (i.e., in aggregate) for all minimum program requirements
(MPRs), prerequisites, and credits in the LEED rating system.
All the land area and all building floor areas within the LEED project boundary must be included in every
prerequisite and credit submitted for certification.
There is no specific limit on the number of structures, but the aggregate gross floor area included in a
single project must not exceed 1 million square feet (92 905 square meters).
Any single structure that is larger than 25,000 square feet (2 320 square meters) must be registered as a separate
project or treated as a separate building in a group certification approach.

renovaTions and addiTions


Refer to the minimum program requirements for information on how boundaries should be drawn for renovation
and addition projects. Additionally, use the following guidance for treating energy systems in any project with
mechanical systems.
Separate systems. Mechanical systems are completely separate from those in the existing
building (emergency generators excepted) and can be modeled separately.
Shared central systems located outside the project building or space. Each prerequisite and credit
section related to energy modeling offers specific guidance on how to handle this situation; in particular,
see the guidance for EA Prerequisite Minimum Energy Performance.

TenanT sales and lease aGreeMenT


LEED BD+C: Core and Shell is designed to address the speculatively driven development market where project
teams routinely do not control all aspects of the buildings construction. The scope of Core and Shell is limited
to those elements of the project under the direct control of the owner/developer. At a minimum, the scope
includes the core and the shell of the base building but can vary significantly from project to project.

Given that Core and Shell is limited in its ability to control the design and construction of tenant interior fit-outs,
project teams should pursue credits that address parts of the building within the LEED project scope. Only
portions of the building within the LEED project scope should be used in credit calculations. If a project team
wishes to pursue additional credits or thresholds beyond the construction scope of the LEED project, a binding
tenant sales and lease agreement must be provided as documentation. This must be signed by the future tenant
and include terms related to how the technical credit requirements will be carried out by the tenant. An unsigned
or sample lease agreement is not acceptable. Please note that lease agreements are not required in order to
pursue Core and Shell. They are only used if a project is aiming to earn additional points considered outside of
the project design and construction scope that will be fit-out by a future tenant.

Previous develoPMenT
Several credits require the assessment of a piece of land to determine whether it has been previously developed,
defined as follows:
previously developed altered by paving, construction, and/or land use that would typically have required
regulatory permitting to have been initiated (alterations may exist now or in the past). Land that is not
previously developed and landscapes altered by current or historical clearing or filling, agricultural or
forestry use, or preserved natural area use are considered undeveloped land. The date of previous
development permit issuance constitutes the date of previous development, but permit issuance in itself does
not constitute previous development.

Tricky lands to assess include those with few buildings present. If the land previously had buildings, then it is
considered previously developed even if those buildings have since been torn down. Another frequently
confusing situation is parkland. Pay careful attention to the type of parkland. Improved parks with graded land
and constructed features like playgrounds (e.g., a city park) are considered previously developed. Land
maintained in a natural state
16

(e.g., a forest preserve) is not considered previously developed, even if minor features like walking paths are
present.
develoPMenT fooTPrinT
A projects development footprint is all of its impervious surfaces. development footprint the total land area of
a project site covered by buildings, streets, parking areas, and other typically impermeable surfaces
constructed as part of the project

Surfaces paved with permeable pavement (at least 50% permeable) are excluded from the development
footprint.

densiTy
Density can be calculated separately for residential and nonresidential elements or as a single value. The
following definitions apply:
density a ratio of building coverage on a given parcel of land to the size of that parcel. Density can be
measured using floor area ratio (FAR); dwelling units per acre (DU/acre) or dwelling units per hectare
(DU/hectare); square feet of building area per acre of buildable land; or square meters of building area per
hectare of buildable land. It does not include structured parking.
buildable land the portion of the site where construction can occur, including land voluntarily set aside and
not constructed on. When used in density calculations, buildable land excludes public rights-of-way and
land excluded from development by codified law.

Land voluntarily set aside and not built on, such as open space, is considered buildable because it was available
for construction but set aside voluntarily. For example, 5 acres (2 hectares) of park space required by local
government code would be considered nonbuildable, but if a developer voluntarily sets aside an additional 3
acres (1.2 hectares) for more park space, those 3 acres (1.2 hectares) must be categorized as buildable land.

After determining buildable land, calculate residential or nonresidential density or a combined density. To
calculate residential density, divide the number of dwelling units by the amount of residential land. To
calculate nonresidential density, use floor area ratio (FAR):
floor-area ratio (FAR) the density of nonresidential land use, exclusive of structured parking, measured
as the total nonresidential building floor area divided by the total buildable land area available for
nonresidential buildings.

For example, on a site with 10,000 square feet (930 square meters) of buildable nonresidential land area, a
building of 10,000 square feet (930 square meters) of floor area would have a FAR of 1.0. On the same site, a
building of 5,000 square feet (465 square meters) would have a FAR of 0.5; a building of 15,000 square feet (1
395 square meters) would have a FAR of 1.5; and a building of 20,000 square feet (1 860 square meters) would
have a FAR of 2.0.

To calculate the combined density for residential and nonresidential areas, use FAR.

oCCuPanCy
Many kinds of people use a typical LEED building, and the mix varies by project type. Occupants are sometimes
referred to in a general sense; for example, Provide places of respite that are accessible to patients and visitors.
In other instances, occupants must be counted for calculations. Definitions of occupant types are general
guidelines that may be modified or superseded in a particular credit when appropriate (such changes are noted in
each credits reference guide section). Most credits group users into two categories, regular building occupants
and visitors.
Regular Building Occupants
Regular building occupants are habitual users of a building. All of the following are considered regular building
occupants.
Employees include part-time and full-time employees, and totals are calculated using full-time equivalency
(FTE).
17

A typical project can count FTE employees by adding full-time employees and part-time employees, adjusted
for their hours of work.

Equation 1.

FTE employees = Full-time employees + ( daily part-time employee hours / 8)

For buildings with more unusual occupancy patterns, calculate the FTE building occupants based on a
standard eight-hour occupancy period.

Equation 2.

FTE employees = ( all employee hours / 8)

Staff is synonymous with employees for the purpose of LEED calculations.


Volunteers who regularly use a building are synonymous with employees for the purpose of LEED
calculations.
Residents of a project are considered regular building occupants. This includes residents of a dormitory. If
actual resident count is not known, use a default equal to the number of bedrooms in the dwelling unit plus
one, multiplied by the number of such dwelling units.
Primary and secondary school students are typically regular building occupants (see the exception in LT
Credit Bicycle Facilities).
Hotel guests are typically considered regular building occupants, with some credit-specific exceptions.
Calculate the number of overnight hotel guests based on the number and size of units in the project. Assume
1.5 occupants per guest room and multiply the resulting total by 60% (average hotel occupancy).
Alternatively, the number of hotel guest occupants may be derived from actual or historical occupancy.
Inpatients are medical, surgical, maternity, specialty, and intensive-care unit patients whose length of stay
exceeds 23 hours. Peak inpatients are the highest number of inpatients at a given point in a typical 24-hour
period.

Visitors
Visitors (also transients) intermittently use a LEED building. All of the following are considered visitors:
Retail customers are considered visitors. In Water Efficiency credits, retail customers are considered
separately from other kinds of visitors and should not be included in the total average daily visitors.
Outpatients visit a hospital, clinic, or associated health care facility for diagnosis or treatment that lasts 23
hours or less (see SS Credit Direct Exterior Access for credit-specific exceptions).
Peak outpatients are the highest number of outpatients at a given point in a typical 24-hour period.
Volunteers who periodically use a building (e.g., once per week) are considered visitors.
Higher-education students are considered visitors to most buildings, except when they are residents of a
dorm, in which case they are residents.
In calculations, occupant types are typically counted in two ways:
Daily averages take into account all the occupants of a given type for a typical 24-hour day of operation.
Peak totals are measured at the moment in a typical 24-hour period when the highest number of a given
occupant type is present.

Whenever possible, use actual or predicted occupancies. If occupancy cannot be accurately predicted, one of the
following resources to estimate occupancy:
a. Default occupant density from ASHRAE 62.1-2010, Table 6-1
b. Default occupant density from CEN Standard EN 15251, Table B.2
18

c. Appendix 2 Default Occupancy Counts


d. Results from applicable studies.

If numbers vary seasonally, use occupancy numbers that are a representative daily average over the entire
operating season of the building.

If occupancy patterns are atypical (shift overlap, significant seasonal variation), explain such patterns when
submitting documentation for certification.

Table 1 lists prerequisites and credits that require specific occupancy counts for calculations.
19

tablE 1. Occupancy types for calculations, by project type variation

rEgular
PrErEquisitE, crEdit building occuPants avEragE daily visitors PEak visitors othEr notEs

lt crEdit bicyclE FacilitiEs

new construction,
core and shell, data
centers,
Warehouses and X X
distribution centers,
hospitality

Students grade 3
(age 8) and younger
are not included in
schools X regular building
occupants for this
credit.

retail X

healthcare X X Exclude patients.

lt crEdit accEss to quality transit

Count primary and


schools X secondary students
only.

ss crEdit dirEct ExtErior accEss

Count only peak


inpatients and peak
outpatients. For this
credit, outpatients
healthcare X with clinical length
of stay greater than
4 hours are included
with inpatients.

WE PrErEquisitE and crEdit indoor WatEr usE

new construction,
core and shell,
data centers, Retail customers are
Warehouses and considered
distribution X X separately and not
centers, included in average
hospitality, retail, daily visitors.
healthcare

See credit-specific
schools X X occupancy guidance.
20

quiCk referenCe
tablE 2. Credit Attributes

Prerequisite/
category credit name design/construction Exemplary Performance
credit

n/a P Integrated Project Planning and Design D no

n/a C Integrative Process D no

lt
Location and Transportation

lt C LEED for Neighborhood Development Location D no

lt C Sensitive Land Protection D no

lt C High Priority Site D yes

lt C Surrounding Density and Diverse Uses D no

lt C Access to Quality Transit D yes

lt C Bicycle Facilities D no

lt C Reduced Parking Footprint D yes

lt C Green Vehicles D no

ss
Sustainable Sites

ss P Construction Activity Pollution Prevention C no

ss P Environmental Site Assessment D no

ss C Site Assessment D no

ss C Site DevelopmentProtect or Restore Habitat D yes

ss C Open Space D no

ss C Rainwater Management D yes

ss C Heat Island Reduction D yes

ss C Light Pollution Reduction D no

ss C Site Master Plan D no

ss C Tenant Design and Construction Guidelines D no

ss C Places of Respite D yes

ss C Direct Exterior Access D no


21

ss C Joint Use of Facilities D no

Points

Warehouses and
new distribution centers
core and shell schools retail data centers hospitality healthcare
construction

n/a n/a n/a n/a n/a n/a n/a Req'd

1 1 1 1 1 1 1 1

16 20 15 16 16 16 16 9

1 2 1 1 1 1 1 1

2 3 2 2 2 2 2 2

5 6 5 5 5 5 5 1

5 6 4 5 5 5 5 2

1 1 1 1 1 1 1 1

1 1 1 1 1 1 1 1

1 1 1 1 1 1 1 1

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

n/a n/a Req'd n/a n/a n/a n/a Req'd

1 1 1 1 1 1 1 1

2 2 2 2 2 2 2 1

1 1 1 1 1 1 1 1

3 3 3 3 3 3 3 2

2 2 2 2 2 2 2 1

1 1 1 1 1 1 1 1

n/a n/a 1 n/a n/a n/a n/a n/a

n/a 1 n/a n/a n/a n/a n/a n/a

n/a n/a n/a n/a n/a n/a n/a 1

n/a n/a n/a n/a n/a n/a n/a 1


22

n/a n/a 1 n/a n/a n/a n/a n/a


23

tablE 2. Credit Attributes

Prerequisite/
category credit name design/construction Exemplary Pe
credit

WE
Water Efficiency

WE P Outdoor Water Use Reduction D no

WE P Indoor Water Use Reduction D no

WE P Building-Level Water Metering D no

WE C Outdoor Water Use Reduction D no

WE C Indoor Water Use Reduction D no

WE C Cooling Tower Water Use D no

WE C Water Metering D no

Ea
Energy and Atmosphere

Ea P Fundamental Commissioning and Verification C no

Ea P Minimum Energy Performance D no

Ea P Building-Level Energy Metering D no

Ea P Fundamental Refrigerant Management D no

Ea C Enhanced Commissioning C no

Ea C Optimize Energy Performance D yes

Ea C Advanced Energy Metering D no

Ea C Demand Response C no

Ea C Renewable Energy Production D Yes, except Co

Ea C Enhanced Refrigerant Management D no

Ea C Green Power and Carbon Offsets C no

Mr
Materials and Resources

Mr P Storage and Collection of Recyclables D no

Mr P Construction and Demolition Waste Management Planning


C no

Mr P PBT Source Reduction--Mercury D no

Mr C Building Life-Cycle Impact Reduction C yes


24

Mr C Building Product Dislosure and Optimization-Environmental


Product Declarations C yes

Mr C Building Product Disclosure and Optimization--Sourcing of


Raw Materials C yes

Mr C Building Product Disclosure and Optimization--Material


Ingredients C yes

Mr C PBT Source Reduction--Mercury D no

Mr C PBT Source Reduction--Lead, Cadmium, and Copper C no

Mr C Furniture and Medical Furnishings C yes

Mr C Design for Flexibility D no

Mr C Construction and Demolition Waste Management C yes


25

Points

Warehouses and
new distribution centers
core and shell schools retail data centers hospitality healthcare
construction

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

6 6 6 6 6 6 6 6

18 18 16 18 18 18 18 20

1 1 1 1 1 1 1 1

3 3 3 3 3 3 3 3

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

n/a n/a n/a n/a n/a n/a n/a Req'd

5 6 5 5 5 5 5 5

2 2 2 2 2 2 2 2

2 2 2 2 2 2 2 2

2 2 2 2 2 2 2 2

n/a n/a n/a n/a n/a n/a n/a 1

n/a n/a n/a n/a n/a n/a n/a 2

n/a n/a n/a n/a n/a n/a n/a 2

n/a n/a n/a n/a n/a n/a n/a 1

3 3 3 3 3 3 3 3

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd


26

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

n/a n/a n/a n/a n/a n/a n/a Req'd

5 6 5 5 5 5 5 5

2 2 2 2 2 2 2 2

2 2 2 2 2 2 2 2

2 2 2 2 2 2 2 2

n/a n/a n/a n/a n/a n/a n/a 1

n/a n/a n/a n/a n/a n/a n/a 2

n/a n/a n/a n/a n/a n/a n/a 2

n/a n/a n/a n/a n/a n/a n/a 1

2 2 2 2 2 2 2 2
27

tablE 2. Credit Attributes

Prerequisite/
category credit name design/construction Exemplary Pe
credit

Eq
Indoor Environmental Quality

Eq P Minimum Indoor Air Quality Performance D no

Eq P Environmental Tobacco Smoke Control D no

Eq P Minimum Acoustic Performance D no

Eq C Enhanced Indoor Air Quality Strategies D yes

Eq C Low-Emitting Materials C yes

Eq C Construction Indoor Air Quality Management Plan C no

Eq C Indoor Air Quality Assessment C no

Eq C Thermal Comfort D no

Eq C Interior Lighting D no

Eq C Daylight D no

Eq C Quality Views D yes

Eq C Acoustic Performance D no

in
Innovation

in Innovation D/C n/a

in LEED Accredited Professional D/C n/a

rP
Regional Priority

rP Regional Priority D/C n/a


28

Points

Warehouses and
new distribution centers
core and shell schools retail data centers hospitality healthcare
construction

3 3 3 3 3 3 3 3

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

Req'd Req'd Req'd Req'd Req'd Req'd Req'd Req'd

n/a n/a Req'd n/a n/a n/a n/a n/a

2 2 2 2 2 2 2 2

3 3 3 3 3 3 3 3

1 1 1 1 1 1 1 1

2 n/a 2 2 2 2 2 2

1 n/a 1 1 1 1 1 1

2 n/a 2 2 2 2 2 1

3 3 3 3 3 3 3 2

1 1 1 1 1 1 1 2

1 n/a 1 n/a 1 1 1 2

3 3 3 3 3 3 3 3

5 5 5 5 5 5 5 5

1 1 1 1 1 1 1 1

3 3 3 3 3 3 3 3

4 4 4 4 4 4 4 4
Minimum Program
Requirements
inTroduCTion
The Minimum Program Requirements (MPRs) are the minimum characteristics or conditions that make a project appropriate to pursue LEED
certification. These requirements are foundational to all LEED projects and define the types of buildings, spaces, and neighborhoods that the
LEED rating system is designed to evaluate.
28

1. MusT be in a PerManenT loCaTion on exisTinG land


inTenT
The LEED rating system is designed to evaluate buildings, spaces, and neighborhoods in the context of their surroundings. A
significant portion of LEED requirements are dependent on the projects location, therefore it is important that LEED projects
are evaluated as permanent structures. Locating projects on existing land is important to avoid artificial land masses that have
the potential to displace and disrupt ecosystems. requireMenTs
All LEED projects must be constructed and operated on a permanent location on existing land. No project that is designed to
move at any point in its lifetime may pursue LEED certification. This requirement applies to all land within the LEED project.

addiTional GuidanCe

Permanent location
Movable buildings are not eligible for LEED. This includes boats and mobile homes.
Prefabricated or modular structures and building elements may be certified once permanently installed as part of the LEED project.
Existing land
Buildings located on previously constructed docks, piers, jetties, infill, and other manufactured structures in or above water are
permissible, provided that the artificial land is previously developed, such that the land once supported another building or hardscape
constructed for a purpose other than the LEED project.

2. MusT use reasonable leed boundaries


inTenT
The LEED rating system is designed to evaluate buildings, spaces, or neighborhoods, and all environmental impacts associated with those
projects. Defining a reasonable LEED boundary ensures that project is accurately evaluated. requireMenTs
The LEED project boundary must include all contiguous land that is associated with the project and supports its typical operations. This includes
land altered as a result of construction and features used primarily by the projects occupants, such as hardscape (parking and sidewalks), septic or
stormwater treatment equipment, and landscaping. The LEED boundary may not unreasonably exclude portions of the building, space, or site to
give the project an advantage in complying with credit requirements. The LEED project must accurately communicate the scope of the certifying project
in all promotional and descriptive materials and distinguish it from any non-certifying space.

addiTional GuidanCe

Site
Non-contiguous parcels of land may be included within the LEED project boundary if the parcels directly support or are
associated with normal building operations of the LEED project and are accessible to the LEED projects occupants.
Facilities (such as parking lots, bicycle storage, shower/changing facilities, and/or on-site renewable energy) that are outside of
the LEED project boundary may be included in certain prerequisites and credits if they directly serve the LEED project and are
not double-counted for other LEED projects. The project team must also have permission to use these facilities.
29

The LEED project boundary may include other buildings.


If another building or structure within the LEED project boundary is ineligible for LEED certification, it may be included in the
certification of the LEED project. It may also be excluded.
If another building within the LEED project boundary is eligible for LEED certification, it may be included in the certification if
USGBCs multiple building guidance is followed. It may also be excluded.
Projects that are phased sites with a master plan for multiple buildings must designate a LEED project boundary for each building
or follow USGBCs master site guidance.
The gross floor area of the LEED project should be no less than 2% of the gross land area within the LEED project boundary.
Building
The LEED project should include the complete scope of work of the building or interior space.
The LEED project can be delineated by ownership, management, lease, or party wall separation.
Buildings or structures primarily dedicated to parking are not eligible for LEED certification. Parking that serves an eligible LEED
project should be included in the certification.
If the project consists of multiple structures physically connected only by circulation, parking or mechanical/ storage rooms, it may be
considered a single building for LEED purposes if the structures have programmatic dependency (spaces, not personnel, within the building
cannot function independently without the other building) or architectural cohesiveness (the building was designed to appear as one
building).
An addition to an existing building may certify independently, excluding the existing building in its entirety. Alternatively, the addition and
the entire existing building may certify as one project.
Interiors
If a single entity owns, manages, or occupies an entire building and wishes to certify a renovated portion of the building that is not separated by
ownership, management, lease, or party wall separation, they may do so if the project boundary includes 100% of the construction scope and is
drawn at a clear, physical barrier.
Neighborhood
The LEED neighborhood includes the land, water, and construction within the LEED project boundary.
The LEED boundary is usually defined by the platted property line of the project, including all land and water within it.
Projects located on publicly owned campuses that do not have internal property lines must delineate a sphere-of-influence line to be used instead.
Projects may have enclaves of non-project properties that are not subject to the rating system, but cannot exceed 2% of the total
project area and cannot be described as certified.
Projects must not contain non-contiguous parcels, but parcels can be separated by public rights-of-way.
The project developer, which can include several property owners, should control a majority of the buildable land within the
boundary, but does not have to control the entire area.
3. MusT CoMPly WiTh ProjeCT siZe requireMenTs
inTenT
The LEED rating system is designed to evaluate buildings, spaces, or neighborhoods of a certain size. The LEED requirements do not
accurately assess the performance of projects outside of these size requirements. requireMenTs
All LEED projects must meet the size requirements listed below.
LEED BD+C and LEED O+M Rating Systems
The LEED project must include a minimum of 1,000 square feet (93 square meters) of gross floor area.
30

LEED ID+C Rating Systems


The LEED project must include a minimum of 250 square feet (22 square meters) of gross floor area.
LEED for Neighborhood Development Rating Systems
The LEED project should contain at least two habitable buildings and be no larger than 1500 acres.
LEED for Homes Rating Systems

The LEED project must be defined as a dwelling unit by all applicable codes. This requirement includes, but is not limited to, the
International Residential Code stipulation that a dwelling unit must include permanent provisions for living, sleeping, eating,
cooking, and sanitation.
31
Rating System
Selection Guidance
inTroduCTion
This document provides guidance to help project teams select a LEED rating system. Projects are required to use the rating system that is most
appropriate. However, when the decision is not clear, it is the responsibility of the project team to make a reasonable decision in selecting a rating
system before registering their project. The project teams should first identify an appropriate rating system, and then determine the best
adaptation. Occasionally, USGBC recognizes that an entirely inappropriate rating system has been chosen. In this case, the project team will be
asked to change the designated rating system for their registered project. Please review this guidance carefully and contact USGBC if it is not
clear which rating system to use.
34

raTinG sysTeM desCriPTions


leed for buildinG desiGn and ConsTruCTion
Buildings that are new construction or major renovation. In addition, at least 60% of the projects gross floor area
must be complete by the time of certification (except for LEED BD+C: Core and Shell).
LEED BD+C: New Construction and Major Renovation. New construction or major renovation of buildings that do
not primarily serve K-12 educational, retail, data centers, warehouses and distribution centers, hospitality, or healthcare
uses. New construction also includes high-rise residential buildings 9 stories or more.
LEED BD+C: Core and Shell Development. Buildings that are new construction or major renovation for the exterior
shell and core mechanical, electrical, and plumbing units, but not a complete interior fit-out. LEED BD+C: Core and Shell
is the appropriate rating system to use if more than 40% of the gross floor area is incomplete at the time of certification.
LEED BD+C: Schools. Buildings made up of core and ancillary learning spaces on K-12 school grounds. LEED BD+C:
Schools may optionally be used for higher education and non-academic buildings on school campuses.
LEED BD+C: Retail. Buildings used to conduct the retail sale of consumer product goods. Includes both direct customer
service areas (showroom) and preparation or storage areas that support customer service.
LEED BD+C: Data Centers. Buildings specifically designed and equipped to meet the needs of high density computing
equipment such as server racks, used for data storage and processing. LEED BD+C: Data Centers only addresses whole
building data centers (greater than 60%).
LEED BD+C: Warehouses and Distribution Centers. Buildings used to store goods, manufactured products,
merchandise, raw materials, or personal belongings, such as self-storage.
LEED BD+C: Hospitality. Buildings dedicated to hotels, motels, inns, or other businesses within the service industry that provide
transitional or short-term lodging with or without food.
LEED BD+C: Healthcare. Hospitals that operate twenty-four hours a day, seven days a week and provide inpatient medical treatment,
including acute and long-term care.
LEED BD+C: Homes and Multifamily Lowrise. Single-family homes and multi-family residential buildings of 1 to 3 stories. Projects
3 to 5 stories may choose the Homes rating system that corresponds to the ENERGY STAR program in which they are participating.
LEED BD+C: Multifamily Midrise. Multi-family residential buildings of 4 to 8 occupiable stories above grade. The building must
have 50% or more residential space. Buildings near 8 stories can inquire with USGBC about using Midrise or New Construction, if appropriate.
leed for inTerior desiGn and ConsTruCTion.
Interior spaces that are a complete interior fit-out. In addition, at least 60% of the projects gross floor area must be complete by the time of certification.
LEED ID+C: Commercial Interiors. Interior spaces dedicated to functions other than retail or hospitality.
LEED ID+C: Retail. Interior spaces used to conduct the retail sale of consumer product goods. Includes both direct customer
service areas (showroom) and preparation or storage areas that support customer service.
LEED ID+C: Hospitality. Interior spaces dedicated to hotels, motels, inns, or other businesses within the service industry that provide transitional
or short-term lodging with or without food. leed for buildinG oPeraTions and MainTenanCe.
Existing buildings that are undergoing improvement work or little to no construction.
LEED O+M: Existing Buildings. Existing buildings that do not primarily serve K-12 educational, retail, data centers, warehouses and distribution
centers, or hospitality uses.
LEED O+M: Retail. Existing buildings used to conduct the retail sale of consumer product goods. Includes both direct customer service areas
(showroom) and preparation or storage areas that support customer service.
LEED O+M: Schools. Existing buildings made up of core and ancillary learning spaces on K-12 school grounds.
35

May also be used for higher education and non-academic buildings on school campuses.
LEED O+M: Hospitality. Existing buildings dedicated to hotels, motels, inns, or other businesses within the service industry that
provide transitional or short-term lodging with or without food.
LEED O+M: Data Centers. Existing buildings specifically designed and equipped to meet the needs of high density computing
equipment such as server racks, used for data storage and processing. LEED O+M: Data Centers only addresses whole building data
centers.
LEED O+M: Warehouses and Distribution Centers. Existing buildings used to store goods, manufactured products, merchandise, raw
materials, or personal belongings (such as self-storage).

leed for neiGhborhood develoPMenT


New land development projects or redevelopment projects containing residential uses, nonresidential uses, or a mix. Projects may be
at any stage of the development process, from conceptual planning through construction. It is recommended that at least 50% of total
building floor area be new construction or major renovation. Buildings within the project and features in the public realm are
evaluated.
LEED ND: Plan. PProjects in conceptual planning or master planning phases, or under construction.
LEED ND: Built Project. Completed development projects.

ChoosinG beTWeen raTinG sysTeMs


The following 40/60 rule provides guidance for making a decision when several rating systems appear to be appropriate for a project. To use this
rule, first assign a rating system to each square foot or square meter of the building. Then, choose the most appropriate rating system based on the
resulting percentages.

The entire gross floor area of a LEED project must be certified under a single rating system and is subject to all prerequisites and attempted credits in that
rating system, regardless of mixed construction or space usage type.

PerCenTaGe of floor area aPProPriaTe for a ParTiCular raTinG sysTeM


If a rating system is appropriate for less than 40% of the gross floor area of a LEED project building or space, then that rating system should not be
used.
If a rating system is appropriate for more than 60% of the gross floor area of a LEED project building or space, then that rating
system should be used.
If an appropriate rating system falls between 40% and 60% of the gross floor area, project teams must independently assess their
situation and decide which rating system is most applicable.
integrative Project
PrerequisiTe

Planning and Design


this prerequisite applies to: healthcare

inTenT

Maximize opportunities for integrated, cost-effective adoption of green design and


construction strategies, emphasizing human health as a fundamental evaluative criterion
for building design, construction and operational strategies. utilize innovative approaches
and techniques for green design and construction.

requireMenTs
Use cross-discipline design and decision making, beginning in the programming and pre-design phase. At a
minimum, ensure the following process:

oWners ProjeCT requireMenTs doCuMenT

Prepare an Owners Project Requirements (OPR) document. Develop a health mission statement and incorporate it
in the OPR. The health mission statement must address "triple bottom line" valueseconomic, environmental and
social. Include goals and strategies to safeguard the health of building occupants, the local community and the
global environment, while creating a high-performance healing environment for the buildings patients, caregivers
and staff.

PreliMinary raTinG Goals

As early as practical and preferably before schematic design, conduct a preliminary LEED meeting with a minimum
of four key project team members and the owner or owners representative. As part of the meeting, create a LEED
action plan that, at a minimum:
Determines the LEED certification level to pursue (Certified, Silver, Gold, or Platinum);
Selects the LEED credits to meet the targeted certification level; and
Identifies the responsible parties to ensure the LEED requirements for each prerequisite and selected credit are
met.
Integrated Project team

Assemble an integrated project team and include as many of the following professionals as feasible (minimum of
four), in addition to the owner or owners Mechanical engineer
representative.
Struct
Owners capital budget manager ural
Architect or building designer engineer
40

Energy modeler Environmental services staff


Equipment planner Functional and space programmers
Acoustical consultant Commissioning agent
Telecommunications designer Community representatives
Controls designer Civil engineer
Food Service Consultant Landscape architect
Infection Control Staff Ecologist
Building science or performance testing agents Land planner
Green building or sustainable design consultant Construction manager or general contractor
Facility green teams Life cycle cost analyst; construction cost
Physician and nursing teams estimator
Lighting Designer
desIgn charrette Other disciplines appropriate to the
Facility managers specific project type
As early as practical and preferably before schematic design, conduct a minimum four-hour , integrated design charrette
with the project team as defined above. The goal is to optimize the integration of green strategies across all aspects of
building design, construction and operations, drawing on the expertise of all participants.
39

Behind the intent


The building systems and equipment of modern health care facilities impose large environmental burdens
on regional energy and water resources and contribute significantly to greenhouse gas emissions.
Hospitals in the United States, on average, consume 2.5 times more energy per square foot than the
average commercial building, for example. 1 In addition, health care projects have the mission of
improving the health and healing of patients while preventing the spread of disease. Because of their
unique challenges and conditions, health care facilities especially can benefit from implementing an
integrative process that guides the project from visioning to occupancy. A comprehensive, integrative
process accounts for the interactions of all building and site systems, relying on an iterative cycle of
analysis, workshops, implementation, and performance feedback.
This prerequisite focuses on establishing a framework for this process and requires an integrative charrette
that clarifies the strategies and goals for the projects guiding documents.

SteP-BY-SteP GUidAnCe

Projects starting after the programming and predesign phase should complete requirements as early as practical and preferably before
the schematic design phase. Projects beginning this process after predesign are still eligible for Healthcare certification but should
complete the requirements as early as possible.

SteP 1. identifY ProjeCt teAm


During predesign or at the start of the design process, assemble an integrative project team with at least four members in addition to
the owner or owners representative.
Review the list of eligible project team members in the prerequisite requirements.
If possible, include a representative from the builder or construction manager so that cost and construction considerations are
integrated into the development of design concepts.
If possible, include a representative from the health care facilitys staff.
Ensure that the team members have broad enough experience to contribute meaningfully to the major areas of focus.

SteP 2. PrePAre for inteGrAtive deSiGn ChArrette


Before the initial integrative design charrette, become familiar with the integrative process and complete preliminary research
and analysis to support effective and informed discussions about potential integrative design opportunities.
Review the Integrative Process (IP) ANSI Consensus National Standard Guide 2.0 for Design and Construction of Sustainable Buildings
and Communities, which provides step-by-step guidance for implementing an integrative process.
Review the Integrative Process credit, which is derived from the IP ANSI Standard Guide and focuses on early, iterative analysis
of energy- and water-related systems.
Collect information about the local climate, site conditions, waste treatment infrastructure, energy load distribution, water sources,
transportation options, and potential building features.

SteP 3. Convene inteGrAtive deSiGn ChArrette


Hold an initial integrative charrette to align the project team around the owners goals for the project, including budget,
schedule, functional programmatic requirements, scope, quality and performance expectations, and occupants
expectations. Use the charrette to accomplish the following:
Introduce all project team members to the fundamentals of the integrative process
Share initial background research and analysis from Step 2
Elicit the owners and stakeholders values, aspirations, and requirements
Clarify functional and programmatic goals
Establish initial principles, benchmarks, metrics, and performance targets
Identify desired LEED certification level and credits to be targeted
Generate potential strategies for achieving performance targets

1. U.S. Energy Information Administration, Commercial Buildings Energy


Consumption Survey (CBECS).
eia.gov/consumption/commercial/reports/2007/large-hospital.cfm (accessed June 8, 2013).

Determine the questions that must be answered to support project decisions


initiate development of the projects health mission statement Retain a copy of the
action plan.

sTeP 4. doCuMenT Goals and PerforManCe TarGeTs


Prepare the owners project requirements (oPR), including the project goals, performance and LEED targets, and health mission
statement (see Ea Prerequisite fundamental commissioning, Further Explanation, Owners Project Requirements).
Ensure that the health mission statement meets the credit requirements and reinforces any existing corporate and/or institutional
commitments to environmental health and community responsibility.
consider continuing the integrative process throughout design.

Integrative Process Credit. The related credit requires implementing a detailed energy and water analysis to maximize synergies
of the building systems through design improvements. Its initial steps will help Healthcare projects plan and implement a
successful design charrette.

ChanGes froM leed 2009


The required charrette duration has changed from a full day to four hours.
Disciplines have been added to list of eligible professions on the integrative design team.

referenCed sTandards
ANSI Consensus National Standard Guide 2.0 for Design and Construction of Sustainable Buildings and
Communities (February 2, 2012): ansi.org
41

exeMPlary PerforManCe
Not available.

definiTions
None.
CrediT integrative Process
this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (1 point) Warehouses and distribution Centers (1
schools (1 point) retail (1 point) hospitality (15 points) healthcare
point) (15 points)

inTenT

to support high-performance, cost-effective project outcomes


through an early analysis of the interrelationships among systems.

requireMenTs
Beginning in pre-design and continuing throughout the design phases, identify and use opportunities to achieve synergies across
disciplines and building systems. Use the analyses described below to inform the owners project requirements (OPR), basis of
design (BOD), design documents, and construction documents.

energy-related systems

disCovery

Perform a preliminary simple box energy modeling analysis before the completion of schematic design that explores how to
reduce energy loads in the building and accomplish related sustainability goals by questioning default assumptions. Assess at least
two potential strategies associated with the following:
Site conditions. Assess shading, exterior lighting, hardscape, landscaping, and adjacent site conditions.
Massing and orientation. Assess how massing and orientation affect HVAC sizing, energy consumption, lighting, and
renewable energy opportunities.
Basic envelope attributes. Assess insulation values, window-to-wall ratios, glazing characteristics, shading, and window
operability.
Lighting levels. Assess interior surface reflectance values and lighting levels in occupied spaces.
Thermal comfort ranges. Assess thermal comfort range options.
Plug and process load needs. Assess reducing plug and process loads through programmatic solutions (e.g., equipment and
purchasing policies, layout options).
Programmatic and operational parameters. Assess multifunctioning spaces, operating schedules, space allotment per
person, teleworking, reduction of building area, and anticipated operations and maintenance.

iMPleMenTaTion
Document how the above analysis informed design and building form decisions in the projects OPR and BOD and the eventual
design of the project, including the following, as applicable:
Building and site program;
Building form and geometry;
Building envelope and faade treatments on different orientations;
Elimination and/or significant downsizing of building systems (e.g., HVAC, lighting, controls, Exterior
materials, interior finishes, and functional program elements); and Other systems.
and
Water-related systems

disCovery
Perform a preliminary water budget analysis before the completion of schematic design that explores how to reduce potable water
loads in the building and accomplish related sustainability goals. Assess and estimate the projects potential nonpotable water
supply sources and water demand volumes, including the following:
Indoor water demand. Assess flow and flush fixture design case demand volumes, calculated in accordance with WE
Prerequisite Indoor Water-Use Reduction.
Outdoor water demand. Assess landscape irrigation design case demand volume calculated in accordance with WE Credit
Outdoor Water-Use Reduction.
Process water demand. Assess kitchen, laundry, cooling tower, and other equipment demand volumes, as applicable.
Supply sources. Assess all potential nonpotable water supply source volumes, such as on-site rainwater and graywater,
municipally supplied nonpotable water, and HVAC equipment condensate. iMPleMenTaTion
Document how the above analysis informed building and site design decisions in the projects OPR and BOD. Demonstrate how at
least one on-site nonpotable water supply source was used to reduce the burden on municipal supply or wastewater treatment
systems by contributing to at least two of the water demand components listed above. Demonstrate how the analysis informed the
design of the project, including the following, as applicable:
plumbing systems;
sewage conveyance and/or on-site treatment systems;
rainwater quantity and quality management systems;
landscaping, irrigation, and site elements;
roofing systems and/or building form and geometry; and
other systems.
45

Behind the intent


An integrative process is a comprehensive approach to building systems and equipment. Project team members look
for synergies among systems and components, the mutual advantages that can help achieve high levels of building
performance, human comfort, and environmental benefits. The process should involve rigorous questioning and
coordination and challenge typical project assumptions. Team members collaborate to enhance the efficiency and
effectiveness of every system.
The Integrative Process credit goes beyond checklists and encourages integration during early design stages,
when clarifying the owners aspirations, performance goals, and project needs will be most effective in
improving performance. An integrative process comprises three phases. The firstdiscoveryis also the most
important and can be seen as an expansion of what is conventionally called predesign. Actions taken during
discovery are essential to achieving a projects environmental goals cost-effectively. The second phase, design
and construction, begins with what is conventionally called schematic design. Unlike its conventional
counterpart, however, in the integrative process, design will incorporate all of the collective understandings of
system interactions that were found during discovery. The third phase is the period of occupancy, operations, and
performance feedback. Here, the integrative process measures performance and sets up feedback mechanisms.
Feedback is critical to determining success in achieving performance targets, informing building operations, and
taking corrective action when targets are missed.
A fully integrative process accounts for the interactions among all building and site systems; this credit
serves as an introduction to the comprehensive process, rewarding project teams that apply an integrative
approach to energy and water systems. By understanding building system interrelationships, project teams will
ideally discover unique opportunities for innovative design, increased building performance, and greater
environmental benefits that will earn more LEED points. By identifying synergies between systems, teams will
save time and money in both the short and the long term while optimizing resource use. Finally, the integrative
process can avoid the delays and costs resulting from design changes during the construction documents phase
and can reduce change orders during construction.
Through the integrative process, project teams can more effectively use LEED as a comprehensive tool for
identifying interrelated issues and developing synergistic strategies. When applied properly, the integrative process
reveals the degree to which LEED credits are related, rather than individual items on a checklist.

SteP-BY-SteP GUidAnCe

discovery Steps
SteP 1. BeCome fAmiliAr with inteGrAtive ProCeSS.
Review the Integrative Process (IP) ANSI Consensus National Standard Guide 2.0 for Design and Construction of Sustainable
Buildings and Communities, which provides step-by-step guidance and a methodology for improving building design,
construction, and operations through a replicable, integrative process. Although this standard encourages project teams to
engage in a comprehensive integrative process, the credit requirements address only the discovery phase, whose steps are
similar to those described in the ANSI guide for engaging energy and water-related systems.

SteP 2. CondUCt PreliminArY enerGY reSeArCh And AnAlYSiS


(in ConCert with SteP 3)
Complete energy-related research and analysis to support effective and informed discussions about potential integrative design
opportunities (see Further Explanation, Recommended Preliminary Data Collection).
collect information about the local climate, site conditions, energy sources, transportation options, and potential building
features.
use the u.s. Environmental Protection agencys target finder tool or other data sources to benchmark energy performance for the
projects type, scope, occupancy, and location.
Develop a simple box energy model (assuming a simplified building form) to generate a basic distribution of energy uses and
identify dominant energy loads.
use this conceptual energy model to analyze design alternatives for potential load reduction strategies (see Further Explanation, Recommended
Preliminary Energy Analysis and Example 1).

sTeP 3. ConduCT PreliMinary WaTer researCh and analysis


(in ConCerT WiTh sTeP 2)
complete water-related research and analysis to support effective and informed discussions about potential integrative design opportunities.
collect information about waste treatment infrastructure, water sources, and potential building features (see Further Explanation, Recommended
Preliminary Data Collection).
assess expected water demand for indoor, outdoor, and process water using the methodologies for wE Prerequisite indoor water use Reduction,
wE Prerequisite outdoor water use Reduction, and wE credit cooling tower water use.
Gather data to quantify the projects potential nonpotable supply sources, such as captured rainwater, graywater from flow fixtures, or condensate
from hVac cooling equipment.
conduct a preliminary water budget analysis to quantify how fixture and equipment selection and nonpotable supply sources may offset potable
water use for the water demands.

sTeP 4. Convene Goal-seTTinG WorkshoP


Engage the project owner in a primary project team workshop to determine the project goals, including budget, schedule, functional programmatic
requirements, scope, quality, performance, and occupants expectations. understanding the owners goals promotes creative problem solving and
encourages interaction. this workshop should accomplish the following:
introduce all project team members to the fundamentals of the integrative process.
share initial background research and analysis findings from steps 2 and 3.
Elicit the owners and stakeholders values and aspirations.
clarify functional and programmatic goals.
Establish initial principles, benchmarks, metrics, and performance targets.
identify targeted LEED credits.
Generate potential integrative strategies for achieving performance targets.
Determine the questions that must be answered to support project decisions.
identify initial responsibilities and deliverables.
initiate documentation of the owners project requirements (oPR). all principal project team members should be present
at the goal-setting workshop.
sTeP 5. evaluaTe Possible enerGy sTraTeGies (in ConCerT WiTh sTeP 6)
Evaluate the proposed goals and performance targets for feasibility by exploring possible strategies for the projects energy-related systems.
Evaluate strategies against the initial performance targets and targeted LEED credits. it is recommended that project teams engage this initial
early research and analysis by evaluating each subsystem described in the ansi consensus national standard Guide 2.0 for Design and
construction of sustainable Buildings and communities.
conduct preliminary comparative energy modeling using the simple box energy model (step 2) before completing schematic design to evaluate
energy load reduction strategies (see Further Explanation, Recommended Preliminary Energy Analysis and Example 2). aspects to consider include
the following:
site conditions. Landscape solar shading, exterior lighting, feasibility for natural ventilation, adjacent site conditions.
Massing and orientation. number of floors, building footprint, configuration, solar orientation.
building envelope attributes. wall and roof insulation, thermal mass, window size and orientation, exterior shading devices, window performance
(u-values, solar heat gain coefficient, visible light transmittance).
lighting levels. Lighting power density, lighting needs in workspaces, reflectance values for ceiling and wall surfaces, high-efficiency lighting fixtures
and controls, daylighting.
Thermal comfort ranges. temperature setpoints and thermal comfort parameters.
Plug and process loads. Equipment and purchasing policies, other programmatic solutions, layout options.
Programmatic and operational parameters. hours of operation, space allotment per person, shared program spaces, teleworking policies.
conduct such preliminary modeling to assess at least two optional strategies for each of the above seven aspects.
47

sTeP 6. evaluaTe Possible WaTer sTraTeGies (in ConCerT WiTh sTeP 5)


Evaluate the proposed goals and performance targets for feasibility by exploring possible strategies for the projects water-
related systems. conduct a preliminary water budget analysis using research on potential water-use reduction strategies (step
3). aspects to consider include the following:
indoor water use demand. Preliminary baseline and design case water consumption inside the building, based on the building
occupants use of assumed plumbing fixture flow and flush rates (using the methodology for wE Prerequisite indoor water
use).
outdoor water use demand. Preliminary baseline and design case water consumption for landscape irrigation, based on assumed
landscape strategies and irrigation systems (using the methodology for wE Prerequisite outdoor water use).
Gather data (in addition to that for step 3) to assess and quantify the projects potential nonpotable supply sources, such as
captured rainwater, graywater from flow fixtures, and condensate produced by initially assumed hVac cooling equipment.
assess and quantify how potential nonpotable supply sources can be used to offset potable water use for the water demands
calculated above. identify at least one on-site nonpotable water source that could supply a portion of at least two demand
components.

implementation step

sTeP 7. doCuMenT hoW analysis inforMed desiGn and buildinG forM


Document energy-related research and analysis from the discovery phase.
Document how the above energy-related analysis informed design and building form decisions in the projects oPR and basis of design
(BoD), including the following, as applicable:
Provide narrative explanations of the energy evaluation in the energy analysis section of the integrative Process worksheet
(provided by usGBc) and identify at least two options for each of the seven aspects listed in step 5.
Document water-related research and analysis from the discovery phase.
Document how the water-related analysis informed building and site design decisions in the projects oPR and BoD, including the
following, as applicable:
Provide narrative explanations of the water evaluation in the water analysis section of the integrative Process worksheet.
To understand the likely energy load distribution by end use, use a simple box energy model to identify initial annual
energy consumption percentages of total energy use for each of the following end uses (Figure 1): Space heating
Space cooling
Ventilation
Domestic hot water
Lighting
Miscellaneous equipment
Other, as applicable

Typical energy consumption by end use for a project depends on building type, occupancy, climate, and other project-
specific conditions.

ANNUAL ENERGY CONSUMPTION BY ENDUSE: HOSPITAL

Heat reject 1%

Other 4%

Figure 1. Example energy load distribution graph

Local climate data include annual and hourly dry-bulb temperature, wet-bulb depression, relative humidity, comfort hours, and
average annual and monthly rainfall for the project site.

For Steps 2 and 3, gather the information outlined for SS Credit Site Assessment, including solar and wind capacity, heating and
cooling degree days, seasonal wind velocity and direction, precipitation, microclimate, available energy sources, utility providers,
energy and peak load costs, potential financial incentives, and other issues likely to affect energy-related systems.

For Step 3, consider the location (distance from site), capacity, and type and level of treatment for the sewage system serving the
site, including any sewage plant facilities. Include data on average water treatment cost.

For Step 3, consider the location, capacity, and type of water sources serving the site, such as reservoirs, aquifers, wells, lakes,
rivers, nonpotable sources, and municipal supply. Include monthly and annual rainfall data and the average cost of potable (and/or
nonpotable) water.
51

reCoMMended PreliMinary enerGy analysis


Before design of the building form begins, a building massing (simple box) energy analysis can be used to evaluate
potential energy and load reduction strategies, such as insulation levels and window performance levels. Initial
modeling iterations should include the strategies in Step 5.

Site conditions. Consider options that integrate landscape components and strategies that reduce exterior lighting.

Massing and orientation. Consider two fundamental building footprint shapes or two building heights (e.g., one-
story versus two stories for the same total gross square footage). Evaluate how rotating the building 90 degrees
affects energy loads.

Building envelope performance. Consider options for the following aspects:


Solar heat gain coefficients, overall U-value of glazing systems, performance criteria for windows in low,
medium, and high ranges
R-value (insulation) of walls, roofs, and conditioned below-grade structures in low, medium, and high
ranges
Effect of orientation on energy loads
Effect of percentage of exterior glazing (e.g., 30%, 50%, and 70%) on energy loads

Lighting levels. Consider at least two options for reasonable reductions in lighting power density, including one
aimed at a significant reduction from ASHRAE standards.

Thermal comfort ranges. Consider options for expanding the thermal comfort range.

Plug and process load needs. Consider at least two options for reasonable reductions in plug load density, including
one aimed at a significant reduction from ASHRAE standards.

Programmatic and operational parameters. Consider options aimed at reducing building size, hours of
occupancy, and/or number of occupants.

Simple massing sketches of rough configurations can be converted to simple box energy models. In both cases of this
example, only a single wing of each sketch was modeled to simplify this early energy modeling, as depicted in
Figures 2 and 3.

Alliance Architects, Pittsburgh, PA 2008. Phipps Center for Sustainable


Landscapes.

The purpose of the modeling at this stage is to evaluate coarse-grain building configuration differences; only options
that have large consequences need to be modeled (Figure 3).
52

Use this early iterative conceptual energy modeling to understand the buildings heating and cooling loads and
determine whether the projects energy use is likely to be dominated by internal or external loads. Small
commercial and most residential projects are frequently dominated by external loads; that is, exterior conditions
tend to affect the buildings heating and cooling loads more than internal conditions. As a result, the performance
of the buildings envelope tends to have a larger effect than internal loads such as lighting. Large commercial
buildings tend to be dominated by internal loads: occupants, equipment, and ventilation may be far greater
contributors to the overall load than the performance of the building envelope, depending on climatic conditions.

exaMPles

Example 1. Light level analysis1


During the early stages of a Schools project, the team was able to reduce the number of lighting fixtures in
classrooms by 25% compared with standard practice by selecting a paint color whose light reflectance value was
75%, instead of 64% for the initial proposed paint selection, while maintaining adequate illuminance (roughly 50
footcandles) on work surfaces.

The reduction in the number of light fixtures has multiple benefits, beyond the initial savings in fixture purchases
and installation: the cost of electrical energy for lighting falls by 25% over the life of the building, and since
lighting produces heat, the costs for cooling (roughly 1 watt of energy for every 3 watts of lighting) are reduced.

Example 2. Determining load reduction strategies


Determining effective load reduction strategies is the first step in creating an energy-efficient building. Early
focus on load reduction is important because once the space programming is completed and the building is
constructed, changing certain components that affect loads becomes difficult and expensive, especially for a
building dominated by external or building envelope loads.

An example of a dominant external load is a fully glazed western faade in a mixed climate like New York
City. This type of faade creates large loads for both cooling and heating, resulting in excessive energy use and
oversizing of HVAC systems. Example strategies to decrease envelope loads include increasing insulated
opaque wall area (balanced with daylighting strategies), increasing the insulating value of the glazing and
window frame system, and summer solar shading.

On the other end of the spectrum are large buildings with dominant internal loads, like hospitals. Internal loads
are often cooling loads, created by a combination of heat-producing lighting, equipment, and occupants.
Conditioning of outside air is another big internal load. Load reduction strategies include decreasing lighting
power, providing daylighting, reducing plug loads, using economizers for free cooling, and reducing the amount
of ventilation air during periods of partial occupancy with CO 2 sensors.

In both cases, significant energy load reductions can be achieved. The concept model can provide feedback on
which combination of strategies is likely to be the most effective and guide the design team in preparation for
modeling HVAC systems. This allows HVAC systems to be properly sized and equipment efficiency improved in
subsequent models; the team may be able to downsize or even eliminate equipment. The integrated approach can
thus save both energy and capital costs of construction.

exaMPle WorksheeT doCuMenTaTion


Describe how research and analysis uncovered through discovery influenced the project building program, form,
geometry, and/or configuration.
The architect and mechanical engineer both started with the idea that
two 100-ton chillers would be necessary for the AC system
but had not thoroughly considered modifications to the
building envelope design. Using the energy model to inform decisionsabout
both, they instead specified two 50-ton chillers. The project also had
a future expansion component that was not adequately
53

defined, so the team experienced difficulty planning for design


flexibility. The team paused and specifically addressed
adaptability during the goal-setting workshop and then in
the OPR, including which materials would be reclaimed
or reused during the future expansion phase. Although opinions differed
on the best way forward, the

1. Adapted
from
7group
and
Bill
G.
Reed,
The
Integrative
Design
Guide
to
Green
Building:
Redefining
the
Practice
of
Sustainability
(John
Wiley
W
Sons,
Inc.,
2009).
teams interaction added clarity to the process and better defined the
expectations for the buildings operations and future phasing.

raTinG sysTeM variaTions


Core and Shell
The energy-related systems analysis should include all system loads and occupants required by EA Prerequisite
Minimum Energy Performance for Core and Shell projects. The water-related systems analysis should include all
system loads and occupants required by both WE Prerequisite Outdoor Water Use and WE Prerequisite Indoor Water
Use for Core and Shell projects.

ProjeCT TyPe variaTions


Major Renovations
The energy-related systems analysis and water-related systems analysis should include all of the same systems
required for new construction projects, as described above, except for the massing and orientation component.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
54

required doCuMenTaTion

documentation all projects

Integrative Process worksheet (energy and water analysis tabs) X

relaTed CrediT TiPs


LT Credit Quality Transit. The related credits methodology for calculating transit service daily trips can be used
to compare the suitability of project site locations for commuters.

LT Credit Reduced Parking Footprint. Reducing paved area and enlarging the landscaped area can expand the
potential for rainwater infiltration aid the irrigation strategies connected with the preliminary water budget analysis
required for this credit. This credit also requires that at least one on-site nonpotable water supply source contribute to
at least two water demands; for example, a nonpotable water supply source such as harvested rainwater used for both
irrigation and toilet flushing satisfies this requirement.

SS Credit Site Assessment. Addressing the related credit together with this credit will offer a more holistic
perspective on the design opportunities and challenges. For best results, conduct the site assessment at the same time
as the energy and water analyses required by this credit and present findings to the owner in one package. Climate
data research and collection are recommended for both credits.

SS Credit Open Space. A larger landscaped area can increase graywater infiltration and aid irrigationissues that
relate to the preliminary water budget analysis required for this credit. Integrate vegetated areas (including roofs) to
meet the requirements of SS Credit Rainwater Management, SS Credit Heat Island Reduction, WE Prerequisite and
Credit Indoor Water Use Reduction, and WE Prerequisite and Credit Outdoor Water Use Reduction as part of a
holistic analysis. Attention to the credits interconnections allows optimization of the whole. Also take into account
site design, building location, orientation, and massing, all of which can affect the preliminary energy-related
systems analysis required for this creditfor example, using vegetation to provide solar shading.

SS Credit Rainwater Management. The preliminary water budget analysis required for this credit enables project
teams to see how associated water issues interrelate. In developing the required water analysis, look for synergies
with the related credit, plus SS Credit Open Space, SS Credit Heat Island Reduction, WE Prerequisite and Credit
Indoor Water Use Reduction, and WE Prerequisite and Credit Outdoor Water Use Reduction, for achieving both cost
and performance improvements.

SS Credit Heat Island Reduction. Many heat island reduction strategies alter both the preliminary water budget
analysis and the preliminary energy-related systems analysis. For example, vegetated roofs that improve the energy
performance of buildings are often paired with rainwater-harvesting systems.

SS Credit Light Pollution Reduction. Reducing exterior lighting power density addresses a site conditions aspect
of the preliminary energy analysis.

WE Prerequisite and Credit Outdoor Water Use Reduction. The landscape water requirement calculation
methodology of the related prerequisite and credit must be used for conducting the preliminary water budget
analysis.

WE Prerequisite and Credit Indoor Water Use Reduction. The building water use and appliance and process use
calculation methodologies of the related prerequisite and credit must be used for conducting the preliminary water
budget analysis.

WE Credit Cooling Tower Water Use. For projects with cooling towers or evaporative condensers, the calculation
methodologies in the related credit can be used for conducting the preliminary water budget analysis. This credit also
55

requires that at least one on-site nonpotable water supply source contribute to at least two water demands; for
example, a nonpotable water supply source such as harvested rainwater used for cooling tower cycling plus one other
demand-side use satisfies this requirement.

EA Prerequisite Fundamental Commissioning and Verification. The narrative that this credit requires, describing
the preliminary energy-related systems analysis and preliminary water budget analysis, must be included in the
projects OPR and BOD, both of which are required by the related prerequisite. The purpose here is to give the
commissioning authority an understanding of the process and criteria used to select the designed systemsthat is,
the why, not just the what.

EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance. The
preliminary energy analysis required for this credit encourages project teams to focus on load reductions before
analyzing system efficiencies. Using simple box energy modeling at an early stage, even before determining
building form, gives a project team energy end-use benchmarks that directly inform design decisions during an
iterative process, significantly improving energy performance and reducing operating costs.

EQ Prerequisite Minimum Indoor Air Quality Performance. The preliminary energy analysis requires project
teams to calculate basic energy end use distribution in the earliest design stages. By doing so, teams can compare the
relative energy demands of different ventilation strategies while meeting minimum ventilation requirements.

EQ Credit Enhanced Indoor Air Quality Strategies. The preliminary energy-related systems analysis requires
project teams to calculate basic energy end use distribution in the earliest design stages. By doing so, teams can
compare the relative energy demands of different ventilation strategies, including filtration, exhaust, demand control
ventilation, and natural ventilation.

EQ Credit Thermal Comfort. Adjusting thermal comfort ranges can dramatically affect energy consumption. The
preliminary energy-related systems analysis allows project teams to study the relative energy demands of
adjustments to thermal comfort in the earliest design stages. Thermal comfort depends on many interrelated issues
covered by a preliminary energy-related systems analysis, such as ventilation, internal loads from lighting and
occupants, daylighting strategies, and external loads associated with envelope performance. Early modeling allows
project teams to iteratively adjust and evaluate the associated parameters before schematic design.

EQ Credit Daylight. Effective daylighting, including appropriate levels of natural light with controls that reduce
electric lighting, can dramatically affect energy consumption. The preliminary energy analysis allows project teams
to compare daylighting design strategies, particularly balancing total glazing area with its effect on thermal
performance and human comfort.

EQ Credit Quality Views. The preliminary energy-related systems analysis helps project teams give occupants
exterior views while balancing total glazing area with its effect on thermal performance and comfort.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
ANSI Consensus National Standard Guide 2.0 for Design and Construction of Sustainable Buildings and
Communities (February 2, 2012): ansi.org

exeMPlary PerforManCe
Not available.
56

definiTions
basis of design (BOD) the information necessary to accomplish the owners project requirements, including system
descriptions, indoor environmental quality criteria, design assumptions, and references to applicable codes,
standards, regulations, and guidelines

charrette an intensive, multiparty workshop that brings people from different disciplines and backgrounds together
to explore, generate, and collaboratively produce design options

integrated project delivery an approach that involves people, systems, and business structures (contractual and
legal agreements) and practices. The process harnesses the talents and insights of all participants to improve results,
increase value to the owner, reduce waste, and maximize efficiency through all phases of design, fabrication, and
construction. (Adapted from American Institute of Architects).

owners project requirements (OPR) a written document that details the ideas, concepts, and criteria determined
by the owner to be important to the success of the project

simple box energy modeling analysis (also known as building-massing model energy analysis) a simple basecase
energy analysis that informs the team about the buildings likely distribution of energy consumption and is used to
evaluate potential project energy strategies. A simple box analysis uses a basic, schematic building form.

water budget a project-specific method of calculating the amount of water required by the building and associated
grounds. The budget takes into account indoor, outdoor, process, and makeup water demands and any on site supply
including estimated rainfall. Water budgets must be associated with a specified amount of time, such as a week,
month, or year and a quantity of water such as kGal, or liters.
Location and
Transportation (lt)
overvieW
The Location and Transportation (LT) category rewards thoughtful decisions about building location, with credits that encourage
compact development, alternative transportation, and connection with amenities, such as restaurants and parks. The LT category is
an outgrowth of the Sustainable Sites category, which formerly covered location-related topics. Whereas the SS category now
specifically addresses on-site ecosystem services, the LT category considers the existing features of the surrounding community and
how this infrastructure affects occupants behavior and environmental performance.
Well-located buildings take advantage of existing infrastructurepublic transit, street networks, pedestrian paths, bicycle
networks, services and amenities, and existing utilities, such as electricity, water, gas, and sewage. By recognizing existing patterns
of development and land density, project teams can reduce strain on the environment from the material and ecological costs that
accompany the creation of new infrastructure and hardscape. In addition, the compact communities promoted by the LT credits
encourage robust and realistic alternatives to private automobile use, such as walking, biking, vehicle shares, and public transit.
These incremental steps can have significant benefits: a 2009 Urban Land Institute study concluded that improvements in land-use
patterns and investments in public transportation infrastructure alone could reduce greenhouse gas emissions from transportation in
the U.S. by 9% to 15% by 20501; globally, the transportation sector is responsible for about onequarter of energy-related greenhouse
gas emissions.2
If integrated into the surrounding community, a building can offer distinct advantages to owners and building users. For owners,
proximity to existing utility lines and street networks avoids the cost of bringing this infrastructure to the project site. For occupants,
walkable and bikeable locations can enhance health by encouraging daily physical activity, and proximity to services and amenities
can increase happiness and productivity. Locating in a vibrant, livable community makes the building a destination for residents,
employees, customers, and visitors, and the buildings occupants will contribute to the areas economic activity, creating a good
model for future development. Reusing previously developed land, cleaning up brownfield sites, and investing in disadvantaged
areas conserve undeveloped land and ensure efficient delivery of services and infrastructure.

1. U.S. Environmental Protection Agency, Smart Growth and Climate Change, epa.gov/dced/climatechange.htm(accessed
September 11, 2012).
2. International Council on Clean Transportation, Passenger Vehicles, (accessed March 22, 2013).
56

Design strategies that complement the buildings location are also rewarded in the LT section. For example, by
limiting parking, a project can encourage building users to take alternative transportation. By providing bicycle
storage, alternative-fuel facilities, and preferred parking for green vehicles, a project can support users seeking
transportation options.

ConsisTenT doCuMenTaTion
WalkinG and biCyClinG disTanCe
Walking and bicycling distances are measurements of how far a pedestrian and bicyclist would travel from a point of
origin to a destination, such as the nearest bus stop. This distance, also known as shortest path analysis, replaces the
simple straight-line radius used in LEED 2009 and better reflects pedestrians and bicyclists access to amenities, taking
into account safety, convenience, and obstructions to movement. This in turn better predicts the use of these amenities.
Walking distances must be measured along infrastructure that is safe and comfortable for pedestrian: sidewalks, all-weather-surface
footpaths, crosswalks, or equivalent pedestrian facilities.
Bicycling distances must be measured along infrastructure that is safe and comfortable for bicyclists: on-street bicycle lanes, off-street
bicycle paths or trails, and streets with low target vehicle speed. Project teams may use bicycling distance instead of walking distance to
measure the proximity of bicycle storage to a bicycle network in LT Credit Bicycle Facilities.
When calculating the walking or bicycling distance, sum the continuous segments of the walking or bicycling route to determine
the distance from origin to destination. A straight-line radius from the origin that does not follow pedestrian and bicyclist
infrastructure will not be accepted.
Refer to specific credits to select the appropriate origin and destination points. In all cases, the origin must be accessible to all
building users, and the walking or bicycling distance must not exceed the distance specified in the credit requirements.

ToTal vehiCle ParkinG CaPaCiTy


When determining total parking capacity, include all the off-street spaces available to the project buildings users.
This may include spaces both inside and outside the project boundary.
If parking spaces are shared among two or more buildings (pooled parking), determine the share of this parking allocated to the
project. Include this number of spaces in the total parking capacity and provide rationale for the parking distribution, if necessary.
If no off-street parking is allocated to the project buildings users, the team is eligible to pursue LT Credit Reduced Parking
Footprint but is not eligible for LT Credit Green Vehicles.

The following parking spaces must be included in total parking capacity:


New and existing surface parking spaces
New and existing garage or multilevel parking spaces
Any off-street parking spaces outside the project boundary that are available to the buildings users

The following parking spaces should not be included in total parking capacity:
On-street (parallel or pull-in) parking spaces on public rights of way
Parking spaces for fleet and inventory vehicles, unless these vehicles are regularly used by employees for
commuting as well as business purposes
Motorbike or bicycle spaces
Preferred ParkinG
Preferred parking spaces have the shortest walking distance to the main entrance of the project, exclusive of spaces designated for people
with disabilities.
If parking is provided on multiple levels of a facility, locate preferred spaces on the level closest to the main entrance to the building.
If the parking area is subdivided for different kinds of building users (e.g., customers and employees, staff and students, ranking military
officials), a project may distribute the required preferred parking spaces proportionally across each parking area. This also applies to the
provision of fueling stations in LT Credit Green Vehicles.
Alternatively, a project that subdivides its parking area may provide one general preferred parking area with enough spaces for all user
types (based on total parking capacity). In this case, parking areas outside the preferred parking zone would still be separated by user type.
This also applies to the provision of fueling stations in LT Credit Green Vehicles.
The reservation of preferred parking spaces is required both for carpool and vanpool vehicles in LT Credit Reduced Parking Footprint
and for green vehicles in LT Credit Green Vehicles. Projects pursuing both credits will need to reserve a higher proportion of preferred
parking spaces.
Carpool and vanpool spaces and green vehicle spaces may be placed at the discretion of the project team (i.e., green vehicle spaces can
be closer to the main entrance than carpool and vanpool spaces, or vice versa), provided the number of spaces reserved for each type meets
credit requirements.
Although not encouraged, preferred parking areas and signage for carpool and vanpool vehicles and green vehicles may be combined if
10% of total parking capacity is reserved with this signage and both Reduced Parking Footprint and Green Vehicles credits are achieved.
58
loCaTion and TransPorTaTion CrediT

LEED for neighborhood


Development Location
this credit applies to:
new Construction (816 points) data Centers (816 points)
Core and shell (820 points) Warehouses and distribution Centers (816 points) schools (815 points) hospitality
(816 points) retail (816 points) healthcare (59 points)

inTenT

to avoid development on inappropriate sites. to reduce vehicles miles traveled. to


enhance livability and improve human health by encouraging daily physical activity.

requireMenTs
Locate the project within the boundary of a development certified under LEED for Neighborhood Development (Stage 2 or Stage 3
under the Pilot or 2009 rating systems, Certified Plan or Certified Project under the LEED v4 rating system).
Projects attempting this credit are not eligible to earn points under other Location and Transportation credits.
tablE 1. Points for LEED ND location

Points bd+c (core Points bd+c (schools) Points bd+c


certification level Points bd+c and shell) (healthcare)

Certified 8 8 8 5

Silver 10 12 10 6

Gold 12 16 12 7

Platinum 16 20 15 9
60

behind The inTenT


The LEED for Neighborhood Development (LEED ND) rating system combines principles of smart growth,
new urbanism, and green building design and construction to promote sustainable, healthy, and equitable
places for neighborhood residents, workers, and visitors. Neighborhoods following the program must exhibit a
wide range of sustainability features, such as walkability, transit access, sensitive land protection, connectivity,
and shared infrastructure.
Project teams that select a project site in a LEED NDcertified neighborhood or plan have demonstrated a
commitment to the fundamental goals of the Location and Transportation credit category: excellent building
location and linkages with the surrounding community. The requirement for this credit is that the project be
certified (not just registered) under LEED ND, to ensure that all the goals of the LT category are addressed. This
credit thereby provides a streamlined alternative to the pursuit of the individual LT credits

sTeP 1. idenTify leed nd neiGhborhood or CerTified Plan area for PoTenTial develoPMenT
identify a potential project site that is located fully within a LEED nDcertified neighborhood or certified plan area.
check the usGBc website for up-to-date lists of LEED nD projects.
Local usGBc chapters in the united states or other green building councils in other countries may also serve as valuable
resources for identifying certified or soon-to-be-certified LEED nD neighborhoods.

sTeP 2. ConfirM eliGibiliTy of leed nd ProjeCT


confirm that the LEED nD neighborhood or plan area in which the project is located meets credit criteria by collecting the following
information:
Rating system and rating system version
certification designation (table 2; note differing terminology)
certification level and certification date
tablE 2. Eligibility by LEED ND certification designation

version Eligible ineligible

Stage 2 LEED for Neighborhood


Development Certified Plan

Stage 3 LEED for Neighborhood Stage 1 LEED for Neighborhood


LEED ND Pilot
Development Certified Project Development Pre-reviewed Plan

Stage 2 Pre-certified LEED for


Neighborhood Development Plan
Stage 1 Conditional Approval of LEED ND
LEED 2009
Stage 3 LEED ND Certified Plan
Neighborhood Development
LEED for Neighborhood
Development Certified Plan
LEED for Neighborhood
LEED v4 LEED for Neighborhood Development Development Conditional Approval
Certified
Built Project
61

the LEED nD project must have achieved certification to earn this credit. LEED nD projects that have only been registered or
submitted for certification review do not qualify.
Project teams must consider the certification timelines of related BD+c and nD projects:
if an associated neighborhood project is certifying to LEED nD Plan, be sure that the individual building projects are registered
before the LEED nD project submits its application for certification.
if an associated neighborhood project is certifying to LEED nD Plan and all building designs are substantially complete, it
is recommended to complete the building design review phase first, then the LEED nD Plan certification. Major overlap
exists between building water and energy prerequisites. completing the building certifications first will greatly
streamline the LEED nD Plan review process.
if the associated neighborhood project is certifying to LEED nD, both certifications need to be submitted at approximately the
same time, since each depends on the certification (not just registration) of the other.
Delays or appeals of one or both certification reviews could complicate matters if submission timelines are not coordinated. alert
usGBc as early in the documentation process as possible when simultaneous certifications are expected for advice on how to
proceed.

sTeP 3. deTerMine PoTenTial PoinTs available for leed nd loCaTion CrediT and individual lT CrediTs
if the LEED nD project is certified and eligible for this credit, compare the available points offered by the other Lt credits and the LEED
nD Location credit.

sTeP 4. deTerMine final CrediT aChieveMenT PaThWay


select the preferred credit achievement pathway. Projects achieving the LEED nD Location credit are ineligible to pursue additional Lt
credits.
LEED nD Location credit is appropriate if the points available for Lt credit LEED for neighborhood Development Location exceed
the potential points available for individual Lt credits. the compliance path offered by this credit will likely save a project team
time in documentation.
individual Lt credits are appropriate if the project is in an eligible LEED nD project or certified plan area but can achieve more
points by pursuing multiple Lt credits. Evaluate the trade-off between additional points and the level of effort required to
document them.
if the prospective LEED nD area is ineligible (table 2), pursue individual Lt credits. sTeP 5. GaTher and
ConfirM leed nd ProjeCT inforMaTion contact members of the LEED nD project team to gather the
following information: Project name and iD number
Map of certified LEED nD neighborhood or plan boundary
Group Approach
All buildings in the group may be documented as one. The entire group boundary must be within the LEED ND
project boundary to earn credit.

Campus Approach
Eligible. The entire campus boundary must be within the LEED ND project boundary to use the campus credit
approach.

required doCuMenTaTion
documentation all projects

LEED ND project information (name, ID number, rating system and version, certification level, and
certification date) X

Vicinity base map with LEED project boundary and LEED ND certified neighborhood or plan boundary
X

relaTed CrediT TiPs


Project teams achieving this credit are not eligible to pursue other LT credits.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
None.
68

loCaTion and TransPorTaTion CrediT

sensitive Land Protection


this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (2 points) Warehouses and distribution Centers (1
schools (1 point) retail (1 point) hospitality (1 point) healthcare (1
point) point)

inTenT

to avoid the development of environmentally sensitive lands and


reduce the environmental impact from the location of a building on a
site.

requireMenTs
oPTion 1.

Locate the development footprint on land that has been previously developed.
or

oPTion 2.

Locate the development footprint on land that has been previously developed or that does not meet the following
criteria for sensitive land:
Prime farmland. Prime farmland, unique farmland, or farmland of statewide or local importance as defined
by the U.S. Code of Federal Regulations, Title 7, Volume 6, Parts 400 to 699, Section 657.5 (or local
equivalent for projects outside the U.S.) and identified in a state Natural Resources Conservation Service soil
survey (or local equivalent for projects outside the U.S.).
Floodplains. A flood hazard area shown on a legally adopted flood hazard map or otherwise legally designated
by the local jurisdiction or the state. For projects in places without legally adopted flood hazard maps or legal
designations, locate on a site that is entirely outsidwe any floodplain subject to a 1% or greater chance of
flooding in any given year.
Habitat. Land identified as habitat for the following:
species listed as threatened or endangered under the U.S. Endangered Species Act or the states endangered
species act, or
species or ecological communities classified by NatureServe as GH (possibly extinct), G1 (critically
imperiled), or G2 (imperiled), or
species listed as threatened or endangered specifies under local equivalent standards (for projects outside the
U.S.) that are not covered by NatureServe data.
Water bodies. Areas on or within 100 feet (30 meters) of a water body, except for minor
improvements. Wetlands. Areas on or within 50 feet (15 meters) of a wetland, except for minor
improvements.

Minor improvements within the wetland and water body buffers may be undertaken to enhance appreciation of them,
provided such facilities are open all building users. Only the following improvements are considered minor:
Bicycle and pedestrian pathways no more than 12 feet wide (3.5 meters), of which no more than 8 feet
(2.5 meters) may be impervious;
Activities to maintain or restore native natural communities and/or natural hydrology;
One single-story structure per 300 linear feet (90 linear meters) on average, not exceeding 500 square feet (45
square meters);
Grade changes necessary to ensure public access;
Clearings, limited to one per 300 linear feet (90 linear meters) on average, not exceeding 500 square feet (45
square meters) each;
Removal of the following tree types:
Hazardous trees, up to 75% of dead trees
Trees less than 6 inches (150 millimeters) diameter at breast height
Up to 20% of trees more than 6 inches (150 millimeters) diameter at breast height with a condition rating of
40% or higher.
Trees under 40% condition rating
The condition rating must be based on an assessment by an arborist certified by the International Society
of Arboriculture (ISA) using ISA standard measures, or local equivalent for projects outside the U.S.
Brownfield remediation activities.
70

Behind the intent


Ecologically sensitive areas provide a variety of human health and environmental benefits. Agricultural areas
produce food and assist with rainwater management; floodplains support diverse flora and fauna, supply rich
agricultural soil, and provide flood protection; imperiled or endangered species habitat supports biodiversity; and
wetlands and water bodies can buffer against flooding, sequester carbon, and manage rainwater runoff.
The ecosystem services and benefits these sensitive land types provide need to be effectively managed.
Development of this land not only harms the ecology of the area but also places people and property in danger. For
instance, locating a building in a floodplain or close to a marsh increases its risk of damage from floods or rising sea
levels, and the conversion of agricultural land limits local opportunities for producing food.
One strategy for lessening the environmental consequences of a building is to select a site that has previously
been developed and then to limit the buildings footprint to the previously developed area. Building on a previously
developed site also encourages the reuse of existing built infrastructure and investment in existing neighborhoods. If
developing entirely on previously developed land is infeasible, project teams can achieve compliance by not
disturbing sensitive land types.

SteP-BY-SteP GUidAnCe

SteP 1. identifY PrevioUSlY develoPed lAnd on Site


Determine which portions of the site have been previously developed, if any, and map these areas (see Getting Started, Previous
Development).

SteP 2. Prioritize develoPment of PrevioUSlY develoPed lAnd


Compare the projects proposed development footprint with the previously developed land. Where possible, locate the
development footprint only on portions of the site that have been previously developed.
If the development footprint does not extend beyond the previously developed portions of the site, or if the entire site is
previously developed, the project has met the requirements of Option 1. No further action is necessary.
If the development footprint extends to any land that has not been previously developed, follow Steps 38 below (for land that has
not been previously developed only) to determine compliance with Option 2.

SteP 3. determine loCAtion of Prime fArmlAnd


Confirm that the projects proposed development footprint does not encroach on prime farmland, unique farmland, or farmland of
statewide or local importance, as identified in the Natural Resources Conservation Service (NRCS) soil survey for the area, or a local
equivalent for projects outside the U.S.
(see Further Explanation, NRCS Soil Surveys and International Tips).

SteP 4. determine loCAtion of flood hAzArd AreAS


Consult legally adopted flood hazard maps of the project site area.
In the U.S., most local governments, flood management agencies, or other local entities maintain flood hazard maps, which may
include flood hazard areas designated by both the Federal Emergency Management Agency (FEMA) and a local agency. For FEMA
flood hazard zone definitions and map designations, see Referenced Standards.
Projects outside the U.S. may use equivalent standards or determine the flood hazard area with a qualified professional (see
Further Explanation, International Tips).

SteP 5. determine loCAtion of threAtened or endAnGered SPeCieS hABitAt


Project teams in the U.S. should contact the state Natural Heritage Program and state wildlife agency to determine whether any
habitat for threatened or endangered species has been or is likely to be found on the project site.
71

Qualifying species include threatened or endangered species under the u.s. Endangered species act, those listed by a state
endangered species act, or those classified by natureserve as Gh, G1, or G2 (see Referenced Standards).
Projects teams have several options for gathering imperiled species and communities information from natureserve. county-
level data is available on the natureserve website. team members can reference the results of the website query as they
determine whether ecological communities exist or if there is habitat necessary to support threatened or endangered species,
located on the project site. teams can also work with natureserve directly to find more site-specific information if results are
inconclusive or a more detailed survey is necessary.
Project teams outside the u.s. should use local equivalents to these agencies. if an equivalent to the u.s. natural heritage
Program or the state wildlife agency cannot be determined, see Further Explanation, International Tips.

sTeP 6. deTerMine loCaTion of WeTlands and WaTer bodies use project site maps
to locate any wetlands or water bodies.
include land within 50 feet (15 meters) of wetlands or land within 100 feet (30 meters) of water bodies.
u.s. project teams should consult the u.s. army corps of Engineers wetlands Delineation Manual for further guidance on
delineating wetlands.

sTeP 7. loCaTe develoPMenT fooTPrinT To avoid any sensiTive areas


if the previous steps reveal any prime farmland, flood hazard zone, imperiled species habitat, or wetlands or water bodies and
their surrounding buffers, design the project such that the development footprint does not encroach on the sensitive areas.

sTeP 8. underTake only aPProved Minor iMProveMenTs around WeTlands and


WaTer bodies
Ensure that any necessary improvements to enhance appreciation of the wetland or water body and its buffer are considered
minor, per the credit requirements. Project teams should evaluate the trade-offs between access to the wetlands or water
bodies and the ecological consequences of the access for those areas.

furTher exPlanaTion

exaMPle
A project site has had no previous development. In consulting with agencies identified in the credit, the project team
determines that an adjacent wetland extends across the project boundary and also finds a small habitat area for an
endangered species within the project boundary.
The project team designs the development footprint such that it does not overlap with the sensitive habitat area
and is not within 50 feet (15 meters) of the wetland. The project team provides an impervious pedestrian pathway
within the wetland buffer that meets the credit requirements. The project earns the credit.

PriMe farMland exPlanaTion


In the U.S., prime farmland (as well as unique farmland and farmland of statewide or local importance) is defined
by the U.S. Code of Federal Regulations, as specified in the credit requirements. The definition has multiple parts
that indicate the characteristics necessary for the farmland to be considered prime, unique, or of statewide or local
importance. The complete definition can be found at gpo.gov/fdsys/pkg/CFR-2001-title7-vol6.
This definition is built into NRCS soil surveys; project teams do not need to conduct their own soil surveys
unless seeking local equivalency for a site not covered by NRCS (see International Tips). See below for
more information on obtaining the results of those soil surveys.
nrCs soil surveys in u.s.
72
Project teams may determine site soil types by visiting the Natural Resources Conservation Service (NRCS) website
(see Referenced Standards) and downloading GIS data for the appropriate state and county.
NRCS keeps detailed surveys and maps for every county in the U.S. and provides most of this information
online. The information can be downloaded to GIS mapping programs or may be viewed without GIS directly
through the NRCS website, at websoilsurvey.nrcs.usda.gov/app/.
If NRCS soils data for the project site are unavailable online, contact the state or regional office to determine
whether the sites soil type is considered prime, unique, or of state significance. It may be necessary to consult with
an agricultural scientist if the soil type for the project site is unclear.

idenTifyinG sensiTive habiTaT


To determine the presence of sensitive habitat, work with the state Natural Heritage Program and/or state fish and
wildlife agencies (or a local equivalent outside the U.S.) to see whether species in any of the listed criteria are found
on the project site. This will ensure that the most comprehensive and accurate data are used and eliminates the need
for the project team to conduct a site survey.
Scientists from the aforementioned agencies specialize in wildlife information and can therefore determine
whether the site has any sensitive habitat.

inTernaTional TiPs
A qualified biologist or ecologist may be helpful in determining which local laws and regulations are the most
equivalent to U.S. measures in scope and rigor. A qualified ecological or biological specialist is defined as an
individual who has the following qualifications:
Holds a degree in biology, ecology, or a related subject
Is a practicing biologist or ecologist with a minimum of three years experience in, for example, ecological
impact assessments, habitat surveys, and habitat restoration
Understands how construction and the built environment affect ecology and can make recommendations for
ecological protection, enhancement, and mitigation measures
Is covered by a professional code of conduct

Organizations likely to have qualified members include the Chartered Institution of Water and Environmental
Management, the Institute of Ecology and Environmental Management, and the Institute of Environmental
Management and Assessment.

Prime farmland. A local equivalent for identifying prime farmland is acceptable. Reference the U.S. Code of
Federal Regulations, Title 7, Volume 6, Parts 400 to 699, Section 657.5, to ensure that the local equivalent definition
is similar. Use a soil survey with equivalent methodology to the NRCS soil survey that identifies land with
characteristics similar to the definition of prime farmland.

Flood hazard areas. If the project area is covered in flood hazard maps, include the criteria used to delineate flood
hazard area and the name of the authority that produced the maps. If no flood hazard maps are available, work with
an engineer, hydrologist, or other qualified professional to map the flood hazard areas subject to credit requirements.
Flood hazard maps must delineate areas with a 1% or greater chance of flooding in any given year. The professional
hydrologist should also produce a report or an executive summary of findings and supporting documentation, such
as site elevations or topographic maps and sections identifying the flood risk of the project site.

Sensitive habitat. If an equivalent to a U.S. fish and wildlife agency or Natural Heritage Program cannot be
determined, review national or international sources for endangered species or protected habitat to determine what
imperiled species might occur in the area. Global resources include the International Union for Conservation of
Nature Red List (iucnredlist.org). In addition, engage a qualified local biologist or ecologist to conduct a biological
survey.

Tree condition. A local equivalent to an arborist certified by the International Society of Arboriculture (ISA) must
be consulted to determine the condition ratings of any trees that might be removed.

CaMPus
Group Approach
73
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
documentation option 1 option 2

Site map(s) showing project boundary, development footprint, any previous development, any
sensitive areas, and any minor improvements in required buffers X X

Explanation of the previous development on the site X

Description of how the project team verified prime farmland and sensitive habit criteria X

relaTed CrediT TiPs


LT Credit High-Priority Site. Locating the project on any of the site conditions listed in the related credit increases
the likelihood of avoiding the sensitive areas protected under this credit. Brownfield remediation activities pursued
as part of Option 3 of the related credit are considered acceptable minor improvements in wetland and water body
buffers.

LT Credit Surrounding Density and Diverse Uses. Siting the project building away from sensitive areas increases
the likelihood of locating in areas with surrounding building density or near diverse uses.

LT Credit Reduced Parking Footprint. By limiting the area allowed for development, this credit may reduce the
amount of available land for parking and help teams achieve the related credit.

SS Credit Site Assessment. During an assessment, a project team may find features such as vegetation, land use,
or hydrology that require protection to achieve this credit. The same assessment may be used to identify protection
measures in the related credit.

SS Credit Rainwater Management. Sensitive land or previously undeveloped land on the project site that is left
undisturbed may be used to manage runoff and help achieve Option 2 of the related credit.

SS Credit Site DevelopmentProtect or Restore Habitat. Sensitive land or previously undeveloped land on the
project site that is left undisturbed may be counted toward the 40% greenfield protection requirement in the related
credit.

ChanGes froM leed 2009


Floodplain requirements now refer to flood hazard area shown on a legally adopted flood hazard map instead
of specifically referencing the 100-year floodplain. Projects must now avoid the flood hazard area instead of
being at least 5 feet (1.5 meters) above the 100-year floodplain.
The sensitive habitat requirements have been expanded to include species or ecological communities listed by
NatureServe (in additional to local equivalents for projects outside the U.S. or outside areas covered by
NatureServe).
The water body buffer has been changed from 50 feet (15 meters) to 100 feet (30 meters).
The wetland buffer has been changed from 100 feet (30 meters) to 50 feet (15 meters).
A list of allowable minor improvements in wetland or water body buffers has been added.
74

referenCed sTandards
U.S. Department of Agriculture, United States Code of Federal Regulations Title 7, Volume 6, Parts 400 to
699, Section 657.5: soils.usda.gov/technical/handbook/contents/part622.html

U.S. Fish and Wildlife Service, List of Threatened and Endangered Species: fws.gov/endangered

NatureServe Heritage Program, GH, G1, and G2 species and ecological communities: natureserve.org

FEMA Flood Zone Designations: msc.fema.gov

exeMPlary PerforManCe
Not available.

definiTions
brownfield real property or the expansion, redevelopment, or reuse of which may be complicated by the presence or
possible presence of a hazardous substance, pollutant, or contaminant

development footprint the total land area of a project site covered by buildings, streets, parking areas, and other
typically impermeable surfaces constructed as part of the project

previously developed altered by paving, construction, and/or land use that would typically have required regulatory
permitting to have been initiated (alterations may exist now or in the past). Land that is not previously developed
and landscapes altered by current or historical clearing or filling, agricultural or forestry use, or preserved natural
area use are considered undeveloped land. The date of previous development permit issuance constitutes the date of
previous development, but permit issuance in itself does not constitute previous development.

water body the surface water of a stream (first-order and higher, including intermittent streams), arroyo, river, canal,
lake, estuary, bay, or ocean. It does not include irrigation ditches.

wetland an area that is inundated or saturated by surface or ground water at a frequency and duration sufficient to
support, and that under normal circumstances does support, a prevalence of vegetation typically adapted for life in
saturated soil conditions. Wetlands generally include swamps, marshes, bogs, and similar areas, but exclude
irrigation ditches unless delineated as part of an adjacent wetland.
loCaTion and TransPorTaTion CrediT

high-Priority site
this credit applies to:
new Construction (1-2 points) data Centers (1-2 points)
Core and shell (2-3 points) Warehouses and distribution Centers (1-2 points) schools (1-2 points)
hospitality (1-2 points) retail (1-2 points) healthcare (1-2 point)

inTenT

to encourage project location in areas with development constraints and promote the
health of the surrounding area.

requireMenTs
oPTion 1. hisToriC disTriCT (1 PoinT bd+C exCePT Core and shell, 2 PoinTs Core and shell)

Locate the project on an infill location in a historic district.


or

oPTion 2. PrioriTy desiGnaTion (1 PoinT bd+C exCePT Core and shell, 2 PoinTs Core and shell).

Locate the project on one of the following:


a site listed by the EPA National Priorities List;
a Federal Empowerment Zone site;
a Federal Enterprise Community site;
a Federal Renewal Community site;
a Department of the Treasury Community Development Financial Institutions Fund Qualified Low-Income
Community (a subset of the New Markets Tax Credit Program);
a site in a U.S. Department of Housing and Urban Developments Qualified Census Tract (QCT) or Difficult
Development Area (DDA); or
a local equivalent program administered at the national level for projects outside the U.S.
or

oPTion 3. broWnfield reMediaTion (2 PoinTs bd+C exCePT Core and shell, 3 PoinTs Core and shell)

Locate on a brownfield where soil or groundwater contamination has been identified, and where the local, state, or national
authority (whichever has jurisdiction) requires its remediation. Perform remediation to the satisfaction of that authority.
73

behind The inTenT


Many communities and governments have identified high-priority redevelopment sites. Putting these sites back into
productive use has many environmental advantages over development in greenfields and environmentally sensitive
areas. Building a project on a high-priority redevelopment site can revitalize the neighborhood and bring social and
economic benefits to the surrounding community. Such projects also achieve savings because they are served by
existing infrastructure.
Option 1 rewards investing in historic areas, a proven strategy for maintaining and enhancing community
character. Underutilized properties can have a rich history. The redevelopment of sites in historic districts can also
reduce urban sprawl through adaptive reuse.
Many low-income communities have sites that are vacant or underutilized because of perceived
stigmas or economic barriers. Option 2 promotes the social and economic revitalization of economically
depressed or disadvantaged neighborhoods by rewarding the location of certain appropriate projects on
such sites.
Option 3 promotes the redevelopment of contaminated sites, where hazardous materials are removed from a
sites soil, groundwater, and any existing buildings, thereby reducing2 the exposure of humans and wildlife to
environmental pollution and improving environmental health. Contaminated site redevelopment often reduces
the footprint of the projects elements, with a redevelopment site using an average of 78% less land than the
same project would if it were built on a greenfield.1

sTeP-by-sTeP GuidanCe

option 1. historic district


sTeP 1. ConfirM infill sTaTus confirm that the project site under consideration
is an infill site.
to determine infill status, first identify all land within 1/2 mile (800 meters) of the project boundary that has been previously
developed, excluding streets and other rights of way (see Getting Started, Previous Development).
Determine the percentage of land that is previously developed by dividing the previously developed area by the total land area
less streets and rights-of-way within 1/2 mile (800 meters) of the project boundary. water bodies are not included in land area.
if this percentage is 75% or greater, the location is considered an infill site.

sTeP 2. idenTify and ConfirM hisToriC disTriCT sTaTus


consult the local planning or permitting agency to identify any historic preservation entity that designates local historic districts.
work with that entity to determine whether the proposed project site is in a historic district.
Projects in a historic preservation district must often meet additional design or construction criteria. these restrictions may include
use of specific exterior building materials, limitations on total building height, and restrictions on demolition.
work with the historic preservation entity to determine these restrictions and gain approval through the local review board
where required.

option 2. Priority designation

sTeP 1. idenTify PrioriTy develoPMenT area


Review the high-priority designations identified in the credit requirements and consult each programs website to review the areas
identified under the program. the priority designations listed most often overlap with economically disadvantaged areas. these
programs are administered in the u.s.; for information on equivalency, see Further Explanation, International Tips.
national Priority sites are designated by the u.s. Environmental Protection agency. they release

1. Deason, J.P., G.W. Sherk, and G.A. Carroll, Public Policies and Private Decisions
Affecting the Redevelopment of Brownfields (Environmental and Energy
Management Program, George Washington University, 2001).
or threaten to release hazardous substances, pollutants, or contaminants. Projects on the national Priority List are targets for t
federal superfund program, which cleans up uncontrolled hazardous waste sites around the country.
Empowerment Zone, Enterprise community, and Renewal community sites, identified by the u.s. Department of housing and
urban Development, offer various tax incentives to encourage businesses to open or expand and hire local residents.
the community Development financial institutions fund is a federal grant program that seeks to expand affordable credit,
capital, and financial services for underserved populations through grants and tax credits. it is a subset of the treasurys new
Markets tax credit Program, which provides a tax credit for investing in designated community development entities.
a qualified census tract has a certain percentage of low-income households, as defined under section 42 of the u.s. internal
Revenue code. Difficult development areas are determined annually by housing and urban Development. owners of rental
properties in qualified census tracts and difficult development areas qualify for the low-income housing tax credit, as
defined under section 42 of the internal Revenue code.

sTeP 2. ConfirM ThaT siTe is in area WiTh PrioriTy desiGnaTion


work with the local economic development, planning, community development, housing, or redevelopment agency or departmen
to determine whether the specified priority designation applies to the project site.
a project site qualifies even if only a portion is in the high-priority designated area.
indicate the site boundaries and priority area on a site map and provide confirmation of the designation.

option 3. brownfield remediation


sTeP 1. idenTify ConTaMinaTion
as early as possible in the development process, determine the presence of any on-site soil or groundwater contamination.
to identify contamination, consult local records, conduct a Phase 1 or Phase 2 environmental site assessment (or a local equival
or work with a biologist or environmental scientist.
the credit explicitly applies to soil or groundwater contamination. asbestos and other contaminants inside buildings (whether
demolished or remaining) or in debris do not count as contamination under this credit requirement. however, it is
recommended that project teams consider these factors in an overall site assessment.
if the project is located on a site that has already been completely assessed and remediated, the results of that assessment
and remediation may be used toward achievement of this option if complete documentation is provided.

sTeP 2. deTerMine aPPliCable reMediaTion requireMenTs


obtain a declaration from the authority having jurisdiction indicating the presence of contamination, and work with that authority
determine the remediation requirements for the contaminated site.
if part of the site is found to have contamination, then the entire area within the LEED project boundary is considered a
contaminated site.
in the u.s., the authority having jurisdiction may be the u.s. Environmental Protection agency or a state or local
government regulatory agency responsible for identification of contaminants and remediation protocols.

sTeP 3. CoMPleTe reMediaTion


Remediate the project site to the satisfaction of the authority having jurisdiction. completing remediation typically involves worki
remediation specialist.
Remediation can be a long process. identifying any contamination and beginning remediation is often just the first step; a
site undergoing remediation may therefore receive credit at the time of certification.
Many local governments or other authorities will not grant entitlement or other planning approvals until remediation has made
the site safe for human occupancy and intended use.
75

Option 1 Historic District. Projects may attempt this option if a local, national, or international designation
indicates that the project sites neighborhood has significant historic or cultural value.

Option 2 Priority Designation. Most of the priority designations are intended to encourage investment in
economically disadvantaged or low-income areas. Projects outside the U.S. should demonstrate that the site is in a
priority area, as designated by an equivalent, nationally administered program with similar goals and operation.

Option 3 Brownfield Remediation. Identify site contamination by using a government registry of contaminated
sites or by following a procedure similar to Phases 1 and 2 of ASTM E152705. In all cases the authority having
jurisdiction must require remediation for this option to be achieved. The scope of Phase 1 and 2 assessments
includes determining the likelihood of contamination and identifying potential contaminants on the site (by such
methods as reviewing historical records and interviewing those with knowledge of the site) as well as collecting
and testing samples of soil, soil vapor, ground water and structural materials for contamination.

CaMPus
Group Approach
All buildings may be documented as one.
Campus Approach
Eligible.

required doCuMenTaTion
documentation option 1 option 2 option 3

Vicinity map indicating previously developed land within


mile (800 meters) of project boundary X

Document from historic preservation entity confirming


X
location in historic district

Vicinity map or other documentation confirming priority


site designation X

Documentation from authority having jurisdiction declaring existence of


specific contamination and confirming that remediation has been or will X
be completed to its satisfaction

relaTed CrediT TiPs


MR Credit Building Life-Cycle Impact Reduction. Projects reusing the structure, envelope, and interior
nonstructural elements of a historic building may be eligible for Option 1 of the related credit. Projects renovating or
reusing at least half of the structure, enclosure, and interior structural elements of an abandoned or blighted building
may be eligible for Option 2 of the related credit.

SS Prerequisite Environmental Site Assessment: If a Phase 1 environmental site assessment (required for
School and Healthcare projects under the related prerequisite) reveals brownfields or contamination that will be
remediated, the project qualifies for Option 3 of this credit.
LT credit category (all credits): Locating a building on any of the high-priority site types addressed in this
credit significantly increases the likelihood that the project will be in a dense area served by transit and diverse
uses, making other LT credits more achievable.

ChanGes froM leed 2009


This credit adapts many of the concepts formerly found in SS Credit 3 Brownfield Redevelopment.
Projects now have options for infill location in a historic district and for locating in a priority redevelopment area.
Projects are no longer limited to officially designated brownfields. Contaminated sites requiring remediation, as deemed by
the authority having jurisdiction, can qualify a project for this credit.

referenCed sTandards
U.S. Environmental Protection Agency, National Priority List: epa.gov/superfund/sites/npl

U.S. Housing and Urban Development, Federal Empowerment Zone, Federal Enterprise Community, and Federal Renewal
Community:
portal.hud.gov/hudportal/HUD?src=/program_offices/comm_planning/economicdevelopment/programs/rc U.S. Department

of Treasury, Community Development Financial Institutions Fund: cdfifund.gov

U.S. Department of Housing and Urban Development, Qualified Census Tracts and Difficult Development Areas:
qct.huduser.org/index.html

exeMPlary PerforManCe
For exemplary performance, pursue Option 2 or 3 in addition to Option 1. Otherwise, only one option is allowed.

definiTions
brownfield real property or the expansion, redevelopment, or reuse of which may be complicated by the presence or possible
presence of a hazardous substance, pollutant, or contaminant

historic district a group of buildings, structures, objects, and sites that have been designated or determined to be eligible as
historically and architecturally significant, and categorized as either contributing or noncontributing to the historic nature of the
district.

infill site a site where at least 75% of the land area, exclusive of rights-of-way, within mile (800 meters) of the project boundary
is previously developed. A street or other right-of-way does not constitute previously developed land; it is the status of property on
the other side of right-of-way or the street that matters.

previously developed site a site that, prior to the project, consisted of at least 75% previously developed land
loCaTion and TransPorTaTion CrediT

surrounding Density and Diverse


uses
this credit applies to:
new Construction (1-5 points) data Centers (15 points)
Core and shell (1-6 points) Warehouses and distribution Centers (15 points) schools (1-5 points)
hospitality (15 points) retail (15 points) healthcare (1 point)

inTenT

to conserve land and protect farmland and wildlife habitat by encouraging development
in areas with existing infrastructure. to promote walkability, and transportation
efficiency and reduce vehicle distance traveled. to improve public health by encouraging
daily physical activity.

requireMenTs
neW ConsTruCTion, Core and shell, sChools, reTail, daTa CenTers, hosPiTaliTy

oPTion 1. surroundinG densiTy (23 PoinTs bd+C exCePT Core and shell, 2-4 PoinTs Core and shell).

Locate on a site whose surrounding existing density within a 1/4 mile (400-meter) radius of the project boundary meets the
values in Table 1. Use either the separate residential and nonresidential densities or the combined density values.
tablE 1a. Points for average density within 1/4 mile of project (imperial units)

Points bd+c
separate residential and (except core and Points bd+c (core and
combined density
nonresidential densities shell) shell)

square feet per acre residential nonresidential


of buildable land density (du/acre) density (Far)

22,000 7 0.5 2 2

35,000 12 0.8 3 4

tablE 1b. Points for average density within 400 meters of project (metric unit s)

Points bd+c
separate residential and (except core Points bd+c (core
combined density
nonresidential densities and shell) and shell)

square meters per hectare of residential nonresidential


buildable land density (du/hectare) density (Far)

5 050 17.5 0.5 2 2

8 035 30 0.8 3 4

DU = dwelling unit; FAR = floor-area ratio.


sChools only
Physical education spaces that are part of the project site, such as playing fields and associated buildings used
during sporting events only (e.g., concession stands) and playgrounds with play equipment, are excluded from
the development density calculations.

and/or

oPTion 2. diverse uses (12 PoinTs)

Construct or renovate a building or a space within a building such that the buildings main entrance is within a 1/2 mile (800-
meter) walking distance of the main entrance of four to seven (1 point) or eight or more (2 points) existing and publicly available
diverse uses (listed in Appendix 1).

The following restrictions apply.


A use counts as only one type (e.g., a retail store may be counted only once even if it sells products in several categories).
No more than two uses in each use type may be counted (e.g. if five restaurants are within walking distance, only two may be
counted).
The counted uses must represent at least three of the five categories, exclusive of the buildings primary use.

Warehouses and disTribuTion CenTers oPTion 1. develoPMenT and adjaCenCy (23 PoinTs)

Construct or renovate the project on a previously developed site that was used for industrial or commercial purposes (2 points).
or

79

Construct or renovate the project on a site that is both a previously developed and an adjacent site. The adjacent sites
must be currently used for industrial or commercial purposes (3 points).
and/or

oPTion 2. TransPorTaTion resourCes (12 PoinTs)

Construct or renovate the project on a site that has two or three (1 point) or four (2 points) of the following
transportation resources:
The site is within a 10-mile (16 kilometer) driving distance of a main logistics hub, defined as an airport, seaport,
intermodal facility, or freight village with intermodal transportation.
The site is within a 1-mile (1 600-meter) driving distance of an on-off ramp to a highway.
The site is within a 1-mile (1 600-meter) driving distance of an access point to an active freight
rail line. The site is served by an active freight rail spur.

In all cases, a planned transportation resource must be sited, funded, and under construction by the date of the
certificate of occupancy and complete within 24 months of that date..

healThCare

oPTion 1. surroundinG densiTy (1 PoinT)

Locate on a site whose surrounding existing density within a 1/4-mile (400-meter) radius of the project boundary is:
1. At least 7 dwelling units per acre (17.5 DU per hectare) with a 0.5 floor-area ratio. The counted density must be existing
density, not zoned density, or
2. At least 22,000 square feet per acre (5 050 square meters per hectare) of buildable land.
For previously developed existing rural healthcare campus sites, achieve a minimum development density of 30,000 square feet
per acre (6 890 square meters per hectare).
or

oPTion 2. diverse uses (1 PoinT)

Construct or renovate a building on a site such that the buildings main entrance is within a 1/2-mile (800-meter) walking distance
of the main entrance of at least seven operational and publicly accessible uses (listed in Appendix 1).

The following restrictions apply.


A use may be counted as only one type (e.g., a retail store may be counted only once even if it sells products in several
categories).
No more than two uses in each use type may be counted (e.g., if five restaurants are within walking distance, only two may
be counted).
The counted uses must represent at least three of the five categories, exclusive of the buildings primary use.
80
Behind the intent
Because most people prefer to walk no more than a quarter of a mile (400 meters) or five minutes to casual
destinations and no more than half a mile (800 meters) for regular trips such as a daily commute, 1 locating
different kinds of destinations close to each other achieves a long list of documented environmental and social
benefits. For example, doubling residential and nonresidential density reduces the length of vehicular trips and
total air pollution by 30 percent.2 Air particulate levels go down along with greenhouse gas emissions, reducing
transportations climate change effects.3 Furthermore, per capita pedestrian and bicycle injuries and deaths tend
to be fewer in denser neighborhoods with more pedestrians and cyclists, since motorists must drive more slowly
and carefully in these areas. The rate of car collision fatalities goes down, too, as the average length of vehicular
trips grows shorter. Moreover, density improves community members health. As neighborhoods become more
compact, residents who frequently walk, bike, or use transit are more physically fit and less likely to be
overweight.4 One study found that the probability of being overweight falls around 5% for every half-mile (800
meters) walked per day.5 Finally, compact development capitalizes on existing infrastructure, saving money and
resources while more efficiently using land and preserving habitat, farmland, and open space on the urban fringe.
For all those reasons, this credit rewards a project location that is surrounded by existing built density and
within walking distance of a variety of services (uses). The density thresholds correspond to the minimum
densities needed to support bus transit (seven dwelling units per acre, 17.5 DU per hectare) and fixed-rail transit
(12 DU per acre, 30 DU per hectare). Two threshold types are listed, one combining residential and
nonresidential densities, the second separating them. Project teams therefore have flexibility in calculating the
surrounding built density based on the information available to them.
The credit restricts which uses can and cannot count to ensure a diversity of destinations. The more diverse
types of services within walking distance of the project, the more opportunities occupants have to combine their
trips when meeting daily needsfor example, stopping at a dry cleaner on the way to the bank.
In this credit, warehouses and distribution centers have different requirements, reflecting the needs of buildings
devoted to housing goods (and not people). For such projects, proximity to transportation infrastructure matters
more.
84
.

.
86
83

sTeP 2. MaP WalkinG rouTes To uses on a map, label the eligible uses and plot walking routes from the
projects main entrance.
Measure the distance along each walking route to determine whether it meets the credits distance requirements (see figure 1 and LT
Overview, Walking and Bicycling Distances).

Warehouses and disTribuTion CenTers sTeP 1. Choose

ProjeCT loCaTion

select a project location that is a previously developed site used for industrial or commercial purposes, is adjacent to sites
currently used for industrial or commercial purposes, or is close to transportation as outlined in the credit criteria. Determine whether
planned transportation will be applicable to the project. sTeP 2. seleCT one or boTh oPTions select the appropriate option(s) for
the project.
option 1 is for projects located on a previously developed site, with or without adjacency to previous development.
option 2 is for projects sited near transportation resources as identified in the credit criteria.

option 1. development and adjacency


sTeP 1. ConfirM Previous develoPMenT and use
Map the project site, indicating previous development. calculate the percentage of the site that is previously
developed; to be considered a previously developed site, the land area must be 75% previously developed (see
Getting Started, Previous Development). confirm that the site was previously used for commercial or industrial
purposes.

sTeP 2. deTerMine adjaCenT siTe sTaTus, if aPPliCable for an additional point, confirm that the project site is located on
an adjacent site (see Definitions). adjacent sites must be currently used for industrial or commercial purposes. if necessary,
identify the uses of adjacent parcels using zoning maps, parcel maps, or similar resources to confirm their status.

option 2. Transportation resources


sTeP 1. Measure drivinG disTanCes
on a map, plot driving routes from the project to any of the applicable transportation resources identified in the credit criteria.
indicate driving distances to each resource.

sTeP 2. ConfirM CoMPleTion or ConsTruCTion of exisTinG and Planned


TransPorTaTion resourCes
confirm that any transportation resource counted for option 2 (such as a seaport, off-ramp to a highway, or freight rail line) is
completed or will be under construction within 24 months of project completion.
88
Example 1. Residential and nonresidential density calculations
A new commercial building is surrounded by a variety of residential, nonresidential, and mixed-use buildings
within a 1/4 mile (400-meter) radius of the project boundary.
The project developer does not know the size of many of the residential buildings and therefore chooses to do
a separate density calculation for residential and nonresidential densities. A survey of the area provides the
following information:
tablE 2. Land area

building type all types residential nonresidential Mixed-use

130 acres 60 acres 60 acres 10 acres


land area
(53 hectares) (23 hectares) (23 hectares) (4 hectares)

The project determines that 80% of the total mixed-use building floor area is residential and the other 20% is
nonresidential, and allocates the land area proportionally according to Equations 1 and 2:

Mixed-use residential land = 80% x 10 acres = 8 acres

Mixed-use nonresidential land = 20% x 10 acres = 2 acres


tablE 3. Adjusted land area

building
type total residential nonresidential

130 acres
land area
(53 hectares)
60 acres + 8 acres = 68 acres (28 hectares) 60 acres + 2 acres = 62 acres (25 hectares)

There are 680 dwelling units within 1/4 mile (400 meters) (including all residential units in mixed-use
buildings).
The project team calculates density in dwelling units (DU) as follows:

Residential density = 680 Du / 68 acres = 10 Du / acre (24 Du / hectare)

Nonresidential space (including all nonresidential buildings and nonresidential space in mixed-use buildings)
within the radius totals 1,600,000 square feet (148 645 square meters), and the total nonresidential land area is
2,700,720 square feet (250 905 square meters). The team calculates the nonresidential density in floor-area ratio
(FAR) as follows:

nonresidential density = 1,600,000 / 2,700,720 = 0.59 faR (nonresidential density = 148

645 / 250 905 = 0.59 faR)

85

tablE 4. Summary of densities


90

building type total residential nonresidential

130 acres 68 acres 62 acres (25 hectares)


land area
(53 hectares) (28 hectares) 2,700,720 ft2 (250 905 m2)

dwelling units 680 DU

nonresidential
1,600,000 ft2 (148 645 m2)
building space

10 DU/acre
density FAR 0.59
(24 DU/hectare)

Since the density within 1/4 mile (400 meters) is 10 dwelling units per acre (24 dwelling units per
hectare) and the nonresidential FAR is 0.59, the number of points the project earns based on either value
would be 2 points (Table 1).

Example 2. Diversity of uses


A multistory apartment building is within a 1/2-mile (800-meter) walking distance of eight uses in
three categories (Appendix 1).
tablE 5. Summary of uses

category

service Food retail civic and community Facilities total

use type restaurant grocery child care library

number of uses 3 2 1 2 8

Eligible uses 2 2 1 2 7

Only two uses from any one type are eligible, however. Thus, the project team can count only two of the three
restaurants. This leaves seven allowable uses, so the project scores 1 point.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
all bd+c except Warehouses and
distribution centers option 1 option 2

Area plan or map showing project site and location of existing residential and non-residential buildings
within -mile (400-meter) radius of project site X

Description of the previous development on the site X

Area plan or map showing project site, location and type of each use, and walking routes X
Warehouses and distribution centers option 1 option 2

Area plan or map showing project site, its previous development, and (if applicable) industrial or
commercial properties adjacent to project site X

Area plan or map showing project site, location and type of transportation resources, and driving
X
distance to each

If planned transportation resources are counted, verification that they will be funded and under
construction by date of certificate of occupancy and complete within two years of that date X

relaTed CrediT TiPs


LT Credit High-Priority Site. Projects located in an infill site to meet Option 1 of the related credit may have
better access to nearby uses and may find it easier to meet the densities required for this credit. Projects located
in a priority designation site to meet Option 2 of the related credit may find high surrounding density, since the
priority sites are often in urban locations.

LT Credit Access to Quality Transit. High-density areas are more likely to be served by transit. Density levels
required to support transit services correspond to each density threshold in Option 1 of this credit.

ChanGes froM leed 2009


Points have been redistributed such that the credits full value can be earned only if the requirements for
both Options 1 and 2 are met.
For all rating systems except Healthcare, there are now two thresholds for each option.
There are now thresholds for separate residential and nonresidential densities.
Specific requirements for warehouses and distribution centers have been added.
The radius for building density calculation is now specified as 1/4 mile (400 meters) from the project
boundary.
Proximity to the diverse uses is now based on walking distance instead of a radius.
Additional restrictions have been added to stipulate how diverse uses can be counted.

referenCed sTandards
None.
87

exeMPlary PerforManCe
Not available.

definiTions
adjacent site a site having at least a continuous 25% of its boundary bordering parcels that are
previously developed sites. Only consider bordering parcels, not intervening rights-of-way. Any
fraction of the boundary that borders a water body is excluded from the calculation.
92
buildable land the portion of the site where construction can occur, including land voluntarily set
aside and not constructed on. When used in density calculations, buildable land excludes public
rights-of-way and land excluded from development by codified law.

density a measure of the total building floor area or dwelling units on a parcel of land relative
to the buildable land of that parcel. Units for measuring density may differ according to credit
requirements. Does not include structured parking.

diverse use a distinct, officially recognized business, nonprofit, civic, religious, or governmental
organization, or dwelling units (residential use) or offices (commercial office use). It has a
stationary postal address and is publicly available. It does not include automated facilities such as
ATMs, vending machines, and touchscreens.

floor-area ratio (FAR) the density of nonresidential land use, exclusive of parking, measured as the total
nonresidential building floor area divided by the total buildable land area available for nonresidential structures.
For example, on a site with 10,000 square feet (930 square meters) of buildable land area, an FAR of 1.0 would
be 10,000 square feet (930 square meters) of building floor area. On the same site, an FAR of 1.5 would be
15,000 square feet
(1395 square meters), an FAR of 2.0 would be 20,000 square feet (1860 square meters), and an FAR of 0.5
would be 5,000 square feet (465 square meters).

freight village a cluster of freight-related businesses that include intermodal transfer operations. Freight
villages may offer logistics services, integrated distribution, warehousing capabilities, showrooms, and support
services. Such support services may include security, maintenance, mail, banking, customs and import
management assistance, cafeterias, restaurants, office space, conference rooms, hotels, and public or activity
center transportation.

highway a transportation thoroughfare intended for motor vehicles with limited access points, prohibitions on
human-powered vehicles, and higher speeds than local roads. A highway generally connects cities and towns.

intermodal facility a venue for the movement of goods in a single loading unit or road vehicle that uses
successively two or more modes of transportation without the need to handle the goods themselves

previously developed altered by paving, construction, and/or land use that would typically have required
regulatory permitting to have been initiated (alterations may exist now or in the past). Land that is not
previously developed and landscapes altered by current or historical clearing or filling, agricultural or forestry
use, or preserved natural area use are considered undeveloped land. The date of previous development permit
issuance constitutes the date of previous development, but permit issuance in itself does not constitute previous
development.

previously developed site a site that, prior to the project, consisted of at least 75% previously developed land
loCaTion and TransPorTaTion CrediT

access to
Quality transit
this credit applies to:
new Construction (15 points) Warehouses and distribution Centers (1-5 points)
Core and shell (16 points) hospitality (1-5 points)
schools (14 points) retail (1-5 points) data Centers (1-5
points) healthcare (1-2 points)

inTenT

to encourage development in locations shown to have multimodal transportation


choices or otherwise reduced motor vehicle use, thereby reducing greenhouse gas
emissions, air pollution, and other environmental and public health harms
associated with motor vehicle use.

requireMenTs
neW ConsTruCTion, Core and shell, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

Locate any functional entry of the project within a 1/4-mile (400-meter) walking distance of existing or
planned bus, streetcar, or rideshare stops, or within a 1/2-mile (800-meter) walking distance of existing
or planned bus rapid transit stops, light or heavy rail stations, commuter rail stations, or commuter
ferry terminals. The transit service at those stops and stations in aggregate must meet the minimums
listed in Tables 1 and 2. Planned stops and stations may count if they are sited, funded, and under
construction by the date of the certificate of occupancy and are complete within 24 months of that date.

Both weekday and weekend trip minimums must be met.


Qualifying transit routes must have paired route service (service in opposite directions).
For each qualifying transit route, only trips in one direction are counted towards the threshold.
If a qualifying transit route has multiple stops within the required walking distance, only trips from
one stop are counted towards the threshold.
tablE 1. Minimum daily transit service for projects with multiple transit types (bus, streetcar, rail, or ferry)

Points bd+c (except Points bd+c (core


Weekday trips Weekend trips core and shell) and shell)

72 40 1 1

144 108 3 3

360 216 5 6

tablE 2. Minimum daily transit service for projects with commuter rail or ferry service only
94
Weekday trips Weekend trips Points (all Projects)

24 6 1

40 8 2

60 12 3

Projects served by two or more transit routes such that no one route provides more than 60% of the documented
levels may earn one additional point, up to the maximum number of points.
If existing transit service is temporarily rerouted outside the required distances for less than two years, the
project may meet the requirements, provided the local transit agency has committed to restoring the routes with
service at or above the prior level.

sChools

oPTion 1. TransiT-served loCaTion (14 PoinTs)

Locate any functional entry of the project within a 1/4-mile (400-meter) walking distance of existing or planned
bus, streetcar, or rideshare stops, or within a 1/2-mile (800-meter) walking distance of existing or planned bus
rapid transit stops, light or heavy rail stations, commuter rail stations or commuter ferry terminals. The transit
service at those stops and stations must meet the minimums listed in Tables 1 and 2. Planned stops and stations
may count if they are sited, funded, and under construction by the date of the certificate of occupancy and are
complete within 24 months of that date.
Qualifying transit routes must have paired route service (service in opposite directions).
For each qualifying transit route, only trips in one direction are counted towards the threshold.
If a qualifying transit route has multiple stops within the required walking distance, only trips from one
stop are counted towards the threshold.

tablE 1. Minimum daily transit service for projects with multiple transit
types (bus, streetcar, rail, or ferry)

Weekday trips Points

72 1

144 2

360 4

tablE 2. Minimum daily transit service for projects with commuter rail
or ferry service only

Weekday trips Points

24 1

40 2

60 3
95
Projects served by two or more transit routes such that no one route provides more than 60% of the prescribed
levels may earn one additional point, up to the maximum number of points.
If existing transit service is temporarily rerouted outside the required distances for less than two years, the
project may meet the requirements, provided the local transit agency has committed to restoring the routes with
service at or above the prior level.
or

oPTion 2. PedesTrian aCCess (14 PoinTs)

Show that the project has an attendance boundary such that the specified percentages of students live within no
more than a 3/4-mile (1200-meter) walking distance (for grades 8 and below, or ages 14 and below), and 1 1/2-
mile (2400-meter) walking distance (for grades 9 and above or ages 15 and above) of a functional entry of a
school building. Points are awarded according to Table 3.
tablE 3. Points for student population within walking distance

Percentage of students Points

50% 1

60% 2

70% or more 4

In addition, locate the project on a site that allows pedestrian access to the site from all residential
neighborhoods that house the planned student population.

healThCare

Locate any functional entry of the project within a 1/4-mile (400-meter) walking distance of existing or planned
bus, streetcar, or rideshare stops, or within a 1/2-mile (800-meter) walking distance of existing or planned bus
rapid transit stops, light or heavy rail stations, commuter rail stations or commuter ferry terminals. The transit
service at those stops and stations in aggregate must meet the minimums listed in Tables 1 and 2. Planned stops
and stations may count if they are sited, funded, and under construction by the date of the certificate of
occupancy and are complete within 24 months of that date.

Both weekday and weekend trip minimums must be met.


Qualifying transit routes must have paired route service (service in opposite directions).
For each qualifying transit route, only trips in one direction are counted towards the threshold.
If a qualifying transit route has multiple stops within the required walking distance, only trips from one
stop are counted towards the threshold.

tablE 1. Minimum daily transit service for projects with multiple transit types (bus, streetcar, rail, or ferry)

Weekday trips Weekend trips Points

72 40 1

144 108 2

tablE 2. Minimum daily transit service for projects with commuter rail or ferry service only

Weekday trips Weekend trips Points

24 6 1
96

40 8 2

Projects served by two or more transit routes such that no one route provides more than 60% of the prescribed
levels may earn one additional point, up to the maximum number of points.
If existing transit service is temporarily rerouted outside the required distances for less than two years, the
project may meet the requirements, provided the local transit agency has committed to restoring the routes with
service at or above the prior level.
97

behind The inTenT


Compact, walkable communities located near transit provide alternatives to driving that benefit the environment
as well as the health and well-being of the community. Access to transit is particularly beneficial for young
people, the elderly, and people who cannot afford to own cars.
Nearly all forms of public transit create fewer greenhouse gas emissions per passenger than single-
occupancy vehicles. Developments in areas near existing transit also consume less land than low-density, auto-
oriented growth, reducing conversion of farmland and open spaces into built development. Investment in transit-
oriented development, a proven strategy for revitalizing downtowns and declining urban neighborhoods, brings
a city roughly twice the economic benefit as would result from the same monetary investment in highways.1
Transit-oriented development locations support transit services by boosting ridership, while project
occupants enjoy access to public transportation. Projects that are within walking distance of multiple transit
routes will further encourage occupants and visitors to use public transportation. Schools should provide
pedestrian and bicycle access to transit or be sited in a neighborhood to reduce busing.

sTeP-by-sTeP GuidanCe

neW ConsTruCTion, Core and shell, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy, and healThCare

sTeP 1. idenTify TransiT sToPs WiThin 1/2 Mile (800 MeTers)


on a site map, identify the location of any transit stops that appear to be within 1/2 mile (800 meters) of the project.
Existing, temporarily rerouted, or planned stops may be eligible, provided they meet the credit requirements for each
situation.
Projects counting planned or temporarily rerouted service must provide documentation from the transit authority indicating
that the criteria will be met for those stops.

sTeP 2. Classify TransiT based on vehiCle TyPes


identify the type of transit vehicles that serve each transit stop, which could include bus, streetcar, bus rapid transit (BRt), rail,
or ferry.
classify the identified transit stops by transit vehicle type (e.g., bus, streetcar, rail).
transit stops for bus, streetcar, or rideshare between the 1/4-mile (400-meter) and 1/2-mile (800-meter) distance do not
contribute to credit compliance.

sTeP 3. ConfirM WalkabiliTy


Plot walking routes and distances from transit stops to the project buildings nearest functional entry (see figure 1 and LT
Overview, Walking and Bicycling Distance).
confirm that each functional entry is located with the required walking distance of one or more transit stops, according to the
maximum distances outlined in the credit requirements.
Each point at which a transit vehicle stops to receive or discharge passengers is considered a separate stop; this includes stops
facing each other on opposite sides of a street. if a route has two separate stops to serve each direction (e.g., on opposite
sides of a street or on separated, one-way streets), choose one stop from which to measure the distance to that route.
any transit stop reaching any functional entry of the project within the specified distance can be counted toward the credit.
therefore, different stops within walking distances of different functional entries may count, provided they meet the credit
requirements.

1. Newman, P., and J. Kenworthy, Sustainability


and Cities: Overcoming Automobile Dependence
(Washington, DC: Island Press, 1999).
98
99

sChools

sTeP 1. seleCT one oPTion select one of the


two options.
option 1 is for projects whose students primarily live beyond walking distance.
option 2 is appropriate for schools whose students live within walking distance, with an attendance boundary clearly
demarcated by the school authority.

sTeP 2. Provide PedesTrian and biCyCle aCCess To TransiT


Design the site with pedestrian and bicycle paths that extend to at least the school property line to ensure that students,
faculty, and staff have safe, direct access to transit facilities (option 1) or that students can safely travel to and from their homes
(option 2).

option 1. Transit-served location


follow the steps listed above for the other BD+c rating systems.

option 2. Pedestrian access


sTeP 1. delineaTe aPPliCable Walkshed boundary
create a walkshed boundary using mapping software (Gis or caD) to indicate the areas within a 3/4-mile (1200-
meter) walk (for young students, as defined in the credit requirements) or a 1 1/2-mile (2400-meter) walk (for older
students).

sTeP 2. deTerMine share of sTudenTs WiThin Walkshed boundary


compare the walkshed boundary with the attendance boundary map for the school. the attendance boundary map or
accompanying analysis generally indicates where concentrations of students live (or are anticipated to live), without
indicating precise addresses. using this information, estimate the required percentage of students who live within the
particular walkshed boundary.

The project, a 75-unit apartment building pursuing BD+C: New Construction, has two functional building
entries. A light rail stop is within a 1/4-mile (400-meter) walking distance of one of the functional building
entries. A commuter rail station is within a 1/2-mile (800-meter) walking distance of the other functional
building entry. This project meets the walkability requirement.
Both the light rail station and the commuter rail station have service in both directions. To determine the
number of trips, the project team counts service in one direction and summarizes the service available at the
eligible stops (Table 4).
100

tablE 4. Example transit service summary

Weekday Weekend day a Weekend day b Weekend average

Light rail 80 60 54 57

Commuter rail 25 10 10 10

Total 105 67

Point threshold 1 1

Because it has both light rail and commuter rail service, the project earns 1 point (Table 1).
The project team determines that the light rail provides more than 60% of the accessible transit (Table 5).
The bonus point for having no service that exceeds 60% is therefore unavailable.

tablE 5. Route diversity

Weekday trips average Weekend trips total

Light rail 80 57 137 (80% of trips)

Commuter rail 25 10 32 (20% of trips)

Total service 105 67 172

ProjeCT TyPe variaTions


For government projects with security restrictions (e.g., military), on-site mass transit can be used to document
credit compliance. Transit service outside secured entrances may contribute to credit compliance, provided it is
within the required walking distance (based on mode type) of a stop along the on-site mass transit service.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

schools schools
documentation all Projects
option 1 option 2

Map showing project, project boundary, transit stop locations, and walking
X X
routes and distances to those stops

Timetables or other service-level documentation X X

If applicable, documentation of planned transit or restoration of temporarily


X X
rerouted service
101

Map showing walkshed boundary X

relaTed CrediT TiPs


LT Credit Bicycle Facilities. For schools, bicycle lanes designed to comply with the related credit may be
extended to transit facility locations to meet the dedicated lane requirement for this credit.

ChanGes froM leed 2009


Transit service frequency is now included in the credit requirements.
Access is now measured by walking distance to functional building entries.
The credit now addresses both weekday and weekend availability.
Point thresholds are now based on the number of transit trips available within the required walking distance.
Modes of transportation have been expanded to include ferry, streetcar, bus rapid transit, and rideshare.
For Schools projects, Option 2 Pedestrian Access now includes a tiered point system based on the
percentage of students within the walkable attendance area.
Private shuttles cannot be used to comply with the requirement.

referenCed sTandards
None.

exeMPlary PerforManCe
Double the highest transit service point threshold (except for Schools projects using Option 2).
definiTions
attendance boundary the limits used by school districts to determine what school students attend based on
where they live

bus rapid transit an enhanced bus system that operates on exclusive bus lanes or other transit rights-of-way.
The system is designed to combine the flexibility of buses with the efficiency of rail.

functional entry a building opening designed to be used by pedestrians and open during regular business hours.
It does not include any door exclusively designated as an emergency exit, or a garage door not designed as a
pedestrian entrance.

light rail transit service using two- or three-car trains in a right-of-way that is often separated from other traffic
modes. Spacing between stations tends to be 1/2 mile (800 meters) or more, and maximum operating speeds are
typically 4055 mph (6590 kmh). Light-rail corridors typically extend 10 or more miles (16 kilometers).

rideshare a transit service in which individuals travel together in a passenger car or small van that seats at least
four people. It can include human-powered conveyances, which must accommodate at least two people. It must
include an enclosed passenger seating area, fixed route service, fixed fare structure, regular operation, and the
ability to pick up multiple riders.
102
streetcar a transit service with small, individual rail cars. Spacing between stations is uniformly short and
ranges from every block to 1/4 mile (400 meters), and operating speeds are primarily 1030 mph (1550 kmh).
Streetcar routes typically extend 25 miles (3-8 kilometers).

walking distance the distance that a pedestrian must travel between origins and destinations without
obstruction, in a safe and comfortable environment on a continuous network of sidewalks, all weather-surface
footpaths, crosswalks, or equivalent pedestrian facilities. The walking distance must be drawn from an entrance
that is accessible to all building users.
loCaTion and TransPorTaTion CrediT

Bicycle facilities
this credit applies to:
new Construction (1 point) Warehouses and distribution Centers (1
Core and shell (1 point) point) hospitality (1 point) retail (1 point)
schools (1 point) data healthcare (1 point)
Centers (1 point)

inTenT

to promote bicycling and transportation efficiency and reduce vehicle


distance traveled. to improve public health by encouraging utilitarian
and recreational physical activity.

requireMenTs
neW ConsTruCTion, Core and shell, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

bicycle network
Design or locate the project such that a functional entry or bicycle storage is within a 200-yard (180-meter)
walking distance or bicycling distance from a bicycle network that connects to at least one of the following:
at least 10 diverse uses (see Appendix 1);
a school or employment center, if the project total floor area is 50% or more residential; or
a bus rapid transit stop, light or heavy rail station, commuter rail station, or ferry terminal.
All destinations must be within a 3-mile (4800-meter) bicycling distance of the project boundary.
Planned bicycle trails or lanes may be counted if they are fully funded by the date of the certificate of
occupancy and are scheduled for completion within one year of that date.
bicycle storage and shower rooms
Case 1. Commercial or institutional Projects
Provide short-term bicycle storage for at least 2.5% of all peak visitors, but no fewer than four storage spaces
per building.
Provide long-term bicycle storage for at least 5% of all regular building occupants, but no fewer than four
storage spaces per building in addition to the short-term bicycle storage spaces.
Provide at least one on-site shower with changing facility for the first 100 regular building occupants and one
additional shower for every 150 regular building occupants thereafter.

Case 2. residential Projects


Provide short-term bicycle storage for at least 2.5% of all peak visitors but no fewer than four storage spaces
per building.
Provide long-term bicycle storage for at least 30% of all regular building occupants, but no less than one
storage space per residentialunit.

Case 3. Mixed-use Projects


Meet the Case 1 and Case 2 storage requirements for the nonresidential and residential portions of the project,
respectively.

for all ProjeCTs


Short-term bicycle storage must be within 100 feet (30 meters) walking distance of any main entrance. Long-term
bicycle storage must be within 100 feet (30 meters) walking distance of any functional entry.
Bicycle storage capacity may not be double-counted: storage that is fully allocated to the occupants of
nonproject facilities cannot also serve project occupants.
Core and Shell projects should refer to Appendix 2, Default Occupancy Counts, for occupancy count
requirements and guidance.

sChools

bicycle network
Design or locate the project such that a functional entry and/or bicycle storage is within a 200-yard (180-meter)
walking distance or bicycling distance of a bicycle network that connects to at least one of the following:
at least 10 diverse uses (see Appendix 1); or
a bus rapid transit stop, light or heavy rail station, commuter rail station, or ferry terminal.
All destinations must be within a 3-mile (4800-meter) bicycling distance of the project boundary.
Provide dedicated bicycle lanes that extend at least to the end of the school property with no barriers
(e.g., fences) on school property.
Planned bicycle trails or lanes may be counted if they are fully funded by the date of the certificate of
occupancy and are scheduled for completion within one year of that date.

bicycle storage and shower rooms


Provide long-term bicycle storage for at least 5% of all regular building occupants (excluding students grade 3 and
younger), but no fewer than four storage spaces per building.
Provide at least one on-site shower with changing facility for the first 100 regular building occupants
(excluding students) and one additional shower for every 150 regular building occupants (excluding students)
thereafter.
Long-term storage spaces must be easily accessible to occupants and be within 100 feet (30 meters) walking
distance of any main entrance.
Bicycle storage capacity may not be double-counted: storage that is fully allocated to the occupants of
nonproject facilities cannot also serve project occupants.

reTail

bicycle network
Design or locate the project such that a functional entry and/or bicycle storage is within a 200-yard (180-meter)
walking distance or bicycling distance of a bicycle network that connects to at least one of the following:
at least 10 diverse uses (see Appendix 1); or
a bus rapid transit stop, light or heavy rail station, commuter rail station, or ferry terminal.
All destinations must be within a 3-mile (4800-meter) bicycling distance of the project boundary.
Planned bicycle trails or lanes may be counted if they are fully funded by the date of the certificate of
occupancy and are scheduled for completion within one year of that date.

bicycle storage and shower rooms


Provide at least two short-term bicycle storage spaces for every 5,000 square feet (465 square meters), but no fewer
than two storage spaces per building.
Provide long-term bicycle storage for at least 5% of regular building occupants, but no fewer than two storage
spaces per building in addition to the short-term bicycle storage spaces.
105

Provide at least one on-site shower with changing facility for the first 100 regular building occupants and one
additional shower for every 150 regular building occupants thereafter.
Short-term bicycle storage must be within 100 feet (30 meters) walking distance of any main entrance.
Longterm bicycle storage must be within 100 feet (30 meters) walking distance of any functional entry.
Bicycle storage capacity may not be double-counted: storage that is fully allocated to the occupants of
nonproject facilities cannot also serve project occupants.
Provide a bicycle maintenance program for employees or bicycle route assistance for employees and customers.
Route assistance must be provided in a manner easily accessible to both employees and customers.
For projects that are part of a multitenant complex only: If bicycle storage spaces have been provided in the
complex in which the project is located, determine the number of spaces that may be attributed to the project by
dividing the projects floor area by the total floor area of the development (buildings only) and multiplying the
percentage result by the total number of spaces. If this number does not meet the credit requirement, the project
must provide additional bicycle storage.

healThCare

bicycle network
Design or locate the project such that a functional entry and/or bicycle storage is within a 200-yard (180-meter)
walking distance or bicycling distance of a bicycle network that connects to at least one of the following:
at least 10 diverse uses (see Appendix 1); or
a bus rapid transit stop, light or heavy rail station, commuter rail station, or ferry terminal.
All destinations must be within a 3-mile (4800-meter) bicycling distance of the project boundary.
Planned bicycle trails or lanes may be counted if they are fully funded by the date of the certificate of
occupancy and are scheduled for completion within one year of that date.
bicycle storage and shower rooms
Case 1. Commercial or institutional Projects
Provide short-term bicycle storage for at least 2.5% of all peak visitors, but no fewer than four storage spaces
per building.
Provide long-term bicycle storage for at least 5% of regular building occupants (excluding patients), but
no fewer than four storage spaces per building in addition to the short-term bicycle storage spaces.
Provide at least one on-site shower with changing facility for the first 100 regular building occupants
(excluding patients) and one additional shower for every 150 regular building occupants thereafter.

Case 2. residential Projects


Provide secure, enclosed bicycle storage for at least 30% of all regular building occupants (excluding patients)
measured at peak periods, but no less than one storage space per residential unit.

for all ProjeCTs


Short-term bicycle storage must be within 100 feet (30 meters) walking distance of any main entrance. Long-term
bicycle storage must be within 100 feet (30 meters) walking distance of any functional entry.
Bicycle storage capacity may not be double counted: storage that is fully allocated to the occupants of
nonproject facilities cannot also serve project occupants.
behind The inTenT
Bicycling offers many individual and global benefits. For every mile (1 600 meters) pedaled rather than driven,
nearly 1 pound (450 grams) of carbon dioxide (CO 2) emissions is avoided.1 People who shift from car to bicycle
use for short trips extend their lives by an estimated three to 14 months, gaining such health benefits as a lower
risk of cardiovascular disease.2 Planners and developers whose investments support bicycling as a transportation
option often win political and popular support.3
To promote bicycle-friendly design, this credit rewards two things: the provision of long- and short-term
bicycle storage, and access to a bicycle network (paths, trails, designated bike lanes, and slow-speed
roadways). Short-term and long-term bicycle storage capacity is considered separately because visitors and
regular occupants have different bicycle storage needs. For residential spaces, long-term storage must be
provided in an area outside individual dwelling units, because having to carry a bicycle into a living space is
inconvenient and discourages bicycle use. Finally, being adjacent to a bicycle network means that building
occupants can more easily bicycle to and from the building. The route destinations emphasize the role of
bicycles for travel to and from home, work, and errands, as well as to other transportation modes such as transit.

sTeP-by-sTeP GuidanCe

sTeP 1. idenTify biCyCle neTWork and eliGible desTinaTions obtain or create a map of bicycle networks in the
area surrounding potential project locations.
survey and map schools, employment centers, transit stops, and other eligible uses (appendix 1).
a bicycle network is defined to include, in any combination, demarcated bike lanes, bike trails, and streets with a maximum
speed limit of 25 mph (40 kph). Both bike lanes and bike trails must meet the credits width requirements.
for differences in eligible destinations for specific project types, see Further Explanation, Rating System Variations.

sTeP 2. seleCT bike-friendly ProjeCT loCaTion


Locate the project close to an existing or planned bicycle network that meets credit requirements for uses within the specified
distance from the project boundary (see figure 1 and LT Overview, Walking and Bicycling Distance).
the bicycle route connecting the project to the qualifying uses may include any combination of trails, bike lanes, and
slow-speed streets, provided the total distance traveled is less than 3 miles (5 kilometers).
for planned bicycle trails or lanes, confirm the schedule for funding and completion.

sTeP 3. GaTher oCCuPanT CounT inforMaTion


Determine the number of expected regular occupants in the building (see Further Explanation, Rating System Variations,
and Getting Started, Occupancy, on which building users to include in calculations).
for all rating systems except schools and Retail, also determine the number of expected peak visitors.
for mixed-use projects in all rating systems except schools, Retail, and healthcare, identify the project spaces as residential
versus commercial or institutional and total the number of regular building occupants in each space type.
Projects with commercial-institutional space or residential space totaling less than 10% of the total building floor area may follow
the requirements of the predominant use, at the discretion of the project team.

1. U.S. Environmental Protection Agency, Light-Duty Automotive Technology, Carbon Dioxide Emissions, and
Fuel Economy Trends: 1975 through 2012, epa.gov/OMSWWW/fetrends.htm#summary
(accessed June 10, 2013).
2. de Hartog, J.J., H. Boogaard, H. Nijland, and G. Hoek, Do the
Health Benefits of Cycling Outweigh the Risks? Environmental Health Perspectives
118(8) (2010).
3. Royal, D., and D. Miller-Steiger, National Survey of Bicyclist and Pedestrian
Attitudes and Behavior (National Highway Traffic Safety Administration, 2008),
nhtsa.gov/DOT/NHTSA/Traffic%20Injury%20Control/.../810972.pdf (accessed June 10, 2013).
107
Equation 4. Retail short-term bicycle storage

Short-term bicycle storage = (2 [Building floor area (ft2)/ 5000])


OR

Short-term bicycle storage = (2 [Building floor area (m2)/ 465])

for all rating systems except schools and Retail, calculate the number of required short-term and long-term bicycle spaces.
for commercial or institutional spaces in the project, follow Equations 1 and 2. at least four shortterm storage spaces and four
long-term spaces are required.
for residential spaces in the project, follow Equations 1 and 3. at least four short-term storage spaces are required per
building, and at least one long-term storage space is required per dwelling unit.
for schools, calculate the number of required long-term bicycle spaces by following Equation 2 above.
short-term bicycle storage is not required.
for Retail, calculate the number of required long-term (Equation 2) and short-term (Equation 4) bicycle spaces. short-term bicycle
storage is based on total building floor area.
the following conditions apply to all calculations for short- and long-term bicycle storage:
Results must be rounded up to the nearest whole number.
storage spaces must be devoted to the project pursuing LEED certification and cannot be doublecounted. for example, a
project team may not count the storage of a nearby building toward its own storage requirements if that storage is already
used by the other buildings occupants. in addition, if any non-LEED project occupants have access to the storage, then either
sufficient spaces must be provided for all occupants with access to amenities or the storage must be designated for the
occupants of the LEED project only.
for mixed-use buildings, identify nonresidential and residential portions of the building and meet the applicable storage
requirements for each space type based on prorated occupancy (see Further Explanation, Example, Mixed-Use Building).

sTeP 5. deTerMine nuMber of shoWer and ChanGinG faCiliTies required


for all rating systems except schools, use Equation 5 to determine the number of showers with changing facilities required and
incorporate these facilities into the project design (see Further Explanation, Rating System Variations).

Equation 5. Shower facilities

If regular building occupants 100, Shower facilities = 1

Regular building occupants - 100


If regular building occupants > 100, Shower facilities = 1 +
150

00
Results must be rounded up to the next whole number. for projects with 100 or fewer regular building occupants, only one
shower is required.
showers are required for commercial or institutional spaces only. for residential spaces, no additional showers are required
beyond those provided inside dwelling units.
Projects with hotel guests may exclude these occupants from shower calculations.
if space for shower and changing facilities is limited, free access to on-site shower facilities or health club shower facilities within
the LEED project boundary may be provided to all occupants in lieu of inhouse facilities. health club or shower facilities must be
accessible to occupants without their having to go outdoors and available during the projects hours of operation.
for mixed-use buildings, identify the nonresidential portions of the building and meet the applicable shower and changing facility
requirements for this space type based on prorated occupancy (see Further Explanation, Example, Mixed-Use Building).
109
Bicycle racks should reflect best practices in design and installation. For example, the rack should support the
bicycle in at least two places, to keep it from falling over, and allow the owner to lock both the bicycle frame
and one or both wheels with a U-lock. The rack must be securely anchored and resistant to cutting, rusting,
bending, and other deformation. exaMPles
Example 1. Large retail building
A 30,000-square-foot (2 800 square-meter) retail building project pursuing Retail has met the bicycle network
requirement by being within 3 miles (5 kilometers) bicycling distance of 10 diverse uses on a bicycle
network. The building will have 31 full-time employees plus 18 part-time employees who each work 20
hours per week. To determine the number of bicycle storage and shower and changing facilities required, the
team calculates regular building occupants for the building (see Getting Started, Occupancy):

(18 part-time employees 4 hours per day)


31 full-time employees += 40 regular building occupants
8 hours per day

The team uses Equation 4 to determine the number of short-term bicycle storage spaces:
2 [30,000 ft2 / 5,000] = 12 spaces

Equation 2 yields the number of long-term bicycle storage spaces:

40 regular building occupants 0.05 = 2 spaces

Because the project has fewer than 100 regular building occupants, only one shower is required.

Example 2. Residential apartment building


An 80-unit apartment building has 200 residents, no employees, and 150 peak visitors. The building meets the
bicycle network requirement by being adjacent to an existing 2.5-mile (4-kilometer) bicycle network that connects
to a school and a jobs center. The team uses Equation 1 to determine number of short-term bicycle storage
facilities required:

150 visitors 0.025 = 3.75, rounded to 4 spaces

Equation 3 determines the number of long-term bicycle storage spaces:

200 residents 0.30 = 60 spaces


That result is less than one space for each of the 80 units (80 spaces), however. The credit requires that the project
use the greater of the two results, so the team installs 80 long-term storage spaces in addition to the four short-term
storage spaces.

Example 3. Mixed-use building with residential, commercial, and retail


A 500,000-square-foot (46 500-square-meter) mixed-use building pursuing BD+C: New Construction includes
retail, office, and residential space. The retail component consists of 50,000 square feet (4 650 square meters) and
has 10 employees and 30 peak visitors. The office component has 92 regular building occupants with 10 peak
visitors. The residential component includes 15 units and has 20 residents with 15 peak visitors. The building
meets the bicycle network requirement by being adjacent to an existing 4-mile (6-kilometer) bicycle network that
connects to 15 diverse uses within 3 miles (5 kilometers) bicycling distance of the project boundary.
111

The project team uses Equation 5 to determine the required number of shower facilities for the nonresidential
portion of the building. Following this equation, at least one shower is needed for up to 100 regular building
occupants, a second shower is needed from 100 to 250 regular building occupants, and so on. The aggregate
nonresidential space in this building has a total of 102 regular building occupants, so two showers are required.
These showers are placed so that they are accessible to both retail and office occupants.

The team then uses Equations 1 and 2 to determine short- and long-term bicycle storage spaces for the
nonresidential portion of the building:

30 + 10 peak visitors = 40 peak visitors 0.025 = 1 short-term space

102 regular building occupants 0.05 = 5.1, rounded to 6 long-term spaces

Equations 1 and 3 determine the number of short- and long-term bicycle storage spaces for the residential portion of
the building:

15 peak visitors 0.025 = 0.375, rounded to 1 short-term space

20 residents 0.30 = 6 long-term spaces

That result is less than one space for each of the 15 units (15 spaces), however. The credit requires that the project
use the greater of the two results, so the team installs 15 long-term storage spaces.
The required short-term bicycle storage totals two spaces, which are placed 80 feet (20 meters) from the main
building entrance. Long-term bicycle storage totals 21 spaces and is placed in the parking garage within 100 feet (30
meters) of an entrance to the building.

raTinG sysTeM variaTions


New Construction, Core and Shell, Data Centers, Warehouses and Distribution Centers, Hospitality
At least four short-term and four long-term spaces are required.

Schools
At least four long-term spaces are required; short-term bicycle storage is not required. Regular building occupant
calculations for long-term bicycle storage include staff and all full-time students in grade 4 and above (or a local
equivalent class year for students aged 10 and older).

Regular building occupant calculations for shower facilities do not include students.

Employment centers and other schools are not qualifying bicycle network destinations.

Bicycle lanes from the school property entrance to school building entrances are required.

Retail
At least two short-term and two long-term spaces are required. Short-term spaces are based on building floor area,
per Equation 4.

Regular building occupant calculations include employees only.

Employment centers are not a qualifying bicycle network destination.


112

A bicycle maintenance or route assistance program is required. See Further Explanation, Example 1.
Healthcare
At least four short-term and four long-term spaces are required.

Residential spaces with nonbicycling occupants (e.g., assisted living facilities) may exclude a specified number of
occupants from the bicycle storage requirement calculation, provided the team demonstrates that these occupants
are physically incapable of bicycling.

Employment centers and schools are not qualifying bicycle network destinations.

CaMPus
Group Approach
All buildings in the group may be documented as one. Measure distances from the farthest building.

Campus Approach
Eligible.

required doCuMenTaTion

new construction,
core and shell, data centers,
documentation Warehouses and distribution schools retail
centers, hospitality, healthcare

Vicinity map showing bicycle network and route and distance


along network to eligible destination(s) X X X

Site plan showing bicycle storage locations X X

Site plan showing bicycle storage location with walking route to


main entrance and bicycling route to school boundary X

Calculations for storage and shower facilities X X X

Description of programs to support bicycle use X

relaTed CrediT TiPs


LT Credit Surrounding Density and Diverse Uses. A project in close proximity to 10 diverse uses under the
related credit may apply those uses to the requirements for this credit, provided they are located on a bicycle
network that meets this credits requirements.
113

ChanGes froM leed 2009


Requirements for proximity to a bicycle network have been added.
Separate short- and long-term bicycle storage requirements have been
created. The shower room calculation method has changed.
referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
bicycling distance the distance that a bicyclist must travel between origins and destinations, the entirety of which
must be on a bicycle network bicycle network a continuous network consisting of any combination of the
following:
off-street bicycle paths or trails at least 8 feet (2.5 meters) wide for a two-way path and at least 5 feet
(1.5 meters) wide for a one-way path
physically designated on-street bicycle lanes at least 5 feet (1.5 meters) wide
streets designed for a target speed of 25 mph (40 kmh) bus rapid transit an enhanced bus system that
operates on exclusive bus lanes or other transit rights-of-way. The system is designed to combine the flexibility of
buses with the efficiency of rail.

diverse use a distinct, officially recognized business, nonprofit, civic, religious, or governmental organization, or
dwelling units (residential use) or offices (commercial office use). It has a stationary postal address and is publicly
available. It does not include automated facilities such as ATMs, vending machines, and touchscreens.

employment center a nonresidential area of at least 5 acres (2 hectares) with a job density of at least 50 employees
per net acre (at least 125 employees per hectare net)

functional entry a building opening designed to be used by pedestrians and open during regular business hours. It
does not include any door exclusively designated as an emergency exit, or a garage door not designed as a
pedestrian entrance.

light rail transit service using two- or three-car trains in a right-of-way that is often separated from other traffic
modes. Spacing between stations tends to be 1/2 mile (800 meters) or more, and maximum operating speeds are
typically 4055 mph (6590 kmh). Light-rail corridors typically extend 10 or more miles (16 kilometers).

long-term bicycle storage bicycle parking that is easily accessible to residents and employees and covered to
protect bicycles from rain and snow
114

short-term bicycle storage non-enclosed bicycle parking typically used by visitors for a period of two hours or less
walking distance the distance that a pedestrian must travel between origins and destinations without obstruction, in
a safe and comfortable environment on a continuous network of sidewalks, all weather-surface footpaths,
crosswalks, or equivalent pedestrian facilities. The walking distance must be drawn from an entrance that is
accessible to all building users.
loCaTion and TransPorTaTion CrediT

Reduced Parking footprint


this credit applies to:
new Construction (1 point) Warehouses and distribution Centers (1 point)
Core and shell (1 point) hospitality (1 point) schools (1 point)
retail (1 point) data Centers (1 point) healthcare (1 point)

inTenT

to minimize the environmental harms associated with parking facilities, including


automobile dependence, land consumption, and rainwater runoff.

requireMenTs
Do not exceed the minimum local code requirements for parking capacity.
Provide parking capacity that is a percentage reduction below the base ratios recommended by the Parking
Consultants Council, as shown in the Institute of Transportation Engineers Transportation Planning Handbook, 3rd
edition, Tables 18-2 through 18-4.

Case 1. baseline location


Projects that have not earned points under LT Credit Surrounding Density and Diverse Uses or LT Credit Access to
Quality Transit must achieve a 20% reduction from the base ratios.

Case 2. dense and/or Transit-served location


Projects earning 1 or more points under either LT Credit Surrounding Density and Diverse Uses or LT Credit Access
to Quality Transit must achieve a 40% reduction from the base ratios.

for all ProjeCTs


The credit calculations must include all existing and new off-street parking spaces that are leased or owned by
the project, including parking that is outside the project boundary but is used by the project. On-street parking in
public rights-of-way is excluded from these calculations.
For projects that use pooled parking, calculate compliance using the projects share of the pooled parking.
Provide preferred parking for carpools for 5% of the total parking spaces after reductions are made from the
base ratios. Preferred parking is not required if no off-street parking is provided.
Mixed-use projects should determine the percentage reduction by first aggregating the parking amount of
each use (as specified by the base ratios) and then determining the percentage reduction from the aggregated
parking amount.
Do not count parking spaces for fleet and inventory vehicles unless these vehicles are regularly used by
employees for commuting as well as business purposes.
Behind the intent
Inefficient parking systems result in increased congestion and carbon emissions, lost productivity and
economic opportunities, and unnecessary paved areas. For example, the United States has roughly two to
three times more parking spaces than people. Parking lots concrete and asphalt cover approximately 2,000 to
6,000 square miles (5 180 to 15 000 square kilometers)1,2,3 comprising about 35% of the surface area in the
average U.S. residential neighborhood and 50% to 70% of the average nonresidential area. 4
The impervious surface of most parking spaces has environmental and financial downsides. Runoff from
impervious surfaces can overwhelm municipal stormwater systems and flushes contaminants into waterways.
Dark-colored parking lot surfaces trap heat, raising ambient air temperatures, which in turn necessitate more
energy for cooling. Parking is also expensive, costing landowners and developers an average of about $15,000
per space in the U.S.5
Parking demand can be reduced by locating projects in high-density, mixed-use areas or in places well
served by transit, or by instituting transportation demand management strategies, such as providing preferred
parking for carpools. To complement the use of these alternative modes or vehicle-sharing arrangements,
vehicular parking itself can be limited by designing fewer spaces. This credit uses the Transportation Planning
Handbook base ratios as a baseline against which reductions in parking supply can be compared. When
combined with a requirement to provide no more parking than is necessary by code, this baseline ensures that
meaningful reductions are achieved.

SteP-BY-SteP GUidAnCe

SteP 1. determine loCAl Code reqUirementS


Identify the minimum amount of parking required by local code. Confirm that the projects maximum allowable parking is less than
or equal to minimum code requirements.
In some cases, local codes do not establish minimum thresholds. Projects located in areas without a code minimum automatically
meet this requirement.
Projects with no associated off-street parking automatically achieve credit compliance; no calculations or preferred parking
spaces are required.

SteP 2. CAlCUlAte BASe rAtioS And BASeline PArkinG CAPACitY


Based on the projects space use type(s) and size, determine the parking capacity base ratio using the Transportation Planning
Handbook (see Further Explanation, Base Ratios).
For projects with multiple space types, calculate and separately track the base ratio for each use. Use the equations provided in
the reference table to determine the baseline parking capacity for each space type, and compute the total project baseline
capacity.

SteP 3. identifY APProPriAte CASe


Case 2 is appropriate for projects that expect to earn at least 1 point in either LT Credit Surrounding Density and Diverse Uses or LT
Credit Access to Quality Transportation. Otherwise, use Case 1.

1. Chester, Mikhail, Arpad Horvath, and Samer Madanat, Parking Infrastructure: Energy,
Emissions, and Automobile Life-Cycle Environmental Accounting, Environmental Research Letters
5(3) (2010), dx.doi.org/10.1088/1748-9326/5/3/034001 (accessed June 10, 2013).
2. Ben-Joseph, Eran, ReThinking a Lot: The Design and Culture of Parking
(Cambridge, MA: MIT Press, 2012).
3. Delucchi, Mark, Annualized Social Cost of Motor-Vehicle Use in the U.S.,
19901991, vol. 6 (Institute of Transport Studies, 1997), Table 6-A.1,
its.ucdavis.edu/?page_id=10063&pub_id=571 (accessed June 10, 2013).
117

4. Akbari, Hashem, L. Shea Rose, and Haider Taha, Analyzing the Land Cover
of an Urban Environment Using High-Resolution Orthophotos, Landscape and
Urban Planning 63(1) (2003): 114, sciencedirect.com/science/journal/01692046 (accessed June 10,
2013).
5. Victoria Transportation Policy Institute, Transportation Cost and Benefit Analysis II:
Parking Costs (2012), Table 5.4.3-1, vtpi.org/tca/tca0504.pdf (accessed June 10, 2013).
118

= /
119

See calculations in Step-by-Step Guidance.

base raTios
tablE 1. Base ratios for parking spaces, by building type

use size or condition Parking spaces

Arena 0.33/seat

Assisted living 0.35/DU

Boarding house, B&B, convent, and other 1/unit or room plus 2 for owner and staff
sleeping rooms

Church 0.4/seat

College, university School population: students, faculty and staff 0.4/school population

Condo, townhouse Use Owned Apartment ratios

Consumer services (including banks) 4.6/1,000 ft2 (5.0/100 m2)

Convention centers not in hotel, or in hotel < 25,000 ft2 (2 325 m2) 30/1,000 ft2 (32.29/100 m2)
but exceeding 50 ft2 per guest room (4.65
m2 per guest room)

Convention centers not in hotel, or in hotel but 25,000 ft2 to 50,000 ft2 (2 Scaled
exceeding 50 ft2 per guest room 325 m2 to 4 650 m2) If x is ft2, 30-[10 x (x-25,000)/25,000] spaces per
(4.65 m2 per guest room) 1,000 ft2
If y is m2 per room, 32.3-[10.8 x
(y-2325)/2325] spaces per 100 m2 GLA

Convention centers not in hotel, or in hotel but 50,000 ft2 to 100,000 ft2 ( 4 Scaled
exceeding 50 ft2 per guest room 650 to 9 300 m2) If x is ft2, 20-(10 x (x-50,000)/50,000) spaces per
(4.65 m2 per guest room) 1,000 ft2
If y is m2 per room, 10.8-[10.8 x
(y-4650)/4650] spaces per 100 m2 GLA

Convention centers not in hotel, or in hotel but 100,000 to 250,000 ft2 (9 300 to 23 225 m2) Scaled
exceeding 50 ft2 per guest room If x is ft2, 10-(4 x (x-100,000)/150,000) spaces
(4.65 m2 per guest room) per 1,000 ft2
If y is m2 per room, 10.8-[4.3 x (y-9300)/13 925]
spaces per 100 m2 GLA

Convention centers not in hotel, or in hotel More than 250,000 ft2 (23 225 m2) 6/1,000 ft2 (6.5/100 m2)
but exceeding 50 ft per guest room (4.65 m
per guest room)

Data processing, telemarketing 6.0/1,000 ft2 (6.5/100 m2)

Day care 0.3/licensed student

Dry cleaners Use General and Convenience Retail ratio

Elderly housing 0.5/DU

Elementary school Higher of 0.2/auditorium or gym seat, or


0.25/student

Fast food With or without drive-through 15/1,000 ft2 (16/100 m2)

Free-standing discount super store 5.5/1,000 ft2 (5.92/100 m2), including outdoor
sales areas
120

General and convenience retail Not in shopping center 2.75/1,000 ft2 (2.96/100 m2)

General light industrial, industrial park, and 1.85/1,000 ft2 (1.99/100 m2)
manufacturing

Government office building Use Office Building radio if general office


only; otherwise, parking study prepared for
complex

Health, fitness club 7/1,000 ft2 (7.5/100 m2)

tablE 1 (continuEd). Base ratios for parking spaces, by building type

use size or condition Parking spaces

Heavy, hard goods, furniture store, carpet 2.5/1,000 ft2 (2.7/100 m2)
store

High school Higher of 0.3/auditorium or gym seat, or


0.3/student

High-turnover restaurant No bar 15/1,000 ft2 (16/100 m2)

High-turnover restaurant With bar 20/1,000 ft2 (21.5/100 m2)

Hospital 1.1/employee

Hotel, motel 1.25/room. Add 10/1,000 ft2 (10.8/100 m2) for


lounge/restaurant. Add conference/banquet at
following rates:
1. < 20 ft2/room (1.86 m2/room): none
2. 20 ft2/room (1.86 m2/room) to 50 ft2/room
(4.65 m2/room): Scaled
If x is ft2 per room, 30-[10 x (x-20)/30] spaces
per 1,000 ft2 GLA conference banquet.
If y is m2 per room, 32.3-[10.8 x (y-1.86)/2.79]
spaces per 100 m2 GLA conference banquet 3. >
50 ft2/room (4.65 m2/room): 20/1,000 ft2
(21.5/100 m2)

Junior or community college School population: students, faculty and staff 0.25/school population

Live theater 0.4/seat

Medical, dental office building Not on hospital campus 4.5/1,000 ft2 (4.8/100 m2)

Medical, dental office building On hospital campus 4/1,000 ft2 (4.3/100 m2)

Mini-warehouse 1.75/100 units

Movie theater with matinee 1 screen 0.5/seat

Movie theater with matinee 2 to 5 screens 0.33/seat

Movie theater with matinee 5 to 10 screens 0.3/seat

Movie theater with matinee More than 10 screens 0.27/seat

Nightclub 19/1,000 ft2 (20.5/100 m2)

Nursing home 0.5/bed

Office building < 25,000 ft2 (2 325 m2) 3.8/1,000 ft2 (4.1/100 m2)

Office building 25,000 to 100,000 ft2 (2 325 to 9 300 m2) Scaled


If x is ft2, 3.8-[0.4 x (x-25,000)/75,000] spaces
per 1,000 ft2
If y is m2, 4.1-[0.43 x (y-2325)/6975] spaces per
100 m2
121

Office building 100,000 ft2 (9 300 m2) 3.4/1,000 ft2 (3.67/100 m2)

Office building 100,000 to 500,000 ft2 (9 300 to 46 Scaled


500 m2) If x is ft2: 3.4-[0.6 x (x-100,000)/400,000] spaces
per 1,000 ft2
If y is m2: 3.67-[0.67 x (y-9300)/37 200] spaces
per 100 m2

Office building More than 500,000 ft2 (more 2.8/1,000 ft2 (3.0/100 m2)
than 46 500 m2)

Other public assembly 0.25/person in permitted capacity where not


seated, or 0.3/seat where seated

Owned accessory dwelling unit 1/Accessory DU. Den must be counted as


bedroom if it has closet. Ratios include 0.15
space per unit for visitors.
122

tablE 1 (continuEd). Base ratios for parking spaces, by building type

use size or condition Parking spaces

Owned apartment Efficiency 1/DU for efficiency units. Den must be counted
as bedroom if it has closet. Ratios include 0.15
space per unit for visitors.

Owned apartment With bedroom 1.75/DU for first bedroom plus 0.25 space for
each additional bedroom. Den must be
counted as bedroom if it has closet. Ratios
include 0.15 space per unit for visitors.

Pharmacy With or without drive-through Use General and Convenience Retail ratio

Pro baseball stadium 0.35/seat

Pro football stadium 0.31/seat

Quality restaurant 20/1,000 ft2 (21.5/100 m2)

Rental apartment Efficiency 1/DU for efficiency units. Den must be counted
as bedroom if it has closet. Ratios include 0.15
space per unit for visitors.

Rental apartment With bedroom 1.5/DU for first bedroom plus 0.25 space for
each additional bedroom. Den must be
counted as bedroom if it has closet. Ratios
include 0.15 space per unit for visitors.

Rental apartment In college or university housing district 1/DU for efficiency and 1 bedroom units plus
0.5 space for each additional bedroom. Den
must be counted as bedroom if it has closet.
Ratios include 0.15 space per unit for visitors.

Shopping center, not more than 10% GLA in < 400,000 ft2 (37 200 m2) GLA 4/1,000 ft2 (4.3/100 m2)
nonretail uses

Shopping center, not more than 10% GLA in 400,000 to 600,000 ft2 Scaled:
nonretail uses (37 200 m2 to 55 750 m2) GLA If x is ft2, 4+[0.5 x (x-400,000)/200,000] spaces
per 1,000 ft2
If y is m2, 4.3+[0.5 x (y-37 200)/18 550] spaces
per 100 m2

Shopping center, not more than 10% GLA in More than 600,000 ft2 (55 750 m2) GLA 4.5/1,000 ft2 (4.8/100 m2)
nonretail uses

Shopping center, more than 10% GLA in other Shared parking analysis
uses

Single-family detached residential < 2000 ft2 (186 m2) 1/DU

Single-family detached residential 2,000 to 3,000 ft2 (186 to 279 m2) 2/DU

Single-family detached residential More than 3,000 ft2 (280 m2) 3/DU

Specialty super stores, home improvement 4.5/1,000 ft2 (4.8/100 m2), including outdoor
sales areas

Supermarket, convenience market 6.75/1,000 ft2 (7.3/100 m2)

Video rental Use General and Convenience Retail ratio

Warehousing 0.67/1,000 ft2 (0.72/100 m2)

DU = dwelling unit
GLA = gross leasable area

Adapted from PCC Recommended Zoning Ordinance Provisions (2006), by Parking Consultants Council (PCC),
National Parking Association, published by Institute of Transportation Engineers, Transportation Planning
123
Handbook, 3rd edition, Tables 18-2 through 18-4. Use authorized by the Institute of Transportation Engineers,1627
I
Street, NW, Suite 600, Washington, DC 20006 www.ite.org
TransPorTaTion deMand ManaGeMenT sTraTeGies
Examples of transportation demand management strategies include the following.
Telecommuting. Allow employees to work remotely on certain days.
Shuttles. Provide shuttle service between transit stops and/or commercial and residential centers.
Although shuttles can help reduce parking demand, they cannot be used to earn LT Credit Access to Quality
Transit.
Shared parking between uses. Size the parking supply so that surrounding uses with different peak
occupancies can all use the parking. For example, a commercial office with daytime peak occupancy can
share its parking supply with an adjacent movie theater with evening peak occupancy. Doing so will ensure
that the parking is maximized throughout the day.
Residential units rented or sold separately from parking. Conventionally, a dwelling units rent or for-sale
price includes one or more parking spaces. Instead, rent or sell parking separately so that occupants
internalize the cost of parking and those without automobiles can opt not to have parking spaces.
Transit subsidy. Provide building occupants with a subsidy to help pay for transit trips.
Compressed workweek schedule. Structure employees schedules such that some work longer days in
exchange for not working on a particular day every one to three weeks.

exaMPle
A 50-unit rental student housing project with one-bedroom apartments is adjacent to a university and within
walking distance of a high-frequency light rail line, earning 1 point under LT Credit Access to Quality Transit. The
project narrowly missed achieving LT Credit Surrounding Density and Diverse Uses because of a lack of nearby
neighborhood uses, but it still must comply with Case 2, since it achieved LT Credit Access to Quality Transit.
Table 1 indicates a baseline of one parking space per dwelling unit for rental apartments in a university housing
district, creating a baseline of 50 parking spaces for the project. To comply with the Case 2 requirements, the
project needs to provide no more than 30 spaces (a 40% reduction from 50 baseline spaces).
The project reduces overall parking demand by advertising for student residents without cars, providing secure
bicycle storage, leasing parking spaces separately from dwelling units; the team has already chosen a location
within walking distance to transit and the university that most of its residents attend.
The project secures 15 spaces on one level of an adjacent, off-site, multilevel parking garage that can be leased
and used by project occupants, and provides no other parking. This parking reduction of 70% earns the credit under
Case 2.
The project also ensures that one of the 15 spaces is preferred parking for carpool use, exceeding the required
5% minimum.

ProjeCT TyPe variaTions


Military Installations
Parking for ranking officials may be separated from regular parking, but the proportion of preferred parking for
carpools must be applied to each pool of parking.

Separated Employee or Visitor Parking


Projects with separate parking areas for visitors, employees, or students must apply the proportion of preferred
parking for carpools to each pool of parking.

CaMPus
Group Approach
All buildings in the group may be documented as one. All the parking located within the LEED project boundary
must be included in the calculations. Submit a site plan that illustrates a reasonable distribution of preferred
parking spaces for the buildings or spaces seeking LEED certification.
124
Campus Approach
Eligible. All the parking located within the LEED campus boundary must be included in the calculations (including
parking associated with projects that are not pursuing LEED certification). Submit a site plan that illustrates a
reasonable distribution of preferred parking spaces for the projects seeking LEED certification.

required doCuMenTaTion

documentation all Projects

Site plan indicating parking areas and preferred parking spaces X

Calculations demonstrating threshold achievement X

X
Drawings or photographs of signage or pavement markings indicating reserved status of
preferred parking areas

relaTed CrediT TiPs


LT Credit Surrounding Density and Diverse Uses. Projects that earn the related credit are required to further
reduce parking to achieve this credit.

LT Credit Access to Quality Transit. Projects that earn the related credit are required to further reduce parking to
achieve this credit.

LT Credit Green Vehicles. Reducing the total amount of parking in the project by achieving this credit will result
in fewer required total spaces allocated to green vehicles under the related credit. Project teams may choose to
aggregate or separately reserve the preferred parking for carpools and green vehicles. If aggregated, the total
supply must meet the thresholds for both carpools and green vehicles and be closest to a functional entry (exclusive
of spaces designated for disabled persons). If separated, both carpool and green vehicle parking should be in
preferred locations (e.g., on either side of a functional entry such that both are closest, excluding parking for the
disabled). If this arrangement is not feasible, preferred parking for one vehicle type may be located between the
other preferred parking and the functional entry.

ChanGes froM leed 2009


The requirements are now the same for nonresidential and residential, and for New Construction and Core
and Shell.
A baseline reference to a third-party standard (ITE Transportation Planning Handbook, 3rd edition, Tables
18-2 through 18-4) has been added.
The credit is no longer awarded for providing no new parking. If there is existing parking that will continue to
be used by the project, it must also comply with credit requirements.
referenCed sTandards
Institute of Transportation Engineers, Transportation Planning Handbook, 3rd edition, Tables 18-2 through
18-4: ite.org
125

exeMPlary PerforManCe
Case 1. Achieve a 60% parking reduction from the base ratios.

Case 2. Achieve a 80% parking reduction from the base ratios.

definiTions
None.
loCaTion and TransPorTaTion CrediT

Green Vehicles
this credit applies to:
new Construction (1 point) Core retail (1 point) healthcare (1
and shell (1 point) data Centers (1 point) schools (1 point)
point) hospitality (1 point) Warehouses and distribution Centers (1 point)

inTenT

to reduce pollution by promoting alternatives to conventionally fueled automobiles.

requireMenTs
neW ConsTruCTion, Core and shell, daTa CenTers, hosPiTaliTy, reTail, healThCare

Designate 5% of all parking spaces used by the project as preferred parking for green vehicles. Clearly identify and enforce for sole use
by green vehicles. Distribute preferred parking spaces proportionally among various parking sections (e.g. between short-term and
long-term spaces).
Green vehicles must achieve a minimum green score of 45 on the American Council for an Energy Efficient Economy (ACEEE)
annual vehicle rating guide (or local equivalent for projects outside the U.S.).
A discounted parking rate of at least 20% for green vehicles is an acceptable substitute for preferred parking spaces. The discounted
rate must be publicly posted at the entrance of the parking area and permanently available to every qualifying vehicle.
In addition to preferred parking for green vehicles, meet one of the following two options for alternative-fuel fueling stations:

oPTion 1. eleCTriC vehiCle CharGinG

Install electrical vehicle supply equipment (EVSE) in 2% of all parking spaces used by the project. Clearly identify and reserve these
spaces for the sole use by plug-in electric vehicles. EVSE parking spaces must be provided in addition to preferred parking spaces for
green vehicles.
The EVSE must:
Provide a Level 2 charging capacity (208 240 volts) or greater.
Comply with the relevant regional or local standard for electrical connectors, such as SAE Surface Vehicle Recommended
Practice J1772, SAE Electric Vehicle Conductive Charge Coupler or IEC 62196 of the International Electrotechnical
Commission for projects outside the U.S.
Be networked or internet addressable and be capable of participating in a demand-response program or timeof-use pricing to
encourage off-peak charging.
or

oPTion 2. liquid, Gas, or baTTery faCiliTies

Install liquid or gas alternative fuel fueling facilities or a battery switching station capable of refueling a number of vehicles per day
equal to at least 2% of all parking spaces.

sChools

oPTion 1. Green PassenGer vehiCles


Designate 5% of all parking spaces used by the project as preferred parking for green vehicles. Clearly identify and enforce for sole use
by green vehicles. Distribute preferred parking spaces proportionally among various parking sections (e.g. between short-term and
long-term spaces).
Green vehicles must achieve a minimum green score of 45 on the American Council for an Energy Efficient
Economy (ACEEE) annual vehicle rating guide (or local equivalent for projects outside the U.S.)
A discounted parking rate of at least 20% for green vehicles is an acceptable substitute for preferred parking spaces. The discounted
rate must be publicly posted at the entrance of the parking area and permanently available to every qualifying vehicle.
In addition to preferred parking for green vehicles, meet one of the following two options for alternative-fuel fueling stations:

Path 1. Electric Vehicle Charging


Install electrical vehicle supply equipment (EVSE) in 2% of all parking spaces used by the project. Clearly identify and reserve
these spaces for the sole use by plug-in electric vehicles. EVSE parking spaces must be provided in addition to preferred parking
spaces for green vehicles. The EVSE must:
Provide a Level 2 charging capacity (208 240 volts) or greater.
Comply with the relevant regional or local standard for electrical connectors, such as SAE Surface Vehicle Recommended
Practice J1772, SAE Electric Vehicle Conductive Charge Coupler or IEC 62196 of the International Electrotechnical
Commission for projects outside the U.S.
Be networked or internet addressable and be capable of participating in a demand-response program or timeof-use pricing to
encourage off-peak charging.
or

Path 2. Liquid, gas, or battery facilities


Install liquid or gas alternative fuel fueling facilities or a battery switching station capable of refueling a number of vehicles per day
equal to at least 2% of all parking spaces.
or

oPTion 2. Green buses and sChool-oWned vehiCles

Develop and implement a plan for every bus serving the school to meet the following emissions standards within seven years of the
building certificate of occupancy:
nitrogen oxide (NOx) emissions of 0.50 grams or less per brake horsepower-hour; and

particulate matter emissions of 0.01 grams or less per brake horsepower-hour.


123

Emission standards must be met for each bus and not by an average of the entire fleet serving the school.
Develop and implement a plan for 100% of all other (non-bus) vehicles owned or leased to serve the school to
be green vehicles. Green vehicles must achieve a minimum green score of 45 on the American Council for an
Energy Efficient Economy (ACEEE) annual vehicle rating guide (or local equivalent for projects outside the U.S).

Warehouses and disTribuTion CenTers oPTion 1. alTernaTive-fuel

vehiCles (1 PoinT)
Provide an on-site fleet with at least one yard tractor that is powered by electricity, propane, or natural gas. Provide
on-site charging or refueling stations for the vehicles. Liquid or gas refueling stations must be separately ventilated or
located outdoors.
or

oPTion 2. reduCed TruCk idlinG (1 PoinT)

Provide an electrical connection for at least 50% of all dock door locations to limit truck idling at the dock.
behind The inTenT
In 2010, transportation accounted for 27% of the total U.S. greenhouse gas emissions from combustion of petroleum-based fuels. More
than half of those emissions came from passenger vehicles and light-duty trucks.1
Globally, greenhouse gas emissions from transportation increased 17.5% from 1990 to 2010. 2
Beyond climate change effects, conventional-fuel vehicles pose public health risks. Diesel exhaust from idling buses releases fine
particulates, which can be especially harmful for children. 3 Idling delivery trucks at warehouse loading docks and diesel-powered yard
tractors used to move cargo containers4 emit nitrogen oxides (NOx), sulfur oxides (SOx), and particulate matter (PM).
This credit addresses vehicle emissions by rewarding local and regional infrastructure that incentivizes the purchase of green
vehicles. The provision of preferred parking spaces closest to a buildings entrance rewards building users who drive green vehicles. To
qualify for these spaces, green vehicles must meet third-party standards that comprehensively measure both fuel efficiency and
emissions. Projects must also provide infrastructure (e.g., electric charging stations) for alternative-fuel vehicles. Electric vehicle
supply equipment must have effective charging speeds, align with local or regional standards, and take advantage of future
improvements to the utility grid.
School projects may address employees and visitors vehicle use, as in other rating systems, or have the option of meeting
emissions and green vehicle standards for their bus and non-bus vehicle fleets. Warehouses and distribution center projects may
purchase alternative-fuel yard tractors to move trailers around the facility or provide electrical connections at loading dock doors, a
strategy that allows truck drivers to operate in-cab comfort settings and appliances by plugging into grid power rather than by idling
their engines unnecessarily.

sTeP-by-sTeP GuidanCe

neW ConsTruCTion, Core and shell, daTa CenTers, hosPiTaliTy, reTail, healThCare

sTeP 1. deTerMine ToTal vehiCle ParkinG CaPaCiTy


total vehicle parking spaces must include all new and existing off-street parking spaces leased or owned by the project, including any parking allocated to
the project that is outside the project boundary (see LT Overview, Total Vehicle Parking Capacity).

sTeP 2. CalCulaTe nuMber of Preferred ParkinG sPaCes and alTernaTive-fuel fuelinG sTaTions
use Equation 1 to determine the number of preferred spaces required for green vehicles. use Equation 2 for the number of fueling stations required.
Projects must provide both preferred parking spaces and alternative-fuel fueling stations. in lieu of preferred parking, projects may provide discounted
parking rates for all green vehicles (see Further Explanation, Discounted Parking Rates).

Equation 1. Required number of preferred parking spaces

Preferred spaces = Total parking spaces .05

Equation 2. Required number of fueling stations

Fueling stations = Total parking spaces .02

sTeP 3. inCorPoraTe Preferred ParkinG inTo desiGn


on the site plan, identify the location of preferred parking spaces for green vehicles (see LT Overview, Preferred Parking, and Further Explanation,
Examples).

1. epa.gov/climatechange/ghgemissions/sources/transportation.html (accessed June 10, 2013).


2. cta.ornl.gov/data/chapter11.shtml, Table 11.7 (accessed June 10, 2013).
3. epa.gov/cleanschoolbus/antiidling.htm (accessed June 10, 2013).
4. cleanairactionplan.org/civica/filebank/blobdload.asp?BlobID=2516 (accessed June 10, 2013).
125
sTeP 4. seleCT alTernaTive-fuel fuelinG sTaTions
consider legal, technical, and safety issues associated with each fuel type. Projects selecting electric vehicle supply equipment (EVsE)
must follow option 1. Projects selecting all other alternative fuel types must follow option 2.
survey future building occupants to determine which alternative fuel is in highest demand. Regional availability of a given fuel type may be a
factor.
compare the equipment associated with alternative fuels. the cost and complexity of designing and installing the fueling station vary with
the type of fuel.
Learn about the safety and maintenance issues associated with alternative fuels. Building personnel need to be trained to operate and
maintain the fueling stations.
Review local codes and standards for fueling facilities to determine whether other requirements must be met.

sTeP 5. ConfirM CoMPlianCe of any eleCTriC vehiCle suPPly equiPMenT


for option 1, select EVsE that meets the credit requirements for charge capability, standard compliance, and network features; all three
must be documented for credit compliance. this information can often be found on the manufacturers website.
only Level 2 and 3 chargers qualify for this credit.
the saE j1772 standard is common among u.s.-based EVsE manufacturers. iEc 62196 of the international Electrotechnical commission is
an equivalent standard that is common outside the u.s.
the EVsE must have a wi-fi, ethernet, cellular modem, or other internet communication mechanism that allows the device to send
usage data to a server. this enables participation in demand response programs (e.g., smartGrid) or time-of-use pricing.
specifications must demonstrate, at minimum, that the product is iP-addressable.
a direct connection between the EVsE and on-site renewable energy is acceptable in lieu of network capability if the EVsE will draw solely
from that energy source. Documentation must be provided.

sTeP 6. insTall alTernaTive-fuel fuelinG sTaTions


on the site plan, identify the location of each alternative-fuel fueling station (see Further Explanation, Examples).
for option 1, EVsE for plug-in electric vehicles or battery switching stations may be located in any area of the parking facility. Parking
spaces reserved for EVsE may not contribute toward preferred parking spaces for green vehicles.
for option 2, liquid or gas fueling stations should be located outdoors if possible. if a liquid or gas fueling station cannot be located
outdoors, provide dedicated exhaust connected directly to the outdoors.

sTeP 7. ensure effeCTive use of ParkinG sPaCes


Provide clear and permanently installed signage or pavement markings to reserve the preferred parking spaces for green vehicles only
(see Further Explanation, Signage for Green Vehicles). in addition, clearly indicate the type of fueling station provided. for projects
pursuing option 1, provide signage that the parking space is reserved for plug-in electric vehicles only.
Projects providing discounted parking in lieu of preferred parking must communicate the discounted rate to users (see Further
Explanation, Discounted Parking Rates).
work with the property manager or parking management to review the policy for green vehicle parking and alternative-fuel facilities
and ensure that the correct vehicles are using these spaces. Enforcement strategies will vary by project but should include
consequences for violations by building users.

sChools
Determine which option the project will pursue.
option 1 is best for schools whose vehicle fleets are not within reasonable control of the school management, and for those without
vehicle fleets.
option 2 is best for schools that are served by an outdated aged vehicle fleet and if the school management, project team, or owner has
reasonable control over the vehicle fleet serving the building.
126

option 1. Green Passenger vehicles


follow steps 1 through 6 above; all references to option 1 and option 2 equate to Path 1 and Path 2 for schools, respectively.

option 2. Green buses and school-owned vehicles


sTeP 1. invenTory sChool fleeT
work with the schools fleet manager to identify the make, model, and year of each bus and each nonbus vehicle that serves the
project building. all vehicles that serve the project building must be included in the inventory, including privately owned and
leased vehicles.
if the project building is part of a campus with a shared fleet, the inventory must include all buses in the campus bus fleet.
if the project building has a dedicated bus fleet, inventory only the buses in the dedicated fleet. sTeP 2. evaluaTe bus fleeT

eMissions

Review manufacturers data for each vehicle to find the nox and PM emissions values and identify each bus that exceeds the
emissions in the credit requirements.
if manufacturers data are not available or do not include the emissions information, estimate nox and PM emissions based on the
vehicles engine specifications and model years, using table 1.
Project teams outside the u.s. should use a local equivalent table of estimated emissions by model year, if one exists, or refer to
manufacturers data. include the data source and any supporting calculations with the submittal documentation.
tablE 1. Estimated emissions, by vehicle model year

Model year nox (g/bhp-hr) PM (g/bhp-hr)

19741978 10.7 0.60

19791984 10.7 0.60

19851987 10.7 0.60

19881989 10.7 0.60

1990 6.0 0.60

19911993 5.0 0.25

19941997 5.0 0.10

19982003 4.0 0.10

20042006 4.0 0.10

2007 ON 0.2 0.01


132

Source: EPAs historical exhaust emissions standards for heavy-duty highway compression-ignition engines and urban buses: epa.gov/otaq/standards/heavy-duty/hdci-
exhaust.htm.

sTeP 3. evaluaTe vehiCles oTher Than buses


Evaluate each vehicle to determine whether it qualifies as a green vehicle, per the rating system definition.

sTeP 4. idenTify Phase-ouT and reTrofiT sTraTeGies


if the fleet includes buses or other vehicles that do not meet credit requirements, determine whether to retrofit or phase out these
vehicles to meet the emissions standards.
Buses should be retrofitted using emissions control strategies approved by a relevant third party, such as the california air
Resources Board or a local equivalent. confirm that each bus will meet credit emissions criteria by applying the emissions
control strategies to the manufacturers data or table 1 estimates.
127

non-bus vehicles that do not meet green vehicle criteria must be phased out.

sTeP 5. doCuMenT Plans To address all nonCoMPlianT vehiCles


Develop a plan to retrofit or phase out all noncompliant vehicles within seven years of the schools certificate of occupancy date.
include the following in the plan:
Emissions evaluation of each vehicle in the current bus fleet serving the school
Phase-out strategy or retrofit products for each bus that does not meet the emissions criteria
Make, model and year of each non-bus vehicle, and whether it meets the green vehicle criteria
Phase-out strategy for each non-bus vehicle that is not a green vehicle, including types of replacement vehicles
timeline and responsible parties for each stage of the plan
for projects in which bus service is contracted, the policy governing scheduled contact bidding or unscheduled changes to the bus
company contract
signed commitment from the school (or other entity with control over the fleet) to implement the plan if bus or non-bus vehicle
fleets used by the school already meet the credit requirements, supply the emissions evaluations for buses as well as make,
model, and year information for non-bus vehicles.

Warehouses and disTribuTion CenTers option 1.

alternative-fuel vehicles
sTeP 1. seleCT alTernaTive-fuel yard TraCTor
Purchase at least one yard tractor to be used at the project site facilities that is powered by electricity, propane, or natural gas.
Before selecting a model, compare the environmental and economic costs and benefits of each fuel type. Regional availability of
a given fuel type may also be a factor.
Review local codes and standards for the type of fueling station that would be required.
compare the equipment associated with alternative fuels. the cost and complexity of designing and installing the fueling station vary
with the type of fuel.
Learn about the safety and maintenance issues associated with alternative fuels. Building personnel need to be trained to
operate and maintain the fueling stations.
if the project owner already owns an alternative-fuel yard tractor that will be dedicated to the facility, it is not necessary to
purchase a new yard tractor to comply with the credit requirements.

sTeP 2. Provide alTernaTive-fuel fuelinG sTaTion To suPPorT yard TraCTor(s)


work with the owner, civil engineer, mechanical engineer, and other team members to select an appropriate location for the
alternative-fuel fueling station(s).
Liquid or gas fueling stations should be located outdoors if possible. if a liquid or gas fueling station cannot be located outdoors,
provide dedicated exhaust connected directly to the outdoors.

option 2. reduced Truck idling


134

install electrical connectors for at least 50% of loading dock doors. indicate the locations on an electrical plan.
when identifying the placement of electrical connectors, consider such factors as the frequency with which the door is used,
the type of product carried at the door, the length of time trucks are idling, and project design elements that may require a
reduction in engine idling (e.g., proximity to places of congregation or building entrances).
Electrical connectors must allow drivers to shut down truck engines while maintaining use of in-cab heating, air-conditioning,
communications, and entertainment systems.
although demonstrating this compatibility is not required, vehicles supplying the project will need adapters to take advantage of
the electrical connectors. contact rebate programs such as the shorepower truck Electrification Project in the u.s. (the-step-
project.org) for potential assistance in subsidizing or supplying adapter kits.
See calculations in Step-by-Step Guidance.

disCounTed ParkinG raTes


Discounted parking rates for green vehicles may be used to achieve this credit in lieu of preferred parking if the
following requirements are met:
The discount must be at least 20%.
The discount policy must be publicly posted at the entrance to the parking area and any other locations
that may serve to inform building users of the discount. The discount must also be included in building
policy documents and occupant advertisements.
Projects cannot limit the discounted parking passes available; the discounted parking rate must be
available to all building users who drive green vehicles.
The discounted rate must be made available to all building users in perpetuity after the projects
completion. This approach is best applied when a large share of the parking capacity is devoted to monthly or
yearly parking passes and car owners can receive the discounted rate when buying a pass. The application
should ask for the car make and model so that the building operator can verify its compliance with the LEED
definition of a green vehicle. Ensure that building personnel responsible for collecting parking fees are aware of
the discount policy and the vehicles that are eligible.

siGnaGe for Green vehiCles


Language used on reserved parking signage must reflect the spirit of the American Council for an Energy
Efficient Economy (ACEEE) Green Book methodology (or a local equivalent for projects outside the U.S.).
In addition to this basic language, project teams are encouraged to share the definition of a green vehicle per
the ACEEE Green Book (or a local equivalent for projects outside the U.S.). This information may be included
with the preferred parking signage, near the preferred parking area, at the parking attendant booth or building
entrance, or in educational material readily available to building users.
If a local green vehicle code or standard requires specific signage, this alternative language may be used,
provided the standard has been approved by USGBC as equivalent to the ACEEE Green Book (see
International Tips ).

Figure 1. Example signage for green vehicle reserved parking


136

exaMPles
Example 1. Location of preferred parking and alternative-fuel fueling stations (single lot)
A new construction project building has a total parking capacity of 335 spaces. The project calculates 5% of the
total to determine the number of preferred parking spaces:

335 total spaces .05 = 16.75 preferred parking spaces


The result is rounded up to 17 preferred parking spaces. The project team decides to install EVSE in parking
spaces reserved for plug-in electric vehicles and calculates the required spaces:

335 total spaces .02 = 6.7 plug-in spaces


The team must provide seven plug-in spaces. Figure 2 shows the arrangement of preferred parking spaces and
alternative-fuel fueling spaces.

Figure 2. Example of preferred parking locations

Example 2. Location of preferred parking in separated parking areas


137

A new construction project is a mixed-use building with a ground-level grocery store and office floors above.
The parking area includes 108 spaces with separate parking areas for long- and short-term parking. Short-term
parking, intended for the grocery store customers, numbers 36 spaces; long-term parking for office occupants
numbers 72 spaces. The project team calculates the required preferred parking spaces as 5% of the total:

108 total spaces .05 = 5.4 preferred parking spaces


The result is rounded up to six preferred parking spaces. The project team must proportionally distribute these
six preferred parking spaces between the short- and long-term parking areas. Because short-term parking
accounts for one-third and long-term for two-thirds of the total parking, two short-term spaces (one-third of six)
and four longterm spaces (two-thirds of six) are required. Figure 3 illustrates the result.
In addition, the project is providing natural gas fueling facilities. To determine the number of alternative-
fuel vehicles to accommodate per day, the team makes the following calculation:

108 total spaces .02 = 2.16 vehicles to be supported by refueling facilities


The result is rounded up. Thus the refueling facilities must have sufficient volume and rate to support three
vehicles per day.

Figure 3. Example of proportionate distribution of preferred parking spaces

ProjeCT TyPe variaTions


138

Military Installations
Parking for ranking officials may be separated from regular parking, but the proportion of preferred parking
for carpools must be applied to each pool of parking.

Separated Employee or Visitor Parking


Projects with separate parking areas for visitors, employees, or students must apply the proportion of preferred
parking for carpools to each pool of parking.

inTernaTional TiPs
Local equivalent standards to the American Council for an Energy Efficient Economys (ACEEE) Green
Book must comprehensively address vehicle fuel economy and vehicle emissions ratings, including particulate
matter (PM), nitrogen oxides (NOx), hydrocarbons, and carbon monoxide (CO). Complete and submit a side-by-
side comparison of the selected local standard and ACEEE methodologies.

CaMPus
Group Approach
New Construction, Core and Shell, Data Centers, Hospitality, Retail,
Healthcare, Schools
All buildings in the group may be documented as one. All the parking located within the LEED project
boundary must be included in the calculations. Submit a site plan that illustrates a reasonable distribution of
preferred parking spaces for the buildings or spaces seeking LEED certification.

Warehouses and Distribution Centers


Option 1. All buildings in the group may be documented as one.
Option 2. Submit separate documentation for each building.

Campus Approach
New Construction, Core and Shell, Data Centers, Hospitality, Retail,
Healthcare, Schools
Eligible. Submit a site plan that illustrates a reasonable distribution of preferred parking spaces for the projects
seeking LEED certification.

Warehouses and Distribution


Centers Option 1. Eligible.
Option 2. Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

new construction, core and


shell, data centers, hospitality, schools
retail, healthcare
documentation

option 1 option 2 option 1 option 2

Parking or site plan indicating main building entrance, preferred


parking spaces, and alternative-fuel fueling stations; calculations X X X
based on total parking capacity

For preferred parking spaces, photographs of signage or pavement


marking X X X
139

For electric vehicle charging spaces, photographs of signage or


pavement marking X X

For discounted parking rate, copy of communication to building


occupants or photograph of signage X X X

For electrical connectors, manufacturers product specifications


indicating charge level, compliance with relevant standard, and X X
Internet addressability

For liquid or gas fueling stations, manufacturers product


specifications indicating fuel type and refueling rate X X

Phase-in plan for emissions-compliant bus fleet, including emissions


evaluation of current fleet, retrofit strategies, timeline, responsible X
parties

Phase-in plan for green non-bus vehicles, including types of vehicles,


timeline and responsible parties X

Warehouses and distribution centers

documentation option 1 option 2

Manufacturers documentation of yard tractor model and fuel type X

Site plan showing electrical connector locations at loading dock doors X

Manufacturers documentation for electrical connectors indicating ability to power in-cab


amenities X

relaTed CrediT TiPs


LT Credit Reduced Parking Footprint. Project teams also pursuing the related credit must reserve 12% of
total parking capacity for preferred vehicles (with a required 7% for green vehicles in LT Credit Green Vehicles
and 5% for carpools or vanpools in LT Credit Reduced Parking Footprint). Guidance for locating preferred
parking is the same for both credits.

EA Credit Demand Response. Any electric charging stations should align with the existing demand response
program or infrastructure to comply with the related credit.

EQ Prerequisite Minimum Air Quality Performance. Consider separate ventilation for liquid or gas
alternativefuel fueling facilities alongside development of the mechanical plan and indoor air quality strategy to
comply with the related prerequisite.
ChanGes froM leed 2009
New Construction, Core and Shell, Data Centers, Hospitality, Retail, Healthcare
The term low-emitting and fuel-efficient vehicles has been changed to green vehicles.
Options 1 and 2 have been reorganized such that all projects must provide preferred parking for green
vehicles and alternative-fuel fueling stations.
140

The minimum ACEEE green score, which determines classification as a fuel-efficient vehicle, has been
raised to 45.
The requirement for alternative-fuel stations has been lowered to 2% of total parking capacity.
Electrical connectors must comply with SAE Surface Vehicle Recommended Practice J1772, SAE
Electric Vehicle Conductive Charge Coupler (or a regional or local equivalent standard) and must also be
capable of dynamic interaction with the utility grid.
Credit can no longer be earned by providing green vehicles or a car-sharing program for building
occupants.

Schools
See section above for changes in Option 1.
A designated carpool drop-off area for green vehicles (formerly low-emitting and fuel-efficient
vehicles) is no longer required.
Option 2 now requires an implementation plan to meet NOx and particulate emissions standards for school
buses and green vehicle designation for vehicles other than buses.

Warehouses and Distribution Centers


Credit requirements specific to warehouses and distribution centers have been added.

referenCed sTandards
American Council for an Energy Efficient Economy (ACEEE) Green Book: greenercars.org

Society of Automotive Engineers, SAE Surface Vehicle Recommended Practice J1772, SAE Electric
Vehicle
Conductive Charge Coupler: standards.sae.org/j1772_201001

International Electrical Commission 62196: iec.ch

exeMPlary PerforManCe
Not available.

definiTions
alternative fuel low-polluting, nongasoline fuels such as electricity, hydrogen, propane, compressed natural
gas, liquid natural gas, methanol, and ethanol

demand response (DR) a change in electricity use by demand-side resources from their normal consumption
patterns in response to changes in the price of electricity or to incentive payments designed to induce lower
electricity use at times of high wholesale market prices or when system reliability is jeopardized
electric vehicle supply equipment the conductors, including the ungrounded, grounded, and equipment
grounding conductors, the electric vehicle connectors, attachment plugs, and all other fittings, devices, power
outlets or apparatuses installed specifically for the purpose of delivering energy from the premises wiring to the
electric vehicle. (National Electric Codes and California Article 625)
141

grams per brake horsepower hour metric used to communicate how many grams of emissions (e.g., nitrogen
oxide or particulate matter) are emitted by an engine of a specific horsepower rating over a one-hour period
preferred parking the parking spots closest to the main entrance of a building (exclusive of spaces designated
for handicapped persons). For employee parking, it refers to the spots that are closest to the entrance used by
employees.

time-of-use pricing an arrangement in which customers pay higher fees to use utilities during peak time periods
and lower fees during off-peak time periods

yard tractor a vehicle used primarily to facilitate the movement of truck trailers and other types of large
shipping containers from one area of a site to another. It does not include forklift trucks. Also known as
terminal tractor, yard truck, utility tractor rig, yard goat, or yard hustler.
142
144

Sustainable Sites
(ss)
overvieW
The Sustainable Sites (SS) category rewards decisions about the environment surrounding the building, with credits
that emphasize the vital relationships among buildings, ecosystems, and ecosystem services. It focuses on restoring
project site elements, integrating the site with local and regional ecosystems, and preserving the biodiversity that
natural systems rely on.
Earths systems depend on biologically diverse forests, wetlands, coral reefs, and other ecosystems, which are
often referred to as natural capital because they provide regenerative services. A United Nations study indicates
that of the ecosystem services that have been assessed worldwide, about 60% are currently degraded or used
unsustainably.1 The results are deforestation, soil erosion, a drop in water table levels, extinction of species, and
rivers that no longer run to the sea. Recent trends like exurban development and sprawl encroach on the remaining
natural landscapes and farmlands, fragmenting and replacing them with dispersed hardscapes surrounded by
nonnative vegetation. Between 1982 and 2001 in the U.S. alone, about 34 million acres (13 759 hectares) of open
space (an area the size of Illinois) was lost to developmentapproximately 4 acres per minute, or 6,000 acres a
day.2 The rainwater runoff from these hardscape areas frequently overloads the capacity of natural infiltration
systems, increasing both the quantity and pollution of site runoff. Rainwater runoff carries such pollutants as oil,
sediment, chemicals, and lawn fertilizers directly to streams and rivers, where they contribute to eutrophication and
harm aquatic ecosystems and species. A Washington State Department of Ecology study noted that rainwater runoff
from roads, parking lots, and other hardscapes carries some 200,000 barrels of petroleum into the Puget Sound
every yearmore than half of what was spilled in the 1989 Exxon Valdez accident in Alaska.3
Project teams that comply with the prerequisites and credits in the SS category protect sensitive ecosystems by
completing an early site assessment and planning the locations of buildings and hardscape areas to avoid harming
habitat, open space, and water bodies. They use low-impact development methods that minimize construction
pollution, reduce heat island effects and light pollution, and mimic natural water flow patterns to manage rainwater
runoff. They also remediate areas on the project site that are already in decline.

1. UN Environment Programme, State and Trends of the Environment 1987


2001, Section B, Chapter 5, unep.org/geo/geo4/report/05_Biodiversity.pdf.
2. U.S. Forest Service, Quick Facts, fs.fed.us/projects/four-threats/facts/open-space.shtml (accessed September 11,
2012).
3. Cornwall, W., Stormwaters Damage to Puget Sound Huge, Seattle Times
(December 1, 2007), seattletimes.com/html/localnews/2004045940_ecology01m.html (accessed
September 14, 2012).
In LEED v4, the SS category combines traditional approaches with several new strategies, including the backlight-
uplight-glare (BUG) method (Light Pollution Reduction credit), working with conservation organizations to target
financial support for off-site habitat protection (Site DevelopmentProtect or Restore Habitat credit), replicating
natural site hydrology (Rainwater Management credit), and using three-year aged SRI values for roofs and SR values
for nonroof hardscape (Heat Island Reduction credit).
146

susTainable siTes PrerequisiTe

construction activity Pollution


Prevention
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to reduce pollution from construction activities by controlling soil erosion, waterway


sedimentation, and airborne dust.

requireMenTs
Create and implement an erosion and sedimentation control plan for all construction activities associated with the
project. The plan must conform to the erosion and sedimentation requirements of the 2012 U.S. Environmental
Protection Agency (EPA) Construction General Permit (CGP) or local equivalent, whichever is more stringent.
Projects must apply the CGP regardless of size. The plan must describe the measures implemented.
Behind the intent
This prerequisite promotes environmental protection measures that reduce construction project disturbances to
neighboring properties, rainwater systems, and the site itself. Throughout most of the United States and elsewhere,
local codes often regulate construction activity pollution; however, some project sites may not be subject to such
codes. To ensure that all projects implement erosion and sedimentation control (ESC) measures during construction,
LEED applies a U.S.-based national standard, the U.S. Environmental Protection Agency (EPA) construction general
permit (CGP).
Local jurisdictions typically look to this standard when writing their own code requirements and adopt ESC
measures that are applicable to local soils, weather, natural waterways, and municipal rainwater systems. Therefore,
projects that follow local codes derived from the CGP can often demonstrate compliance with the prerequisite. Project
teams outside the U.S. can use a local equivalent (see Further Explanation, International Tips).

SteP-BY-SteP GUidAnCe

SteP 1. deSiGnAte reSPonSiBle PArtY


The civil engineer is typically responsible for developing an erosion and sedimentation control (ESC) plan, but in some cases, the
landscape architect, project hydrologist, geologist, earthworks contractor, or general contractor will undertake the plans development.

SteP 2. review loCAl Code AGAinSt ePA CGP


Projects within the U.S. should determine whether the local jurisdiction requires an official construction general permit (CGP) based
on the National Pollutant Discharge Elimination System (NPDES) program criteria.
If a permit is required, develop the CGP according to typical regional practices; no additional ESC plan, as described below, is needed.
Projects already using the CGP thus have a streamlined path to compliance.
If local codes do not reference the CGP, determine whether local code requirements meet or exceed the CGP (see Further
Explanation, About NPDES and the CGP).
For all projects, conformance to local standards or code is required in lieu of the CGP when the code is equally or more stringent.
To determine equivalence, compare elements of the local code that cover the requirements in the CGP, Section 2, and ensure that all
relevant categories listed are covered by local code. If local codes are less stringent, address gaps by following the CGP.

SteP 3. evAlUAte Site for eSC PlAn needS


Each project site is unique, and not all ESC measures identified in the CGP may be applicable or necessary. Assess which ESC measures
are needed based on a simple site evaluation that identifies the following:
The slope of the project site and where water will drain
The total area and duration of ground disturbance to identify air quality and rainwater runoff effects on neighboring properties
The location of existing rainwater management systems that must be protected
Planned construction sequencing that may require additional ESC measures over time
Weather and soil conditions that could cause rainwater runoff or generate dust
Construction entrances and their erosion and sedimentation effects on local roads servicing the project site
148

.
149

The National Pollutant Discharge Elimination System (NPDES) is a U.S. program that regulates stormwater
discharges from construction activities that disturb 1 acre (0.4 hectare) or more; it also applies to smaller sites
that are part of a larger development or sale. This LEED prerequisite applies to all sites, even those smaller than
1 acre (0.4 hectare). In the U.S., the EPA or a local authority, depending on the projects location, administers
the permitting process associated with the NPDES program using the CGP. 1 Projects outside the U.S. may use a
local equivalent to NPDES.
Based on the projects location and conditions, some U.S. projects may be required to acquire an NPDES permit.
Refer to EPAs CGP website to determine whether a permit is required. A permit is not required to meet this LEED
prerequisite, but all projects (regardless of size or NPDES status) must conform to the applicable erosion and
sedimentation control requirements of the CGP or a local equivalent.

CGP requireMenTs
Whether they follow the CGP or a local equivalent, all projects must meet the requirements outlined in the CGP,
Section 2:

Section 2.1, erosion and sedimentation control


Providing natural buffers
Installing perimeter controls
Minimizing sediment track-out
Controlling discharges from stockpiled sediment or soil
Minimizing dust
Minimizing the disturbance of steep slopes
Preserving topsoil
Minimizing soil compaction
Protecting storm drain inlets
Maintaining control measures

Section 2.2, stabilization


Deadlines for initiating and completing stabilization
Criteria for stabilization

Section 2.3, pollution prevention


Prohibited discharges
General maintenance requirements
Pollution prevention standards
Emergency spill notification
Fertilizer discharge restrictions

erosion and sediMenTaTion ConTrol Plan narraTive


Track implementation of the ESC plan by keeping written records or date-stamped photographs. A narrative
description of ESC plan implementation should include the following:
Timing of the implementation of the plan
Specific control measures applied on site
Maintenance protocols used to ensure the proper function of control measures

Example ESC plan documentation narrative and graphic (see Figure 1):
150
The ESC plan was maintained throughout the duration of the
project, from initial site mobilization through project closeout. Specific control
measures included site perimeter silt fence maintenance, inlet
protection, soil stockpiling, dust

1. This information paraphrased from EPA,


cfpub.epa.gov/npdes/stormwater/cgp.cfm.
control, visual inspection of all vehicle tires coming to and from
the job site, and a designated concrete washout. The
implementation of the plan was maintained daily by the
general contractor and inspected weekly by the civil engineer for
the duration of the project.

Figure 1. Example ESC measures in plan

CoMPlianCe in laTe desiGn or early ConsTruCTion


Projects that decide to pursue LEED certification during the design phase may develop or modify the ESC plan at
that stage. However, projects that decide to pursue LEED during early construction must have had a compliant ESC
plan in place before construction began to meet the prerequisite requirements.

inTernaTional TiPs
Local code requirements may be followed if they are equally stringent or more stringent than the CGP and NPDES.
151
Projects outside the U.S. do not have to comply with the permitting aspects of the CGP.
Construction pollution prevention priorities may differ based on locality or region. Provide information on the
issues that are important to the projects region. For example, if rainwater is not a major concern but dust control
is, information on dust control should be included in the projects construction activity pollution prevention plan.
CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
Projects using local standards
documentation Projects using 2012 EPa cgP and codes

Description of compliance with EPA CGP X

For zero lot line projects and projects with minimal or no


exterior work: Description of special conditions and X X
compliance with any applicable ESC measures

Comparison of local standards and codes with EPA CGP X

Description of how project complies with local standards


and codes X

Drawings depicting erosion and sedimentation control


measures implemented X

Written declaration from general contractor or builder


who implemented plan or
Date-stamped photos
or X
A description of plan implementation.

relaTed CrediT TiPs


SS Credit Site DevelopmentProtect or Restore Habitat. Implementing an ESC plan that limits site disturbances
such as vehicle traffic, grading, equipment storage, erosion, and sedimentation on greenfield areas during
construction will contribute to the greenfield requirement in this related credit. Implementing an ESC plan that
protects existing soils will make it unnecessary to restore soils to meet Option 1 requirements of the related credit.

SS Credit Rainwater Management. Implementing an ESC plan that minimizes soil compaction where vegetation
will be planted or where infiltration measures will be installed will support reducing runoff volumes, in accordance
with the related credits requirements.

ChanGes froM leed 2009


The referenced version of the EPA CGP standard has changed from 2003 to 2012.
152

referenCed sTandards
Environmental Protection Agency (EPA) Construction General Permit (CGP):
cfpub.epa.gov/npdes/stormwater/cgp.cfm
exeMPlary PerforManCe
Not available.

definiTions
greenfield area that is not previously developed, graded or disturbed, and could support open space, habitat, or
natural hydrology

previously developed altered by paving, construction, and/or land use that would typically have required regulatory
permitting to have been initiated (alterations may exist now or in the past). Land that is not previously developed
and landscapes altered by current or historical clearing or filling, agricultural or forestry use, or preserved natural
area use are considered undeveloped land. The date of previous development permit issuance constitutes the date of
previous development, but permit issuance in itself does not constitute previous development.
153
susTainable siTes PrerequisiTe

Environmental site assessment


this prerequisite applies to:
schools healthcare

inTenT

to protect the health of vulnerable populations by ensuring that the site is assessed for
environmental contamination and that any environmental contamination has been
remediated.

requireMenTs
Conduct a Phase I Environmental Site Assessment as described in ASTM E152705 (or a local equivalent) to determine whether
environmental contamination exists at the site. If contamination is suspected, conduct a Phase II Environmental Site Assessment as
described in ASTM E190311 (or a local equivalent).
If a site is contaminated, remediate the site to meet local, state, or national environmental protection agency region residential
(unrestricted) standards, whichever are most stringent.
behind The inTenT
Many sites may contain contaminants that could harm the health and well-being of future occupants. Soil or groundwater may have
been polluted by previous uses, for example, or existing structures might contain hazardous materials, such as lead. Contaminants
can harm the health of future users of the site, especially sensitive populations such as children or hospital patients. Children, who
are more sensitive to toxic substances than adults are, can be afflicted with learning disabilities, chronic and acute respiratory
diseases, cancer, or other illnesses after exposure to toxins. People using health care facilities have greater sensitivity to
environmental stressors during their illnesses and treatments. Identifying and remediating contaminated sites can help ensure a safe
environment for all occupants.
The American Society for Testing and Materials (ASTM) environmental site assessment (ESA) is a methodology for
investigating and identifying a sites environmental contamination. This prerequisite promotes the protection of human health by
requiring an ESA (or local equivalent) and, if necessary, remediation of any confirmed site contamination. Project teams may use
local assessment standards if they are at least as stringent as ASTM Phase I and II ESAs.

sTeP-by-sTeP GuidanCe

sTeP 1. deTerMine WheTher Phase i esa (or loCal equivalenT) is required


astM standard E152705, section 4.8, considers a Phase i Esa valid for 180 days; projects that have a valid assessment should skip to step 3.
if a sites Phase i Esa is more than 180 days but less than one year old, the standard requires that updates be made to certain sections.
if a Phase i Esa is more than one year old, a new assessment is required. sTeP 2. ConduCT Phase i esa (or loCal

equivalenT)

contract with an environmental professional to complete the Phase i Esa.


if a local equivalent assessment is being considered, the environmental professional must ensure that any local equivalent assessment is
equivalent to astM E152705 (see Further Explanation, Local Equivalent Assessments).
for projects in the u.s. that are following the all appropriate inquiries final Rule, this regulation is considered consistent with astM E152705
(see Further Explanation, Scope of the ESA Phases). sTeP 3. deTerMine WheTher Phase ii assessMenT is required
if the Phase i (or local equivalent) report indicates that no contamination is suspected, retain the full report, with its findings and conclusions. no
further action is necessary.
if the Phase i report indicates that a recognized environmental condition (REc) exists, or the report recommends additional assessment activities
(e.g., because of potential or historical conditions, data gaps), then a Phase ii Esa (or local equivalent assessment) is required.

sTeP 4. ConduCT Phase ii assessMenT (or loCal equivalenT) contract with an environmental professional to complete the
Phase ii Esa.
if a local equivalent is being considered, the environmental professional must ensure that it is equivalent to astM E190311 (see Further
Explanation, Local Equivalent Assessments).
Projects with known contamination may wish to move directly to a Phase iii Esa (or local equivalent). although not required for LEED certification,
this further assessment helps determine the scope of remediation process and is more extensive than a Phase ii Esa. for the purpose of this
prerequisite, a Phase iii fulfills the requirement for a Phase ii Esa. see Further Explanation, Scope of the ESA Phases.
loCal equivalenT assessMenTs
Local equivalents to ESAs are acceptable, provided they are equal to or more stringent than the Phase I ESA and Phase II ESA.
The environmental professional must complete a side-by-side comparison of the local standards to the ESA standards.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.

required doCuMenTaTion
contamination, as
no contamination, as no contamination, as confirmed by Phase ii or
documentation confirmed by Phase i Esa confirmed by Phase ii Esa (or iii Esa
(or local equivalent) local equivalent) (or local equivalent)

Phase I ESA or local equivalent assessment X X X

Phase II or III ESA or local equivalent assessment


X X

Description of contamination and


remediation X

Verification that site has been remediated to


residential use standards X

relaTed CrediT TiPs


LT Credit High-Priority Site. If the site is classified as a brownfield and remediation is completed to the satisfaction of the
authority having jurisdiction, the project is eligible to achieve the related credit.

ChanGes froM leed 2009


The blanket exclusion of former landfill sites has been removed.
Local equivalent assessments are available to all project teams as an alternative to Phase I and II ESAs.
Projects are no longer allowed to achieve the prerequisite based on an asbestos sampling plan and remediation report.
151

referenCed sTandards
ASTM E152705 Standard Practice for Environmental Site Assessments: Phase I Environmental Site
Assessment Process: astm.org

ASTM E190311 Standard Practice for Environmental Site Assessments: Phase II Environmental Site Assessment
Process: astm.org

40 CFR Part 312: Standards and Practice for All Appropriate Inquiries; Final Rule: epa.gov/brownfields/aai
exeMPlary PerforManCe
Not available.

definiTions
site assessment an evaluation of an areas above ground and subsurface characteristics, including its structures, geology, and
hydrology. Site assessments typically help determine whether contamination has occurred and the extent and concentration of any
release of pollutants. Remediation decisions rely on information generated during site assessments.
susTainable siTes CrediT

site assessment
this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (1 point) Warehouses and distribution Centers (1
schools (1 point) retail (1 point) hospitality (1 point) healthcare (1
point) point)

inTenT

to assess site conditions before design to evaluate sustainable options


and inform related decisions about site design.

requireMenTs

Complete and document a site survey or assessment1 that includes the following information:
Topography. Contour mapping, unique topographic features, slope stability risks.
Hydrology. Flood hazard areas, delineated wetlands, lakes, streams, shorelines, rainwater collection and reuse opportunities,
TR-55 initial water storage capacity of the site (or local equivalent for projects outside the U.S.).
Climate. Solar exposure, heat island effect potential, seasonal sun angles, prevailing winds, monthly precipitation and
temperature ranges.
Vegetation. Primary vegetation types, greenfield area, significant tree mapping, threatened or endangered species, unique
habitat, invasive plant species.
Soils. Natural Resources Conservation Service soils delineation, U.S. Department of Agriculture prime farmland, healthy
soils, previous development, disturbed soils (local equivalent standards may be used for projects outside the U.S.).
Human use. Views, adjacent transportation infrastructure, adjacent properties, construction materials with existing recycle or
reuse potential.
Human health effects. Proximity of vulnerable populations, adjacent physical activity opportunities, proximity to major
sources of air pollution.

The survey or assessment should demonstrate the relationships between the site features and topics listed above and how these
features influenced the project design; give the reasons for not addressing any of those topics.

1. Components adapted from the Sustainable Sites Initiative: Guidelines


and Performance Benchmarks 2009, Prerequisite 2.1:
Site Assessment.
behind The inTenT
A site assessment evaluates environmental features that the design of a sustainable site and building should take into consideration.
It identifies assets, such as favorable climate conditions, good solar access, and healthy plant populations, as well as liabilities,
such as unhealthy soils, blighted structures, pollution sources, steep slopes, and extreme climate patterns.
Performing a site assessment is part of an integrative design process that incorporates a sites ecological and historical
contexts. A site assessment informs good design decisions, such as locating community gardens in areas with fertile soils, placing
outdoor gathering spaces near large trees or desirable water features, orienting buildings to take advantage of prevailing winds and
solar access, and optimizing the location of rainwater management features. A well-developed assessment conducted before or
during the conceptual design phase may reduce project costs and risks, promote occupants health, and honor a sites unique
characteristics.
Understanding a sites topography, climate, soil types, water availability, and ambient air quality is important because such
features can significantly influence a projects design and its ultimate performance.

sTeP-by-sTeP GuidanCe

sTeP 1. PrePare for assessMenT identify the team that will do the
assessment.
typically, the team consists of the landscape architect, land planner, and architect. team members should begin by collecting a wide range of
information, such as climate data, topographical maps, nearby building types, and soil survey data.
Engage local experts and specialists to help inventory any items listed in the credit requirements that extend beyond the core teams expertise
(see Further Explanation, Features to Include in the Site Assessment).
Plan to complete the assessment before conceptual design starts because the findings will inform the location and orientation of major program
elements. a previous site assessment can be used (including an assessment completed for a campus in which the project is located), provided it
accurately reflects the current site and surrounding property conditions.

sTeP 2. ConduCT siTe invenTory


using a variety of data sources, site visits, and local experts, survey and inventory the existing site conditions and surroundings, according to the
credit requirements, and compile the information for the site assessment.
it may be useful to record site elements in a single document as the inventory progresses. see usGBcs site assessment worksheet, a spreadsheet
that teams can use to fulfill a portion of the documentation requirements.
consider preparing a list of credits that could be influenced by a site assessment, and indicate which site elements are applicable to each credit. for
example, ss credit Rainwater Management may be influenced by topography and the location of existing water bodies on the site.
Document the site and ecological features (and relevant associated details) that will be important for the design team to understand to meet the
project goals. for example, in addition to documenting the location of existing vegetation, consider also collecting information on the size, species,
health, root structure, and shade potential of trees so that their attributes can be integrated with planned program elements.
consider the proposed initial design to ensure that appropriate features are analyzed (see Further Explanation, Design Opportunities).
if a feature listed in the credit requirements is not relevant for the site, explain why it has been excluded.
include such man-made features as buildings, roads, pathways, and existing infrastructure.
consider talking to local experts and visiting regional historical societies to collect site information that may not be visible or obvious. for example,
chapman school in Portland, oregon, has an abandoned

2.audubonportland.org/local-birding/swiftwatch.
162

Topography. Include sufficiently detailed site contours to show the general topography of the site and its
regional surroundings. Show unique or significant topographic features, such as rock outcroppings (which may
help the design team consider views), irregular topography (which could affect grading), and the direction of
overland water flows (which will determine drainage). Identify any steep slopes or areas that are at risk for slope
failure. Conduct a site visit. Table 1 lists other possible sources of information.
tablE 1. Topography sources

source description

Site survey Physical property inspection to determine slopes

U.S. Geological Survey maps usgs.gov


Topographical and historical maps for U.S. projects

UN Educational, Scientific and


Cultural Organization (UNESCO) Global mapping sources for projects outside U.S.
unesco.org

Geographic information system data


from local governments GIS files containing many layers of site condition information

Hydrology. A sustainable approach to rainwater management involves finding ways to harvest it on site for
irrigation and other water uses, create beneficial water features, prevent rainwater overflows, and recharge the
groundwater and aquifers. Show existing surface water resources, such as lakes, streams, estuaries, and
163

delineated wetlands, and their associated buffers. Identify flood hazard areas, coastal hazard zones, or other
flood-prone areas of the site. Include existing rainwater infrastructure, collection, and reuse opportunities that
support water-use reduction. Estimate the water storage capacity of the site using Urban Hydrology for Small
Watersheds Technical Release 55 (TR-55) (or local equivalent for projects outside the U.S). Table 2 lists other
possible sources of information.

tablE 2. Hydrology sources

source description

Site survey Physical property inspection to determine hydrology

Geographic information system data from local governments GIS files containing many layers of site condition information

Topographical and historical maps showing water flow, water bodies,


U.S. Geological Survey maps usgs.gov
and watersheds for U.S. projects.

U.S. EPA Surf Your Watershed epa.gov Information on U.S. watersheds, watershed data, and organizations
supporting water quality

UN Environmental Program (UNEP) unep.org


Global source of water quality information

National Wetlands Inventory fws.gov


Inventory of U.S. wetland maps and data

Ramsar Convention on Wetlands ramsar.org


Global inventory of protected wetlands and data

Federal Emergency Management Agency fema.gov


Database of U.S. flood maps

Computer program with simplified procedures to calculate storm


Natural Resources Conservation Service TR-55 program nrcs.usda.gov runoff volume, peak rate of discharge, hydrographs, and storage
volumes required for floodwater reservoirs

Food and Agricultural Organization of the United Nations, Aquastat


Global source of rainfall data
fao.org

Climate. Understanding the local climate is a first step in designing climate-appropriate outdoor spaces,
incorporating effective passive design strategies, and planning for well-integrated mechanical systems. Climate
indicators include high, low, and average monthly temperature and relative humidity. Identify the solar exposure
using seasonal sun angles, solar access and shading, solar intensity, and amount of direct sun versus ambient
light on cloudy days. Determine the seasonal prevailing winds, including range of wind speeds, and average
wind speed and direction. Collect the annual and monthly precipitation patterns and determine whether the rain
tends to fall in a few large events or in more frequent but smaller events. Survey pavement and roof surfaces to
identify the potential heat island effect of any existing structures. Conduct a site visit. Table 3 lists other possible
sources of information:

tablE 3. Climate sources

source description

National Oceanic and Atmospheric


Source for U.S. climate data and future climate trends
Administration (NOAA) noaa.gov
164

U.S. Department of Energy, Energy


Efficiency and Renewable Energy (EERE) Historical weather data for more than 2,100 locations around world
energy.gov

Weather Analytics weatheranalytics.com


Global mapping sources for projects outside U.S.

DOE-2 software doe2.com


DOE-2 energy modeling weather files

National Solar Radiation Database


rredc.nrel.gov Database of historical solar radiation for U.S.

Vegetation. Vegetation provides a wide range of environmental services: rainwater management, filtration,
groundwater recharge, soil structure, soil organic matter, erosion prevention, carbon storage, and oxygen
production. Inventory the location and type (by scientific name) of significant trees, invasive plants, and any
threatened or endangered species. Also indicate the location and limits of greenfield areas and habitat corridors
that may support local wildlife. Conduct a site visit. Table 4 lists other possible sources of information.

tablE 4. Vegetation sources

source description

Site survey and basic vegetation survey Physical property inspection to gather plant information

U.S. Fish and Wildlife Service Endangered species list


List of U.S. endangered species
fws.gov

International Union for Conservation of Nature (IUCN)


Global database of endangered species
Redlist iucnredlist.org

Geographic information system data from local


GIS files identifying many layers of site condition information
governments or independent sources

Google maps maps.google.com

Bing maps bing.com/maps


Aerial photographs for determining site vegetation

U.S. EPA ecoregions epa.gov Maps identifying North American ecoregions and their
associated ecosystems and vegetation types

Local zoning maps showing stream buffers, riparian zones,


Local land-use and zoning code maps wetlands, and other vegetated habitat areas

Soils. Healthy soils allow natural rainwater infiltration, which helps prevent runoff, sedimentation, erosion, and
flooding. Soils also aid in cleaning, storing, and recharging groundwater. By storing water and making it
available to plants, soils play a significant role in vegetation health. Healthy soils also provide habitat, aid in
carbon storage, and serve as structural foundations for buildings. Determine whether the site is designated as
prime farmland and identify its soil classification by the Natural Resources Conservation Service (projects
outside the U.S. can use a local equivalent). Identify the location of healthy soils as well as those that have been
previously developed, disturbed, or compacted. Develop a soils management plan to improve poor soils and
support vegetation. Table 5 lists other possible sources of information.
165

tablE 5. Soils sources

source description

Soil map that classifies soil types and properties of


Soil survey project site

Natural Resources Conservation Service


Survey of U.S. soil types and classifications
usda.gov

Human use. Document the previous, current, and future known uses surrounding the site to establish a context
for human use. Include the location and condition of on-site buildings and infrastructure. Culturally significant
resources are not required to be included in the inventory and assessment, but if these elements are an important
part of the site, they may be added. If existing structures cannot be easily restored for a new use, inventory the
materials that can be reused or recycled. Identify view corridors that can enhance occupants experience in
outdoor gathering spaces and buildings. Also include planned infrastructure adjacent to the site, such as future
roadways, bicycle networks, mass transit, and major pedestrian facilities. Conduct a site visit. Table 6 lists other
possible sources of information; if public information on past land uses is not readily available, teams can
request documents under the Freedom of Information Act (foia.gov) but should know that the FOIA process can
take several months.

tablE 6. Human use sources

source description

Existing site, local, and regional maps Framework for current human use

Aerial maps maps.google.com

Bing maps bing.com/maps


Aerial photographs for determining adjacent uses and infrastructure

Local land-use and zoning code maps Land uses, open space, habitat areas, density requirements

Historical and current maps of town and building information for U.S.
Sanborn maps cities and towns

Local comprehensive planning documents Information about planned uses and future development

Human health effects. Research indicates that the natural environment plays a very important role in human
health and well-being. Site design, however, sometimes ignores the human benefits of healthful, green
environments and fails to provide opportunities for physical activity, restorative and aesthetic experiences, and
social interaction. Identify opportunities for physical activity on or adjacent to the site, such as trails,
playgrounds, athletic fields, and gyms. Locate major sources of air, water, and noise pollution that may affect
future planning. Identify nearby hospitals, rehabilitation facilities, child care centers, schools, and senior centers
whose occupants may be vulnerable to on-site pollution. Table 7 lists possible sources of information.

tablE 7. Human health effects sources

source description
166

Aerial maps maps.google.com

Bing maps bing.com/maps


Aerial photographs for determining land uses and distances to pollution sources

Local land-use and zoning


code maps Land uses, open space, habitat areas, density requirements

Geographic information system data


from local governments or
GIS files identifying many layers of site condition information
independent sources

U.S. EPA national-scale air toxics


assessment (NATA) epa.gov/nata DOE-2 energy modeling weather files

desiGn oPPorTuniTies
The site assessment may yield many considerations for the design team. View corridors, transportation
infrastructure, and adjacent properties, for example, may indicate the best orientation of buildings. If
incorporated into the design, prevailing winds and seasonal wind patterns may allow natural ventilation to
reduce energy use. Occupants can be protected from noise or air-borne particulates if operable windows are
on the lee side, away from pollution sources. Annual, seasonal, and daily precipitation trends as well as potential
evaporation are inputs for sizing rainwater collection systems. Information on site topography, soil types,
precipitation, and vegetation can help optimize on-site rainwater management. If retained, existing trees and
landscape features can make outdoor gathering spaces attractive. Soil types and solar access will determine the
location of any community gardens.

exaMPle
Sample documentation narrative for topography and contours:
An assessment of the site topography was conducted
using data found on U.S. Geological Survey maps. The results
of the slope analysis show that the site is generally
sloping to the northeast with slopes of 4% to 6%
over most of the site, and some steep slopes located at
the southern edge of the property. The project has elected to
avoid building near the steep slopes and established a 300-foot
(90-meter) buffer for all construction activity. Building structures
have been located on slopes less than 5% to minimize site
disturbance. Using the information discovered in the slope
analysis, rainwater management measures (a rain garden and
bioswale) have been placed in low areas on the site.

inTernaTional TiPs
A local equivalent for the U.S. Natural Resources Conservation Service TR-55 is acceptable, provided it is at
least as stringent.

A local equivalent standard for identifying prime farmland is acceptable, provided the definition is
equivalent to the U.S. Code of Federal Regulations, Title 7, Volume 6, Parts 400 to 699, Section 657.5.
The soil survey used to identify prime farmland must follow a methodology equivalent to that of the U.S.
Natural Resources Conservation Service.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
167

Eligible.
required doCuMenTaTion

documentation all Projects

Site survey or assessment plan or map X

Site assessment worksheet or equivalent narrative X

relaTed CrediT TiPs


Integrative Process Credit. Assessing the site will help project teams meet the site condition and building and
site program requirements of the related credit.

LT Credit Sensitive Land Protection. Information gathered for the related credit may be used if wetlands,
habitat, flood hazard area, or prime soils are investigated on site.

LT Credit Surrounding Density and Diverse Uses. Analyzing the surrounding sites and diverse uses may help
meet the human use and human health requirements of the related credit.

LT Credit Access to Quality Transit. Analyzing the surrounding transportation infrastructure will help achieve
the human use portion of the related credit.

LT Credit Bicycle Facilities. Analyzing the surrounding bicycle network will help achieve the human use and
human health portions of this credit. Assessing existing bicycle facilities and potential future facility needs will
aid in the location of bike facilities for the related credit.

SS Credit Site DevelopmentProtect or Restore Habitat. Assessing the site will identify the greenfield areas
on site, a portion of which must be protected to meet the criteria for the related credit. Protecting existing soils
will make it unnecessary to restore soils to meet the Option 1 requirements for this credit. Protecting habitat and
native vegetation will reduce the amount of previously developed or disturbed area that is required to be restored
in Option 1 of the related credit.

SS Credit Open Space. Identification and quantification of applicable outdoor spaces can help achieve the
requirements of the related credit.

SS Credit Rainwater Management. Studying the climate, rainfall, and hydrology of the site and watershed will
help determine applicable strategies to earn the related credit.

SS Credit Heat Island Reduction. Site assessment can lead to identification of paving, shading, or roofing
materials that can contribute to requirements of the related credit.

EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance. An


analysis of the climate, including solar access, temperatures, diurnal swings, wind patterns, humidity, and
rainfall will support more effective passive and active energy efficiency strategies.

EA Credit Renewable Energy Production. An evaluation of the climate, wind patterns, and solar exposure can
influence the siting and orientation of solar panels, wind turbines, and other renewable energy systems.

EQ Credit Daylight. Topography, vegetation, and solar exposure will influence the orientation of the building
and location of windows.

EQ Credit Quality Views. An analysis of the available viewsheds may influence the location of windows.
ChanGes froM leed 2009
This is a new credit.
168

referenCed sTandards
Natural Resources Conservation Service, Soils: soils.usda.gov

TR-55 initial water storage capacity: nrcs.usda.gov

exeMPlary PerforManCe
Not available.

definiTions
greenfield area that is not previously developed, graded or disturbed, and could support open space, habitat, or
natural hydrology

Natural Resources Conservation Service (NRCS) soils delineation a U.S.-based soil survey that shows the
boundaries of different soil types and special soil features on the site

prime farmland land that has the best combination of physical and chemical characteristics for producing
food, feed, forage, fiber, and oilseed crops and that is available for these uses, as determined by the U.S.
Department of Agricultures Natural Resources Conservation Service (a U.S.-based methodology that sets
criteria for highly productive soil). For a complete description of what qualifies as prime farmland, see U.S.
Code of Federal Regulations, Title 7, Volume 6, Parts 400 to 699, Section 657.5.

Technical Release (TR) 55 an approach to hydrology in which watersheds are modeled to calculate storm
runoff volume, peak rate of discharge, hydrographs, and storage volumes, developed by the former USDA Soil
Conservation Service
susTainable siTes CrediT

site Development Protect or


Restore habitat
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points) hospitality
(12 points) retail (12 points) healthcare (1 point)

inTenT

to conserve existing natural areas and restore damaged areas to provide habitat and
promote biodiversity.

requireMenTs
Preserve and protect from all development and construction activity 40% of the greenfield area on the site (if such areas exist).
and

oPTion 1. on-siTe resToraTion (2 PoinTs exCePT healThCare, 1 PoinT healThCare)

Using native or adapted vegetation, restore 30% (including the building footprint) of all portions of the site identified as
previously developed. Projects that achieve a density of 1.5 floor-area ratio may include vegetated roof surfaces in this
calculation if the plants are native or adapted, provide habitat, and promote biodiversity.

Restore all disturbed or compacted soils that will be revegetated within the projects development footprint to meet the following
requirements1:
Soils (imported and in situ) must be reused for functions comparable to their original function.
Imported topsoils or soil blends designed to serve as topsoil may not include the following:
soils defined regionally by the Natural Resources Conservation Service web soil survey (or local equivalent for projects
outside the U.S.) as prime farmland, unique farmland, or farmland of statewide or local importance; or
soils from other greenfield sites, unless those soils are a byproduct of a construction process.

1. Components adapted from the Sustainable Sites Initiative:


Guidelines and Performance Benchmarks 2009, Credit 7.2:

Restore Soils Disturbed During Construction


Restored soil must meet the criteria of reference soils in categories 13 and meet the criteria of either category 4 or 5:
1. organic matter;
2. compaction;
3. infiltration rates;
4. soil biological function; and5. soil chemical characteristics.

Project teams may exclude vegetated landscape areas that are constructed to accommodate rainwater infiltration from the vegetation
and soils requirements, provided all such rainwater infiltration areas are treated consistently with SS Credit Rainwater Management.
170

sChools only

Dedicated athletic fields that are solely for athletic uses are exempted from the soil restoration criteria. These areas
may not count toward the minimum required area.

or

oPTion 2. finanCial suPPorT (1 PoinT)

Provide financial support equivalent to at least $0.40 per square foot (US$4 per square meter) for the total site area (including the
building footprint).
Financial support must be provided to a nationally or locally recognized land trust or conservation organization within the same
EPA Level III ecoregion or the projects state (or within 100 miles of the project [160 kilometers] for projects outside the U.S.). For
U.S. projects, the land trust must be accredited by the Land Trust Alliance.

behind The inTenT


Preservation and conservation of intact or high-quality native ecosystems, including their soils, native vegetation,
sensitive species habitat, wildlife corridors, and hydrology, contributes to maintaining overall ecosystem health.
Projects should endeavor to situate buildings in ways that protect undeveloped land.
When building on previously developed sites, a project team should consider restoring soils, hydrology, and
native plants, all of which improve the viability of ecological communities, manage and filter rainwater, and fulfill
other ecosystem functions. This credit encourages project teams to first consider on-site restoration.
When site constraints prevent on-site restoration, consider off-site conservation and restoration. An off-site
approach may provide greater total ecosystem benefits than could otherwise be achieved on site. For projects that are
unable to provide large, contiguous parcels of on-site land for long-term conservation, providing financial support to
a recognized land trust or conservation organization can be an effective tool. Funds may be earmarked for activities
that protect or restore habitat, such as acquiring crucial land parcels, restoring habit that is essential to certain
species, protecting water bodies, and preserving urban green space.

sTeP-by-sTeP GuidanCe

sTeP 1. idenTify Greenfield area WiThin ProjeCT


Before siting any buildings, work with a landscape architect, restoration ecologist, or other site professional to identify greenfields
within the project boundary.
Greenfields are areas that have not been previously developed, graded, or disturbed and that support (or could support) open
space, habitat, or natural hydrology.
all areas within the project boundary must be categorized as either greenfield or previously developed, based on their status at
the beginning of the project. if no greenfield areas exist on site, continue to step 4.
areas that naturally do not contain vegetation can count toward greenfield or restored area. for example, natural rock outcrops,
ponds, and natural desert all qualify under this credit.
Project teams do not need to vegetate areas that are not naturally vegetated but must submit documentation showing that the
area contains naturally existing unvegetated land or water bodies. sTeP 2. deTerMine Greenfield area To Preserve and

ProTeCT
if greenfield area exists on the site, work with site professionals to identify at least 40% of the total greenfield area to be preserved
and protected from all development and construction activity.
ideally, prioritize greenfields that are biodiverse (e.g., a shrub thicket) over monoculture plantings (e.g., turf grass) for
preservation and protection.
consider the project scope, program, and owners project goals in determining which areas to preserve and protect.
171
Preserve and protect greenfield areas for long-term conservation if possible; this credit does not specify the duration of
protection (see Further Explanation, Best Practices for Habitat Protection). if the entire project site is greenfield, preserve 40%
of the total project area.

sTeP 3. develoP ConsTruCTion aCTiviTy ManaGeMenT Plan for Greenfield


ProTeCTion
if applicable, establish and clearly delineate construction buffer zones with the project contractors early in the process to avoid soil
compaction and other construction damage to greenfields.
Limiting disturbance during construction helps minimize the need for additional soil and habitat restoration.
Refer to strategies listed in ss Prerequisite construction activity Pollution Prevention.
sTeP 4. seleCT oPTion select the appropriate option for the project.
option 1 may be feasible for projects that have sufficient land to meet the credit requirements for restoration. Project teams must restore both the
habitats and soils that will be revegetated. this restoration will likely happen in parallel (see Further Explanation, Option 1 Timeline).
option 2 is for projects that are 100% greenfield sites, or cannot meet the requirements for on-site restoration, or choose not to conduct restoration. if
choosing option 2, skip to option 2, financial support, below. if unsure, continue with steps 5 and 6 to gather more information before making a
decision.

sTeP 5. idenTify all Previously develoPed siTe area work with site professionals to determine the total site area that has been previously developed,
if any. include the building footprint if it is located on previously developed land.

sTeP 6. deTerMine anTiCiPaTed raTio of buildinG fooTPrinT To Previously develoPed siTe area
Determine the density of the project and surrounding areas by estimating the projected size of the building footprint and comparing it with the site
area.
Building vertically can significantly reduce a building footprint while increasing site density.
if the project meets the floor-area ratio (faR) density minimum, vegetated roofs may be considered part of the restored area (see Further Explanation,
Vegetated Roofs).

option 1. on-site restoration


sTeP 1. deTerMine areas for resToraTion
Early in the design process, work with site professionals to determine the portions of the site that are the best candidates for restoration. use Equation 1
to verify that at least 30% of previously developed areas will be restored.
Restoration and enhancement of natural site elements can include existing ponds, riparian buffers, vegetation, and other natural features.
consider restoring areas adjacent to greenfield, bordering natural areas, and contiguous parcels to increase the environmental benefit.

Equation 1. Percentage of restoration area

Percentage of restoration area = (Restoration area / Total previously developed site area) 100

the total previously developed site area includes the building footprint if it is located on previously developed land.
a vegetated roof may be eligible to be included as part of the total restoration area in Equation 1, provided the project density meets the minimum
floor-area ratio threshold (see Further Explanation, Vegetated Roofs).

sTeP 2. deTerMine resToraTion sTraTeGies


Develop and prioritize strategies to restore the previously developed site areas identified in step 1. Restoration must use native or adapted vegetation
(see Further Explanation, Best Practices for Habitat Restoration).

sTeP 3. idenTify disTurbed areas To be reveGeTaTed


Determine which areas have been disturbed or compacted by previous development and will be revegetated.
heavy wheeled traffic, previous grading, compacted dirt roads, equipment storage areas, and parking are examples of uses that disturb soils.
only soils that will be revegetated need to comply with this requirement.
consider the owners project requirements and work with environmental consultants to help determine which areas to revegetate.
172

.
173

Define the use of the natural habitat. Will it be available to residents or employees only, or will there be public uses, such as
birdwatching? Will there be a pathway or route to enable safe use by pedestrians?

Clearly delineate the boundary of the area to be protected on plans that are part of the site or facilities maintenance documents. Also
indicate the boundary on the site with signage or markers.

Monitor habitat areas for invasive species and remove them when they are identified.

Do not use protected habitat areas to store equipment or materials or dispose of waste, whether organic or inorganic. Do not harvest
live vegetation, fallen trees, or dead standing trees, unless they pose a danger to human safety or create a fire hazard, or as
prescribed by a certified forester for the purposes of advancing habitat protection.

Establish a five- to seven-year site management plan that includes fire management, flooding, and invasive species monitoring and
management, if necessary.

besT PraCTiCes for habiTaT resToraTion


Have a certified professional perform a preconstruction site assessment of soils, water sources, and vegetation, and wildlife
species (native, adapted, invasive) to determine the current site conditions, historical ecological communities, and the preferred
restored site condition.
Any wetland that has been destroyed or damaged prior to commencement of construction should be rebuilt or remediated with
the help of professionals. Any wetland damaged or destroyed as a result of construction must be rebuilt or remediated.
Cleared land can become a meadow of native grasses and forbs or be planted with native bareroot trees and shrubs. Forests may
require removal of invasive plants to allow native species to become reestablished.
Plan for environmental conditions specific to the site (even a native species will not thrive if planted in an inappropriate
microclimate). Use local ecotypes for new plantings.
Source plants from reputable nurseries that can attest to the plant origins, ideally nursery-propagated specimens that originated in
the same ecoregion as the project site. Ask suppliers about their sources, and avoid plants that are taken from wild areas. Keep records
of the origins of the plant material used, which will help with ongoing management of the site.
The Society for Ecological Restoration International provides additional guidance on best practices for restoring degraded habitat.
oPTion 1 TiMeline
Restoration of soils and vegetation will likely happen in parallel following the sequence laid out in Table 1.

tablE 1. Restoration Timeline

action target

Step 1. Identify all previously developed areas on project site Habitat

Step 2. Determine which of those areas to restore Habitat

Step 3. Identify restoration strategies Habitat


174

Step 4. Identify disturbed soils and soil areas to be revegetated Soils

Soils
Step 5. Research soil conditions and sites reference soils for these areas only

Step 6. Restore soils in areas to be revegetated Soils

Step 7. Restore previously developed site areas Habitat

veGeTaTed roofs
If the density of the project and the roof vegetation meet the credit requirements, the vegetated roof may be counted toward the
overall restored area calculation.
Determine the density of the project and surrounding areas by calculating the ratio of the anticipated building footprint to the total
project area (including both previously developed and greenfield areas). This calculation, the floor-area ratio (FAR), is used in many
LEED credits.
A vegetated roof is a strategy that can be applied to other SS credits as well. Green roofs count as open space in SS Credit Open
Space if the project meets the same density requirement. In SS Credit Rainwater Management, green roofs contribute to water runoff
management for zero lot line projects. A vegetated roof is one of the main strategies for achieving Option 1 in SS Credit Heat Island
Reduction. Roofs can be either extensive or intensive systems. Maintenance will be needed to keep plants healthy and the structure in
good condition. Artificial turf is not an acceptable strategy for vegetated roofs.

referenCe soils
Reference soils are native to a site, as described in Natural Resources Conservation Service soil surveys (or a local equivalent for
projects outside the U.S.), or undisturbed native soils within the projects region that have native vegetation, topography, and soil
textures similar to the project site.
For project sites with no existing reference soil, reference soils are defined as undisturbed native soils within the projects region
that support appropriate native plant species similar to those intended for the new project. In some cases, reference soils may differ
from the existing soils on the site (if soils were imported).
soil resToraTion2
In areas that will be revegetated, restore soil characteristics necessary to support the selected native vegetation types (Table 2).

tablE 2. Soil restoration guidelines

soil criterion restoration to reference soil conditions required

Amend soils with mature, stable compost material such that top
12 inches (300 mm) of soil (at minimum) contains at least 3%
1 Organic matter organic matter OR organic matter levels and organic matter Yes
depth are comparable to sites reference soil

Ensure bulk densities within 100% of root zone, defined as


2 Compaction minimum of 12 inches (300 mm) in depth OR depth Yes
comparable to sites reference soil

Achieve infiltration rates (inches/hour) or saturated hydraulic


3 Infiltration rate conductivity (millimeters/second) comparable to sites reference Yes
soil

Establish capacity of biotic community to decompose organic


matter and release mineral (plant available) nitrogen; potentially
4 Biological function mineralizable nitrogen is used as proxy (see Table 7.2-B, SITES
Guidelines and Performance Benchmarks 2009)

Meet either or both


of 4 or 5
Match pH, cation-exchange capacity, and nutrient profiles of
5 Chemistry original undisturbed soil or sites reference soil; salinity must be
suitable for regionally appropriate vegetation
175
Example methods to restore soils include stockpiling and reusing topsoil from the site, with organic amendment if needed; amending
site soils in place with organic matter and mechanically correcting compaction if needed (e.g., by ripping); and importing a topsoil or
soil blend designed to serve as topsoil.
For on-site amendment or blending of imported soils, select organic materials from sources that are renewable within a 50-year
cycle. Compost is recommended for its stability, biological qualities, and ability to build soil structure. If mature, stable compost is
not locally available, look for locally available organic residuals that can be composted on- or off-site to produce a mature composted
organic amendment. Involve a qualified horticultural or soil professional in selecting and balancing amendments for healthy plant
growth.

Compost that enhances soils ability to support vegetation has the following characteristics:
A carbon to nitrogen ratio below 25:1. Higher C:N ratios may be acceptable if specified by a qualified professional as more
appropriate for the type of vegetation to be established.
Low pollutant concentrations. Do not exceed the limits established by U.S. EPA in the 40 CFR Part 503 Biosolids Rule, Section
503.13, Table 3, Pollutant Concentrations, or any applicable state or local regulations. No weed seeds. Compost should not contain

viable weed seeds or invasive plant propagules. soil TesTinG Guidelines


Project teams can take samples of the soils and send them to a laboratory for testing. Local government agencies may offer inexpensive
testing of soil samples and guidance around sampling procedures.
Samples must be taken from soils that are disturbed or compacted and will be revegetated. (Soils that will not be revegetated
can be excluded from the test.) If the soils test shows that the restored soil meets reference soil attributes, the project meets the
requirements.
Typically, multiple samples of the same soil are taken. If a project site has more than one type of soil that will be revegetated,
taking multiple samples from each soil type provides a comprehensive picture of the soil condition.
Soil sample test results may include the components listed in Table 3.

2. SITES Guidelines and Performance Benchmarks 2009, Credit 7.3.

tablE 3. Soil components

soil sample soil sample


test result components test result components

pH
Base Conductivity (measure of soil salinity)
Organic matter

Sulfur
Anions Phosphorus
Nitrate-N

Potassium
Calcium
Cations Magnesium
Sodium

Iron
Zinc
Manganese
Minor elements Copper
Boron
Aluminum

WorkinG WiTh ConservaTion orGaniZaTions (oPTion 2)


For U.S. projects, the land trust must be accredited by the Land Trust Alliance and be in the same Level III ecoregion or within the
same state as the project.
For projects outside the U.S., the land trust or conservation organization must be located within 100 miles (160 km) of the project.
If there are multiple options for recipients of financial support, project teams may wish to consult with potential recipients to determine
the financial need of the organization, the intended use of the contribution, and compatibility with the projects own conservation goals.
176

idenTifyinG The ProjeCTs eCoreGion


Project teams in the U.S. can use the classification system of the Environmental Protection Agency (EPA) to identify their Level III
ecoregion and its characteristic native vegetation and soils. Refer to EPAs ecoregion map for more information, at
epa.gov/wed/pages/ecoregions/level_iii_iv.htm. If EPA ecoregion information is not available for the projects area, ask the state
governments environmental agency for comparable information.
Project teams outside the U.S. should also determine their ecoregion to help inform decisions about habitat protection and
restoration.

exaMPle
The project illustrated in Figure 1 is pursuing Option 1 by restoring previously developed area. Tables 4 and 5 show the teams
calculations for demonstration of compliance.

tablE 4. Example calculation for minimum greenfield and restored area requirements

Preserved or restored
area area Percentage of site area

Total site area (greenfield and previously 280,000 ft2 (26


developed) 000 m2)

180,000 ft2 (16 135,000 ft2 (12 75%


Minimum greenfield area on site 700 m2) 500 m2) (minimum 40% required)

Total previously developed area of site 100,000 ft2 (9


(including building footprint) 290 m2)

Rainwater management area (excluded


from total previously developed) 20,000 ft2 (1
900 m2)

80,000 ft2 (7 30,000 ft2 (2 37.5%


Net previously developed area 400 m2) 800 m2) (minimum 30% required)

180,000 ft2 (16 135,000 ft2 (12 75%


Greenfield area on site 700 m2) 500 m2) (minimum 40% required)
177
178
Figure 1. Example protection and restoration site plan

tablE 5. Example calculation for minimum revegetation and soils restoration requirement

area notes

30,000 ft2 (2
area to be restored 800 m2) See Table 4, row 5

Because FAR > 1.5, vegetated roof can be included in


building Far 1.7 revegetation area

8,000 ft2 (740 Because FAR > 1.5, vegetated roof can be included in
green roof area m2) revegetation area

20,000 ft2 (1
area of soils to be restored 900 m2) Area of soils restoration excludes vegetated roof areas

FAR = floor-area ratio

saMPle doCuMenTaTion narraTives3


Removal and Storage of Topsoil and Duff
Describe strategies employed for the removal of the topsoil and duff to preserve native seed stock and materials for future use. Best
practice for the storage of soils for reuse is to store them in shallow piles to allow air movement and protection of soil
microorganisms.
Prior to disturbance, the Contractor shall salvage existing litter, duff, and upper 3
inches (75 mm) of topsoil from areas to be graded or disturbed
on the project site and store until it can be incorporated back
into the revegetation project. Litter and duff can be stockpiled together,
but must be kept away from topsoil, in piles that are shallow and
narrow. Protect stockpiles from precipitation. At no time shall materials
be stockpiled for more than 3 months without approval of the engineer.
See the attached schedule for specific timing of this treatment.

Grading and Slope Shaping


Describe what grading or earth moving activities are required for the revegetation project. Soil preparation on slopes may require
physical modification or surface roughening. Consider evaluating site complexity of undisturbed areas relative to grades. For
example, there may be microsites that have depressions or texture changes that can help provide a greater diversity in habitats that
need to be mimicked in the restored areas.
Areas to be graded or excavated and revegetated include the base of
slope to accommodate a retaining wall and installation of the shallow
infiltration basin as permitted. For planting areas, scarify the top 6
inches (150 mm) of subgradebefore fill placement. Subgrade depths plus
specified depth of topsoil should equal finished grade. Contractor shall establish finished
grades to blend with existing grades and eliminateuneven areas resulting from rough-
grading operations. See the attached schedule for specific timing of these treatments.

Soil Loosening
Describe physical activities required to restore infiltration capacity and aeration to compacted soil areas.
To reduce soil compaction, loosen subgradeof compacted soil areas to an
average depth of 12 inches (300 mm). Soil loosening may be performed
with hand tools or a mini excavator equipped with backhoe bucket. Soil
shall be loosened but not turned or inverted. Soil loosening should be
uneven in depth by at least 12 inches (2550 mm) to reduce the
chance of soil slumping. Avoid existing plants and tree roots whereverloosening
takes place. See the attached schedule for specific timing of this treatment.

Soil Amendments and Fertilizer


179
Describe the type, quantity, and application rate of any soil amendments or fertilizers used to improve physical, chemical, or
biological properties of the soil.
Apply aged wood chips to a depth of 1 inch (25 mm) on the
surface of soil loosened areas. Incorporate compost to a depth of 34
inches (75100 mm) and organic phosphorus-free fertilizer at a rate of 270 lbs
per acre (50 kg per hectare) into areas where topsoil is to be
replaced and into areas compacted during construction activities. Evenly spread
compost and

3. Example text for soils restoration adapted from


tahoebmp.org/Documents/BMPHandbook/Chapter%205/Ch5_2_RevPlnEx.pdf.
fertilizer on topsoil and incorporate it within using hand tools or mini
excavator. After fertilizer application, water area slowly to help incorporate
fertilizer into the soil. Water only until soil is moist to avoid runoff of
fertilizer off-site. See the attached schedule for specific timing of these treatments.

Soil Stabilization
Describe soil stabilization practices, which may include reapplication of salvaged duff material collected and stored during the site
preparation process, bare soil protection using inorganic and organic mulch, and use of tackifiers, soil binders, and hydromulch.
Replace topsoil in disturbed areas (from which topsoil was removed before
construction), spread to a uniform depth of 3 inches (75 mm), and
gently compact into place. Topsoil shall be dry. This operation shall be
conducted during dry weather. All debris, roots, weeds, and other materials in
excess of 1 inch (25 mm) in diameter shall be removed while topsoil is
being spread. Place wood chips to a 1-inch (25-mm) depth on the surface of
loosened areas and incorporate during soil loosening. After seeding, salvaged duff and
wood chips shall be evenly applied to the soil surface to a 1-inch (25-
mm) depth. Then apply pine needles to increase depth to 2 inches (50 mm).
After duff replacement and wood chip and pine needle application, apply
tackifier according to manufacturers specifications in said area on the
same working day. Tackifiers shall be chosen with consideration of the
sources of these resins: avoid hydro-carbon based products, and prefer organic,
natural, and nontoxic materials .

Soil Reuse
Describe how soils have been reused for functions comparable to their original function.
Soil that will be reused on site was collected from the existing site, which
contained three main types of uses: vegetation soil in plant beds,
structure foundations, and athletic fields. These soils have been preserved separately
and will be placed on the project in similar spaces with similar functions.
The plant bed soils will be used in planter boxes located throughout the
project near the plazas. The foundation soils will be used as part of
the material for the foundation of the main project building. Finally, the
soils from the former athletic fields will be used in the projects open turf
multipurpose area.

raTinG sysTeM variaTions


Schools
Athletic fields are exempt from the soils requirements if they are used solely for athletic purposes.
Athletic fields cannot be used toward the 30% restoration requirement.

inTernaTional TiPs
180
Project teams must identify the agency in their country that is responsible for land conservation issues. U.S. federal agencies may be
a good resource to identify counterparts in other countries. Local entities can provide guidance on restoration activities and
information regarding land trust projects and conservation organizations within the required distance from the project for teams
pursuing Option 2.
Groups that work internationally include NatureServe Natural Heritage Program, Conservation International, and World Land
Trust.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.

required doCuMenTaTion

documentation all Projects option 1 option 2

Greenfield area calculations X

Description of greenfield area protection (if applicable) X

Native or adapted vegetation calculations X

Site plan depicting project boundary, building footprint, preserved greenfield


area(s) (if applicable), previously developed area, restored area, native and
adapted vegetation, plant species, other ecologically appropriate features, and X
any other relevant site conditions

Description of disturbed or compacted soils to be revegetated X

Reference soil characteristics and soil test results X

Projects with vegetated roofs: provide the floor area ratio (FAR) X

Financial support calculations X

Agreement with land trust or conservation organization X

U.S. projects: Confirmation that land trust is accredited by Land Trust Alliance X

Projects outside U.S.: Verification that conservation organization is


nationally or locally recognized; description of qualifications and X
mission of conservation organization

relaTed CrediT TiPs


SS Prerequisite Construction Activity Pollution Prevention. This credit and the related prerequisite have the same purpose: to
preserve and protect greenfields during construction activity. Projects may be able to use some of the same techniques for both.

SS Credit Site Assessment. Opportunities identified in the related credit can be used to preserve habitat and soils.

SS Credit Open Space. Greenfield, protected, and restored areas can be counted for both credits.
181
SS Credit Rainwater Management. Landscaped areas designed for rainwater management can be excluded from soils requirements
if the areas use native or adapted vegetation and meet the restoration requirements.

SS Credit Heat Island Reduction. Vegetated roofs can be counted for both credits.

LT Credit High-Priority Site. When planning for habitat restoration on brownfield or contaminated sites, special consideration
should be given to the potential interaction and spreading of contaminants through attracted species and site hydrology.

ChanGes froM leed 2009


The setback requirements were replaced with preservation and restoration requirements.
Soil requirements have been modified to include disturbed or compacted soils. The off-site
option was replaced with an option for financial support.

referenCed sTandards
U.S. EPA ecoregions: epa.gov

Land Trust Alliance accreditation: landtrustalliance.org

Natural Resources Conservation Service, web soil survey: websoilsurvey.nrcs.usda.gov Sustainable Sites

Initiative (SITES): sustainablesites.org

exeMPlary PerforManCe
Option 1. Double the 30% restoration requirement (restore at least 60%).

Option 2. Double the financial donation requirement (provide at least $0.80 per square foot or $8.00 per square meter).

definiTions
density a measure of the total building floor area or dwelling units on a parcel of land relative to the buildable land of that parcel.
Units for measuring density may differ according to credit requirements. Does not include structured parking.

development footprint the total land area of a project site covered by buildings, streets, parking areas, and other typically
impermeable surfaces constructed as part of the project

greenfield area that is not previously developed, graded or disturbed, and could support open space, habitat, or natural hydrology

land trust a private, nonprofit organization that, as all or part of its mission, actively works to conserve land by undertaking or
assisting in conservation easement or land acquisition, or by its stewardship of such land or easements (Adapted from Land
Trust Alliance)

native vegetation an indigenous species that occurs in a particular region, ecosystem, and habitat without direct or indirect human
actions. Native species have evolved to the geography, hydrology, and climate of that region. They also occur in communities; that is,
they have evolved together with other species. As a result, these communities provide habitat for a variety of other native wildlife
species. Species native to North America are generally recognized as those occurring on the continent prior to European settlement.
Also known as native plants.

previously developed altered by paving, construction, and/or land use that would typically have required regulatory permitting to
have been initiated (alterations may exist now or in the past). Land that is not previously developed and landscapes altered by current
or historical clearing or filling, agricultural or forestry use, or preserved natural area use are considered undeveloped land. The date of
182
previous development permit issuance constitutes the date of previous development, but permit issuance in itself does not constitute
previous development.

prime farmland land that has the best combination of physical and chemical characteristics for producing food, feed, forage,
fiber, and oilseed crops and that is available for these uses, as determined by the U.S. Department of Agricultures Natural
Resources Conservation Service (a U.S.-based methodology that sets criteria for highly productive soil). For a complete
description of what qualifies as prime farmland, see U.S. Code of Federal Regulations, Title 7, Volume 6, Parts 400 to 699,
Section 657.5.

reference soil a soil native to the project site, as described in Natural Resources Conservation Service soil surveys (or a local
equivalent survey outside the United States), or undisturbed native soils within the projects region that have native vegetation,
topography, and soil textures similar to the project site. For project sites with no existing soil, reference soils are defined as
undisturbed native soils within the projects region that support appropriate native plant species similar to those intended for the new
project.
susTainable siTes CrediT

open space
this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (1 point) Warehouses and distribution Centers (1
schools (1 point) retail (1 point) hospitality (1 point) healthcare (1
point) point)

inTenT

to create exterior open space that encourages interaction with the


environment, social interaction, passive recreation, and physical
activities.

requireMenTs
Provide outdoor space greater than or equal to 30% of the total site area (including building footprint). A minimum of 25%
of that outdoor space must be vegetated (turf grass does not count as vegetation) or have overhead vegetated canopy.

The outdoor space must be physically accessible and be one or more of the following:
a pedestrian-oriented paving or turf area with physical site elements that accommodate outdoor social activities;
a recreation-oriented paving or turf area with physical site elements that encourage physical activity;
a garden space with a diversity of vegetation types and species that provide opportunities for year-round visual
interest;
a garden space dedicated to community gardens or urban food production;
preserved or created habitat that meets the criteria of SS Credit Site DevelopmentProtect or Restore Habitat and
also includes elements of human interaction.

For projects that achieve a density of 1.5 floor-area ratio (FAR), and are physically accessible, extensive or intensive
vegetated roofs can be used toward the minimum 25% vegetation requirement, and qualifying roof-based physically
accessible paving areas can be used toward credit compliance.
Wetlands or naturally designed ponds may count as open space if the side slope gradients average 1:4 (vertical :
horizontal) or less and are vegetated.

for ProjeCTs ThaT are ParT of a MulTiTenanT CoMPlex only

Open space can be either adjacent to the building or at another location in the site master plan. The open space
may be at another master plan development site as long as it is protected from development. If the open space is
not adjacent to the building, provide documentation showing that the requirements have been met and the land is
in a natural state or has been returned to a natural state and conserved for the life of the building.
.

.
179

turf areas, including areas of turf grass under overhead tree canopies, can be counted in total open space but do not qualify as
vegetated open space.
Extensive or intensive vegetated roofs can be used toward the minimum 25% vegetation requirement. Vegetated roof area can
also be counted as open space if it is accessible to the building occupants and the project has a density of 1.5 faR or greater.
Roofs can be either extensive or intensive systems. Maintenance will be needed to keep plants healthy and the structure in
good condition. artificial turf is not an acceptable strategy for vegetated roofs.
Design open spaces for the specific project location. for example, a xeriscape area might be appropriate in arid locations.
open spaces must be usable; a small strip of turf in a parking lot does not meet the intent of the credit. artificial turf does not
count as vegetation or hardscape.
Determine where overhead vegetation (trees and shrubs), rather than ground cover, would be appropriate.
Projects may count ponds or wetlands that occur naturally or are designed to function similarly to natural site hydrology and land
cover, provided they meet the credit requirements.
consider encouraging human interaction with wetlands and natural areas through features such as educational signage, walking trails,
and observation stations.

See calculations in Step-by-Step Guidance.

exaMPle 1. required sPaCe


Equations 1 and 2 (see Step-By-Step Guidance) are used to determine the required open space and vegetated area of a 100,000-
square-foot (9 295-square-meter) site.
tablE 1. Example open space summary

Total site area (including building footprint) 100,000 ft2

Open space required 30,000 ft2 = 100,000 x (0.3)

Vegetated area required 7,500 ft2 = 30,000 x (0.25)

Remaining designated outdoor open space 22,500 ft2 = 30,000 7,500

Total building floor area 175,000 ft2 FAR 1.75

Vegetated roof counts toward vegetation


requirement? Yes

exaMPle 2. siTe desiGn


The site illustrated below includes a variety of social gathering spaces and areas that encourage interaction with the
environment.
Open space A = 78,500 sq ft (7,293 sq m) Figure 1. Example site designOpen space B = 32,400 sq ft (3,010 sq m)Open space C =

112,600 sq ft (10,461 sq m)

Open space D = 7,840 sq ft (728 sq m)


Open space E = 6,700 sq ft (623 sq m)

ProjeCT TyPe variaTions


Multitenant Projects
A project can follow the multitenant complex approach if it is part of a master plan development, regardless of whether the
project is using the LEED Campus Program.
If the open space is located at a nonadjacent site within the development master plan, it must be protected from development
and must be returned to a natural state (e.g., with native vegetation, close to original hydrology).
A combination of adjacent open space and nonadjacent open space may be used.

CaMPus
Group Approach
All buildings in the group may be documented as one. The open space does not have to be adjacent to the individual buildings but
it must be contained within the LEED project boundary.

Campus Approach
Eligible. The open space does not have to be adjacent to the individual buildings but it must be contained within the LEED campus
boundary.
181

required doCuMenTaTion
Projects with vegetated
documentation all Projects roofs

Site plan that indicates project boundary and campus or master plan boundary
(if applicable), highlighting location and size of any open spaces, vegetated
areas, plant species, wetlands or naturalistic man-made ponds (with side slopes X
noted), and vegetated roofs

Open space and vegetated area calculations X

Description of how open space is physically accessible and meets area type
criteria X

Floor-area ratio X

relaTed CrediT TiPs


SS Credit Site DevelopmentProtect or Restore Habitat. Preserved or created habitat, including vegetated
roofs, that meets the criteria of the related credit and includes elements of human interaction can also count
towards this credit.

SS Credit Rainwater Management. Wetlands or naturalistic ponds designed for rainwater collection may count as
open space for this credit.

SS Credit Heat Island Reduction. Vegetated roofs and high reflectance paving on roof decks and terraces can
contribute to requirements for the related credit. Vegetated roofs can also be counted as open space if the roof areas
are accessible and the project has a density of 1.5 FAR or greater.

SS Credit Site Assessment. A site assessment can identify open space opportunities and vegetated areas to
preserve, which will support achievement of this credit.

ChanGes froM leed 2009


The credit is no longer tied to presence of a local zoning code; the same open space requirement applies to all
projects.
The credit has been revised to emphasize the quality of the open space in addition to the quantity.
The intent of the credit has been modified to encourage physical connection to open space and to reduce the
focus on biodiversity (which is covered in SS Credit Site DevelopmentProtect or Restore Habitat).

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
extensive vegetated roof a roof that is covered with plants and typically not designed for general access. Usually an
extensive system is a rugged green roof that requires little maintenance once established. The planting medium in
extensive vegetated roofs ranges from 1 to 6 inches in depth. (Adapted from U.S. Environmental Protection Agency)
floor-area ratio (FAR) the density of nonresidential land use, exclusive of parking, measured as the total nonresidential
building floor area divided by the total buildable land area available for nonresidential structures. For example, on a site
with 10,000 square feet (930 square meters) of buildable land area, an FAR of 1.0 would be 10,000 square feet (930 square
meters) of building floor area. On the same site, an FAR of 1.5 would be 15,000 square feet
(1395 square meters), an FAR of 2.0 would be 20,000 square feet (1860 square meters), and an FAR of 0.5 would be 5,000
square feet (465 square meters).

greenfield area that is not previously developed, graded or disturbed, and could support open space, habitat, or natural
hydrology

intensive vegetated roof a roof that, compared with an extensive vegetated roof, has greater soil volume, supports a wider
variety of plants (including shrubs and trees), and allows a wider variety of uses (including human access). The depth of
the growing medium is an important factor in determining habitat value. The native or adapted plants selected for the roof
should support the sites endemic wildlife populations. (Adapted from Green Roofs for Healthy Cities)

multitenant complex a site that was master-planned for the development of stores, restaurants and other businesses.
Retailers may share some services and common areas.

site master plan an overall design or development concept for the project and associated (or potentially associated)
buildings and sites. The plan considers future sustainable use, expansion, and contraction. The site master plan is typically
illustrated, with building plans (if applicable), site drawings of planned phased development, and narrative descriptions.
susTainable siTes CrediT

Rainwater Management
this credit applies to:
new Construction (23 points) data Centers (23 points)
Core and shell (23 points) Warehouses and distribution Centers (23 points) schools (23 points)
hospitality (23 points) retail (23 points) healthcare (12 points)

inTenT

to reduce runoff volume and improve water quality by replicating the natural hydrology
and water balance of the site, based on historical conditions and undeveloped ecosystems
in the region.

requireMenTs

oPTion 1. PerCenTile of rainfall evenTs

Path 1. 95th Percentile (2 points except Healthcare, 1 point Healthcare)


In a manner best replicating natural site hydrology processes, manage on site the runoff from the developed site for the
95th percentile of regional or local rainfall events using low-impact development (LID) and green infrastructure.
Use daily rainfall data and the methodology in the U.S. Environmental Protection Agency (EPA) Technical Guidance on
Implementing the Stormwater Runoff Requirements for Federal Projects under Section 438 of the Energy Independence and
Security Act to determine the 95th percentile amount.
or

Path 2. 98th Percentile (3 points except Healthcare, 2 points Healthcare)


Achieve Path 1 but for the 98th percentile of regional or local rainfall events, using LID and green infrastructure.

or

Path 3. Zero Lot Line projects only85th Percentile (3 points except Healthcare, 2 points Healthcare) The following
requirement applies to zero lot line projects in urban areas with a minimum density of 1.5 FAR. In a manner best replicating
natural site hydrology processes, manage on site the runoff from the developed site for the 85th percentile of regional or
local rainfall events, using LID and green infrastructure.
OR

OptiOn 2. natuRal land COveR COnditiOns


(3 pOints exCept HealtHCaRe, 2 pOints HealtHCaRe)
Manage on site the annual increase in runoff volume from the natural land cover condition to the postdeveloped condition.

pROjeCts tHat aRe paRt Of a multitenant COmplex Only

The credit requirements may be met using a coordinated approach affecting the defined project site that is within
the master plan boundary. Distributed techniques based on a watershed approach are then required.
191

behind The inTenT


Conventional site development disrupts natural hydrological systems and watersheds through impervious
surfaces, soil compaction, loss of vegetation, and loss of natural drainage patterns. The cumulative effect of
these changes is disruption to the natural water balance and water flow. Typically, a conventional sites
rainwater management technique is to address runoff by piping and conveying it as quickly as possible into
centralized, large facilities at the base of drainage areas. However, such a strategy, although intended to prevent
flooding and promote efficient drainage, can harm watersheds: it increases the volume, temperature, peak flow,
and duration of runoff, eroding streams and causing other ecological damage.
Green infrastructure (GI) and low-impact development (LID) rainwater management strategies and
techniques improve upon that conventional approach by mimicking a sites natural hydrology. Rainwater is
treated as a resource rather than a waste product. The approaches and techniques in this credit involve
minimizing disturbed areas on the project site, limiting the amount of impervious cover on a site, and then
infiltrating, filtering, storing, evaporating, or detaining rainwater runoff at or close to its source.

sTeP-by-sTeP GuidanCe

select the appropriate option and path (if applicable) for the project. first investigate data sources for natural land cover conditions,
and choose option 1 if information is not available.
option 1 is for project teams that, after research, cannot adequately determine the natural land cover conditions of the site.
option 2 is for projects that have significant natural area and for teams able to research natural land cover conditions.

option 1. Percentile of rainfall events

Path 1. 95th Percentile

sTeP 1. obTain rainfall daTa for ProjeCT loCaTion


collect at least 10 years of historical rainfall data, or as much historical data as possible from all seasons to account for seasonal
variability. if the team submits less than 10 years worth of information, explain why additional historical data are not available.
for projects in the u.s., long-term rainfall data for many locations are available through the national climatic Data center. use
this database or another source to identify the reference location closest to the project site where similar precipitation
patterns are expected.
for project locations outside the u.s. or other locations not covered by the national climatic Data center, obtain information
from local airports, universities, water treatment plants, or other facilities that maintain long-term precipitation records (see
Further Explanation, International Tips).
Data must include the location of the monitoring station, the recording time (usually the start of a time-step), and the total
precipitation depth during the time-step.
collect daily historical rainfall data from a consistent source whenever possible. if data must be combined from multiple
monitoring stations, interpolate or average rainfall data from three or more stations around the site to even out any discrepancies
with the primary station. sTeP 2. deTerMine value for 95Th-PerCenTile rainfall evenTs
using the historical rainfall data collected, calculate the rainfall value for the 95th percentile (in inches or millimeters). this is the
precipitation amount that 95 percent of all rainfall events for the period of record do not exceed (see Further Explanation,
Percentile of Rainfall Events).
sTeP 3. CalCulaTe runoff voluMe To be ManaGed on siTe
calculate the total volume of runoff (in cubic feet or cubic meters) corresponding to the 95th percentile of rainfall events for
the site in its postdeveloped condition. this is the amount that the project will need to manage entirely on site through green
infrastructure and low-impact development techniques.
Different methods can be used to calculate the runoff volume. Examples include the modified rational method; natural
Resources conservation service method (sometimes called scs method), as described in technical Release 55 (tR-55); and the
u.s. EPa Rainwater Management Model (swMM) (see Further Explanation, Calculations and Example).
Runoff volume depends on the specific postdeveloped site conditions of the project, such as amount of paving, permeability
of different surfaces, roof area, and vegetated areas.
192
sTeP 4. desiGn sTraTeGies To ManaGe runoff on siTe
incorporate green infrastructure and low-impact development strategies into the site design to manage, on site, 100% of the
total volume of runoff calculated for the 95th-percentile rainfall event and the projects developed conditions.
work with the projects civil engineer, landscape architect, hydrologist, or other qualified professionals to determine design
strategies and perform management calculations (see Further Explanation, Green Infrastructure and Low-Impact
Development Strategies).
use an empirical, statistical, or mathematical method to confirm that the total volume of rainwater managed by the projects
Gi and LiD measures will fully manage the total runoff volume through infiltration, evapotranspiration, or capture and reuse
(see Further Explanation, Calculations).
calculations must account for the site-specific soil characteristics, the soil infiltration rate, and the storage capacity of all Gi
and LiD measures.
for projects that are part of a multitenant complex, see Further Explanation, Project Type Variations.

Path 2. 98th Percentile

follow all steps under Path 1 but substitute the 98th percentile for the 95th percentile.

Path 3. Zero lot line Projects only: 85th Percentile sTeP 1. ConfirM ThaT ProjeCT qualifies

for Zero loT line PaTh

the typical zero lot line project is an urban site for which the building footprint aligns with the site limits and the LEED project
boundary. if the project does not exactly align but nearly aligns, provide justification for why the project qualifies for the zero
lot line path. if it does not meet this condition, it is ineligible for this path.
calculate the average density of the area within a 1/4-mile (400-meter) radius of the project building. if the density, expressed
in terms of floor-area ratio (faR) is less than 1.5, the project is ineligible for the zero lot line path.

sTeP 2. deTerMine value for 85Th PerCenTile of rainfall evenTs follow all steps under Path 1,
substituting the 85th percentile for the 95th percentile. sTeP 3. desiGn Gi and lid sTraTeGies To

ManaGe runoff on siTe


follow the steps in Path 1. Green roofs and rainwater harvesting approaches are the most likely Gi and LiD strategies to help
zero lot line projects meet the credit requirements. Roofs can be either extensive or intensive systems. Maintenance will be
needed to keep plants healthy and the structure in good condition. artificial turf is not an acceptable strategy for vegetated
roofs. in some cases, zero lot line projects can also use infiltration planters, porous pavement, and tree boxes.
option 2. natural land Cover Conditions

sTeP 1. deTerMine naTural land Cover CondiTions


Estimate the natural land cover conditions for the project site. natural land cover conditions refer to the vegetation and soil
conditions that existed prior to alteration or development activities; examples of such human activities include industry,
agriculture, mining, construction, municipal development, commercial development, and residential development.
obtain presettlement vegetation maps, soil maps, or a description of typical land cover conditions in the projects region.
Determination of the natural land cover conditions can also be based on the historical context of the site (e.g., forested,
grassland) and an assessment of the soil conditions.
sources of information include local governments and state environmental agencies, conservation or water resource
organizations, historical societies or historic preservation groups, libraries, colleges and universities, private historical
mapping companies, and (in the u.s.) EPa, Department of the interior, u.s. Geological survey, oak Ridge national Laboratory
(nasa), national center for atmospheric Research, and Department of agriculture.

sTeP 2. CalCulaTe runoff voluMe of naTural land Cover CondiTions


use an empirical, statistical, or mathematical method to calculate the total volume of runoff managed by the site for the 95th-
percentile of regional or local rainfall events (see Further Explanation, Calculations).

using the 95th-percentile event is the best way to approximate the sites historical hydrological capacity. in effect, the project
team is creating a state comparable to natural land cover conditions.
all variables needed to complete the calculation are estimated based on the historical land cover conditions. for example,
runoff curve numbers for the site are estimated based on the historical vegetation cover and soil conditions.
193
sTeP 3. CalCulaTe runoff voluMe To be ManaGed on siTe
compare the runoff volume under natural land cover conditions with the runoff volume under the postdeveloped conditions.
calculate the total volume of runoff (in cubic feet or cubic meters) corresponding to the 95th percentile of rainfall events for
the site in its postdeveloped condition.
subtract the natural land cover volume from the postdeveloped volume: the difference is what must be managed on site.
in rare cases, the natural land cover conditions would manage less than the 95th percentile. in this case, the project must
manage only the runoff volume that the natural land cover conditions would manage.

sTeP 4. seleCT ManaGeMenT Measures and verify Their effeCTiveness choose and size rainwater management
strategies for the project.
use an empirical, statistical, or mathematical method to confirm that the volume of runoff leaving the postdeveloped site
does not exceed the volume of runoff under natural land cover conditions.
Portions of the site that are natural or close to natural may mitigate rainwater runoff and supplement other best management
practices to achieve the goal of natural hydrologic performance.

The project team may choose the runoff volume calculation methodology most appropriate for the project. Many
rainwater software programs include calculation methodologies. Examples include the modified rational
method; the Natural Resources Conservation Service method (sometimes called SCS method), as described in
Technical Release 55 (TR-55); and the U.S. EPA Rainwater Management Model (SWMM).

Modified rational method

Q = c i a aPf , where
Q = quantity of flow rate (ft3/second or m3/second) c = runoff

coefficient i = rainfall intensity (inches/hour or mm/hour) a =

drainage area (acres or hectares) aPf = antecedent precipitation


factor

The TR-55 Natural Resources Conservation Service method includes two


equations. TR-55 graphical peak discharge qp = qa am Q fp

where

qp = peak discharge (ft3/second or m3/second) qa = unit peak discharge

(ft3/second/mile2/inch or m3/second/km2/mm) am = drainage area (mile2 or km2) Q =

runoff (inches or mm) fp = pond and swamp adjustment factor

TR-55 tabular hydrograph

q = qt am Q

where q = hydrograph coordinate (ft3/second or m3/second) at hydrograph time t qt =

tabular unit discharge (ft3/second/mile2/inch or m3/second/km2/mm) am = drainage area (mile2


or km2)

Q = runoff (inches or mm)


PerCenTile of rainfall evenTs1
194
A percentile rainfall event represents a precipitation amount that the chosen percent of all rainfall events for the
period of record do not exceed. For example, the 95th percentile of rainfall events is the measured
precipitation depth accumulated over 24 hours that ranks as the 95th-percent rainfall depth based on the
range of all daily event occurrences during the period of record. The 24-hour period is typically defined as
12:00:00 A.M. to 11:59:59 P.M.

Use the following steps to determine the 95th percentile of rainfall events:
1. Obtain a long-term daily precipitation data set for the project location (e.g., for U.S. projects, from the
National Climatic Data Center website; for projects outside the U.S., see International Tips). In general, a
30-year period of rainfall record is preferred for the analysis. The raw data are collected by most airports. At
least 10 years of data must be included if available.
2. Import the data into the USGBC rainfall events calculator or another spreadsheet. If using another
spreadsheet, organize daily precipitation records in a single column, in any order.
3. Review the records, looking for anomalies, and identify and remove any erroneous or flagged data points.
4. Remove rainfall events of less than 0.1 inch (2.5 mm). The amount of precipitation from these small events
generally produces no measurable runoff because of absorption by permeable surfaces and interception and
evaporation by impermeable and vegetated surfaces.
5. The USGBC calculator determines 85th, 95th, and 98th percentile rainfall amounts. If using another
spreadsheet software, apply a percentile function (or similar) to obtain results.

Green infrasTruCTure and loW-iMPaCT develoPMenT sTraTeGies


In addition to mimicking natural hydrologic cycle processes, green infrastructure and low-impact
development help integrate the site with the surrounding watershed, are appropriate to the local ecosystem
and climate, and deliver such other benefits as water reuse, habitat creation, and species diversity. Project teams
should consult EPAs National Menu of Stormwater Best Practices and consider the following questions when
selecting measures for the project:
Which GI and LID measures will best mimic natural site hydrology?
How can multiple measures be used together (in a treatment train approach) to manage rainwater?
What are the infiltration rates and capacities of the most practical measures and how might the sites soil
conditions affect their efficiency?
What are the types and infiltration rates of existing soil conditions, and what design modifications might
need to be made, if any, to the best management practices to satisfy performance goals?
How effective are the measures at removing contaminants from the rainwater runoff?

exaMPle
The new construction project is a 10-story building on a previously developed site in an urban
neighborhood in Denver. The total site area is 43,000 square feet (4 000 square meters). Of the total site
area, the building footprint and hardscape account for 25,000 square feet (2 300 square meters); the rest is
pervious landscaped area. Most of the parking is located under the building.

1. Components adapted from Technical Guidance on Implementing the Stormwater Runoff


Requirements for Federal Projects under Section 438 of the Energy
Independence and Security Act.
195

Existing vegetated roof area = 9,000 sq ft (836 sq m)


Existing pervious concrete patio = 4,000 sq ft (372 sq m)
Proposed porous paving = 10,000 sq ft (929 sq m) Proposed Bioretention Area A: 750 sq ft (70 sq m) Proposed Bioretention Area B: 750 sq ft (70 sq m)
Proposed Bioretention Area C: 300 sq ft (28 sq m)

Figure 1. Example site plan


The project team has selected Option 1, Path 1, and pulled daily rainfall data from the National Climatic Data
Center for the previous 10 years. Based on the historical data, the 95th-percentile storm delivers 1.1 inches (28
mm) of rain.
tablE 1. Example 95th percentile value

rainfall Percentile storm

1.33 inches (34 millimeters) 99


196

1.29 (33) 98

1.22 (31) 97

1.15 (29) 96

1.1 (28) 95

1.05 (27) 94

1.01 (26) 93

0.96 (24) 92

To supplement the capacity of the pervious landscaped area, the project team has identified several GI and LID
measuresbioretention areas, porous paving, a rain garden, and pervious deckingto capture rainwater from
impervious surfaces.

The team needs to determine the expected runoff for the 95th percentile of events. Expected runoff from each
type of land cover is calculated using a simple volumetric approach based on the following equation:
Runoff = Rainfall Depression storage infiltration loss

Depression storage is the rainfall required to initiate runoff, and infiltration loss is the amount of rainfall that
infiltrates into the ground. Infiltration loss is limited to pervious areas and estimated by Hortons equation:

ft = fmin + (fmax fmin) e- kt

where

ft = infiltration rate at time t (in/hr) fmin = minimum or saturated infiltration rate (in/hr) fmax

= maximum or initial infiltration rate (in/hr) k = infiltration rate decay factor (/hr) t = time

(hr) measured from time runoff first discharged into infiltration area

The total runoff from the site is obtained using a weighted area calculation:

(Runoff roof A roof) + (Runoff pavement A pavement) + (Runoff pervious A pervious)


Runoff site = ______________________________________________________________________________

A site

To verify that the designed site manages all the rainwater runoff generated during the 95th-percentile storm, the
team uses the direct determination method (Runoff = Rainfall Depression storage Infiltration loss) to verify
the area of bioretention required to manage the excess runoff from the developed site. The results are
summarized below.

tablE 2. Example summary table

Total area 43,000 ft2 (4 000 m2)

Total imperviousness 58.1%

95th percentile rainfall event 1.1 ins. (28 mm)


197

Expected runoff for the 95th percentile of


rainfall events without bioretention 0.53 ins. (13 mm)

Area of bioretention needed to manage expected runoff 1,568 ft2 (145 m2)

Area of bioretention in project design 1,800 ft2 (167 m2)

Sample documentation narrative describing GI and LID measures:


The bioretention facilities incorporated into the site design are
soil- and plant-based filtration systems that receive runoff from the
developed site areas. They are located at low points on
the site, where rainfall collects (see site plan). Rainfall runoff infiltrates
into a sandy medium that temporarily holds the rainwater,
facilitating numerous physical, biological, and chemical processes.
Vegetation planted in the bioretention facilities, including
Andropogon scoparius, Iris sp., and Prunus americana, help filter particles
in the runoff, assimilate nutrients and contaminants from the
neighboring roadway, degrade engine oil, and oxygenate
conditions to promote beneficial microorganisms. Bioretention mimics
natural site hydrology by facilitating natural processes such
as infiltration and evapotranspiration. The area of
bioretention in this project meets the 95th percentile criteria,
managing rainwater via natural processes for storms up
to 1.1 inches (28 mm).

inTernaTional TiPs
If rainfall data for the project location are not available through the National Climatic Data Center database, the
databases of the UN Food and Agriculture Organization (FAO) and Aquastat can be good sources of
information for country-level rainwater data. Local rainfall data are best; use country-level data if necessary.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.

ProjeCT TyPe variaTions


Multitenant Complex Projects, Master Plan
The requirements may be met using a coordinated approach for multiple-building projects. This could include a
group of distributed LID techniques within the boundary of the master plan to manage rainwater generated from
the project site (Figure 2).
If a coordinated approach is used for the multitenant or multiple-building areas, distributed LID techniques
based on a watershed approach are required. Accordingly, highly centralized approaches such as large ponds or
wetlands that manage all of the runoff from the master plan site do not meet the intent of this credit. Instead,
design LID strategies to manage runoff as close as possible to the source and in such a way that the strategies
best maintain or restore the watersheds hydrological and ecological functions.
There are LID strategies that may be easier to implement for master planned developments with more open
space opportunities.
Examples include using swales instead of piping, promoting sheet flow to natural areas, and reducing the
width of paved roadways.
198

Figure 2. Example master plan project

required doCuMenTaTion

documentation all Projects option 1, Path 3 option 2

Rainfall data X

Rainfall events calculator or calculations for the chosen percentile storm X

Runoff volume calculations X

Plans, details, or cross sections depicting site conditions and GI or LID


strategies, highlighting topography, direction of water flow, and area of X
site that each facility addresses

Narrative confirming measures qualifyas GI or LID X

Calculations for volume of rainwater managed by GI or


LID strategies X

Explanation for why 10 years of historic rainfall data are not available for
the project location (if applicable) X

Description of conditions that make the project zero lot line X

Floor area ratio X


199

Documents illustrating natural land cover conditions X

Multitenant complex projects only:summary of centralized approach and


associated distributed techniques X

relaTed CrediT TiPs


Integrative Process Credit. GI and LID measures, such as harvesting and reusing rainwater for indoor and/or
outdoor water use, will contribute to the preliminary water budget analysis required for the related credit.

SS Credit Site DevelopmentProtect or Restore Habitat. Vegetated areas used as part of GI and LID
approaches can be excluded from the calculations for the related credit.

SS Credit Open Space. Some vegetated GI and LID areas may qualify as open space areas for the related
credit. Specifically, wetlands or naturally-designed ponds may count as open space if the side slope gradients are
vegetated and average 1:4 (vertical:horizontal) or less.

SS Credit Site Assessment. The assessment of site hydrology and soils conducted for the Site Assessment
Credit may inform appropriate GI and LID measures for SS Credit Rainwater Management.

SS Credit Site Master Plan. If project teams have the opportunity to plan the school propertys overall
rainwater strategy or watershed approach in the master planning phase, the rainwater management option for
multitenant complex strategies may be applied to the entire school property area.

WE Prerequisite and WE Credit Outdoor Water Use Reduction. GI and LID measures that harvest and
reuse rainwater for irrigation may help achieve the related credit by reducing the potable water demand.

WE Prerequisite and WE Credit Indoor Water Use Reduction. GI and LID measures that harvest and reuse
rainwater to supplement plumbing fixture water use may help reduce potable water demand.

SS Credit Heat Island Reduction. Vegetated roofs installed for achievement of this credit will also qualify for
the related credit.

ChanGes froM leed 2009


Stormwater quality and quantity management credits have been combined into a single Rainwater
Management credit.
Projects must use GI and LID rainwater management techniques on site.
A specific path has been created to accommodate reduced rainwater management opportunities in zero lot
line urban projects.
The multitenant complex path has been expanded to all projects types in addition to retail projects.
The metric by which to test compliance is now the total volume of runoff calculated for the 95th percentile
of regional or local storm events, rather than the one-year and two-year storm events.

referenCed sTandards
U.S. EPA Technical Guidance on Implementing the Rainwater Runoff Requirements for Federal Projects
under Section 438 of the Energy Independence and Security Act: epa.gov

exeMPlary PerforManCe
Manage 100% of rainwater that falls within the project boundary.
definiTions
200

green infrastructure a soil- and vegetation-based approach to wet weather management that is cost-effective,
sustainable, and environmentally friendly. Green infrastructure management approaches and technologies
infiltrate, evapotranspire, capture and reuse stormwater to maintain or restore natural hydrologies. (Adapted
from U.S. Environmental Protection Agency)

low-impact development (LID) an approach to managing rainwater runoff that emphasizes on-site natural
features to protect water quality, by replicating the natural land cover hydrologic regime of watersheds, and
addressing runoff close to its source. Examples include better site design principles (e.g., minimizing land
disturbance, preserving vegetation, minimizing impervious cover), and design practices (e.g., rain gardens,
vegetated swales and buffers, permeable pavement, rainwater harvesting, soil amendments). These are
engineered practices that may require specialized design assistance.

manage (rainwater) on site to capture and retain a specified volume of rainfall to mimic natural hydrologic
function. Examples of rainwater management include strategies that involve evapotranspiration, infiltration, and
capture and reuse.

master plan boundary the limits of a site master plan. The master plan boundary includes the project area and
may include all associated buildings and sites outside of the LEED project boundary. The master plan boundary
considers future sustainable use, expansion, and contraction.

natural site hydrology the natural land cover function of water occurrence, distribution, movement, and balance

zero lot line project a plot whose building footprint typically aligns or nearly aligns with the site limits
201
susTainable siTes CrediT

heat island Reduction


this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (1-2 points)
retail (12 points) healthcare (1 point)

inTenT

to minimize effects on microclimates and human and wildlife habitats by reducing heat
islands.

requireMenTs
Choose one of the following options:

oPTion 1. nonroof and roof (2 PoinTs exCePT healThCare, 1 PoinT healThCare)

Meet the following criterion:


Area of Area of High- Area of
Nonroof Reflectance Vegetated
Measures Roof Roof
Total Site

Paving Area + Total Roof Area


0.5

Alternatively, an SRI and SR weighted average approach may be used to calculate compliance.

Use any combination of the following strategies.

Nonroof Measures
Use the existing plant material or install plants that provide shade over paving areas (including
playgrounds) on the site within 10 years of planting. Install vegetated planters. Plants must be in place at
the time of occupancy permit and cannot include artificial turf.
Provide shade with structures covered by energy generation systems, such as solar thermal collectors,
photovoltaics, and wind turbines.
Provide shade with architectural devices or structures that have a three-year aged solar reflectance (SR)
value of at least 0.28. If three-year aged value information is not available, use materials with an initial SR
of at least 0.33 at installation.
Provide shade with vegetated structures.
Use paving materials with a three-year aged solar reflectance (SR) value of at least 0.28. If three-year aged
value information is not available, use materials with an initial SR of at least 0.33 at installation.
Use an open-grid pavement system (at least 50% unbound).

High-Reflectance Roof
203

Use roofing materials that have an SRI equal to or greater than the values in Table 1. Meet the three-year aged SRI
value. If three-year aged value information is not available, use materials that meet the initial SRI value.

tablE 1. Minimum solar reflectance index value, by roof s lope

slope initial sri 3-year aged sri

Low-sloped roof 2:12 82 64

Steep-sloped roof > 2:12 39 32

Vegetated Roof
Install a vegetated roof.
or

oPTion 2. ParkinG under Cover (1 PoinT)


Place a minimum of 75% of parking spaces under cover. Any roof used to shade or cover parking must (1) have a
three-year aged SRI of at least 32 (if three-year aged value information is not available, use materials with an initial
SRI of at least 39 at installation), (2) be a vegetated roof, or (3) be covered by energy generation systems, such as
solar thermal collectors, photovoltaics, and wind turbines.
behind The inTenT
Dark, nonreflective surfaces used for parking, roads, roofs, walkways, and other hardscapes absorb the suns
warmth and radiate heat, creating heat islands. Urban areas can have temperatures 1.8 to 5.4F (1 to 3C) warmer
than surrounding suburban and undeveloped areas, and as much as 22F (12C) warmer in evenings. These heat
islands may contribute to regional average warming trends .1 A study of surface warming resulting from rapid
urbanization in east China found urban heat islands responsible for 24.2% of regional warming. 2 Urban heat island
effects have numerous negative consequences: plants and animals sensitive to temperature fluctuations may find
habitat affected by heat islands inhospitable. Human health may suffer because exposure to ground-level pollution is
often worse in places affected by heat islands. Additionally, heat islands increase cooling loads in the summer,
necessitating larger, more powerful air-conditioners that use more electricity, in turn increasing cooling costs,
producing more greenhouse gases, and generating pollution.
According to a study of the metropolitan areas of Baton Rouge, Chicago, Houston, Sacramento, and Salt Lake
City by the Department of Energys Lawrence Berkeley National Laboratory, the energy savings potential of heat
island reduction measures ranges from $4 million to $15 million per year.3 Efforts to reduce heat islands can have a
reasonable payback period when included as part of an integrated systems approach to improving building
performance, such as by installing solar panels on shading devices or using a vegetated roof to insulate a building
and extend the life of the roof.
The most effective measure of a roofing materials ability to reject solar heat is the solar reflectance index (SRI).
However, to measure the solar heat rejection of components that are not roofing materials, or nonrooffor
example, vegetation, shading devices, and other less reflective componentssolar reflectance (SR) is used in this
credit instead. SR is a more appropriate way to measure nonroof materials, which have more thermal mass. In
addition to a products initial SRI or SR value, this credit considers a products three-year-aged SRI or SR values,
which measure material performance over time. The credit encourages project teams to adopt a variety of strategies,
including reducing hardscape and incorporating high-SRI or high-SR materials such as vegetation and shaded
parking, which minimize a projects overall contribution to heat island effects.

sTeP-by-sTeP GuidanCe

Determine which option the project will pursue. Exemplary performance is available to teams that pursue both options and locate 100%
of parking under cover.

option 1 is for projects with compliant roofs and at-grade (i.e., nonroof) systems, but no covered parking.
option 2 is for projects with only covered or underground parking.

option 1. nonroof and roof


sTeP 1. MiniMiZe hardsCaPe
in early design, look for opportunities to limit the amount of hardscape on the project site. increasing the landscaped portion of the
site is the most effective strategy for reducing overall heat island effects and supports achievement of other credits (see Further
Explanation, Heat Island Mitigation Strategies and Related Credit Tips).

sTeP 2. idenTify hardsCaPe and roof area


on a site plan, determine the total hardscape area and the total applicable roof area within the project boundary.

1. U.S Environmental Protection Agency, Heat Island Effect, epa.gov/heatisland/index.htm (accessed May
2013).
2. Yang, X., Y. Hou, and B. Chen, Observed Surface Warming Induced by
Urbanization in East China, J. Geophys. Res., 116 (2011), D14113,
doi:10.1029/2010JD015452.
205

3. U.S Environmental Protection Agency, Heat Island Effect: Urban Heat Island Pilot
Project (UHIPP), epa.gov/hiri/pilot/index.html (accessed May 2013).
.

+ + +

+ + + +
207

.
heaT island MiTiGaTion sTraTeGies

tablE 2. Roof strategies

strategy rules and tips

Consider effects of glare on traffic, pedestrians, and adjacent buildings, especially if project has steepsloped
roofs
High-reflectance roof Consider high-reflectance materials need for maintenance (e.g., regular cleaning) required to keep these
materials from losing reflectivity over time

Artificial turf grass does not count


Plants must be in place at occupancy
Vegetated roof Extensive or intensive vegetated roofs are eligible; roof planters contribute only if part of a vegetated roof
system
Consider maintenance required for both plants and structural integrity

tablE 3. Nonroof strategies

strategy rules and tips

Plants must be in place at occupancy


Shading with new or existing plant material Assume 10-year canopy width at noon (i.e., in plan view, plant canopy width has no
extending shadows, regardless of time of year)

Artificial turf grass does not count


Vegetated planters Plants must be in place at occupancy

Paved area (not roof area) shaded by covering with energy generation equipment (e.g.,
Shading structures with energy generation
solar thermal collectors, photovoltaics, wind turbines) is eligible

Shading architectural devices or structures Materials must have 3-year aged SR value of at least 0.28, or initial SR of at least 0.33

Vegetated shading structures Plants must be in place at occupancy

Materials must have 3-year aged SR value of at least 0.28, or initial SR of at least
0.33
High-reflectance paving
Consider maintenance (e.g., regular cleaning) required to keep these materials from
losing reflectivity over time

Open-grid paving Must be at least 50% unbound

tablE 4. Covered parking strategies

strategy rules and tips

May be underground, under deck, under roof, or under building


Stacked parking is considered covered parking
Undercover parking
Any roof used to shade or cover parking must meet criteria listed in credit
requirements

exaMPles
Figure 1 illustrates a project that is seeking to achieve Options 1 and 2.
209

Elm shade trees


Vegetation at the ground plane (ilex sp.) LEED PROJECT BOUNDARY

Vegetated roof area = 1,200 sq ft (110 sq m) Total nonroof hardscape area = 3,900 sq ft
(360 sq m)
High-reflectance roof area (3 year aged
SRI of 90) = 1,050 sq ft (100 sq m) Total roof area = 2,450 sq ft (230 sq m)

High-reflectance paving area (3-year aged SRI of 90) =


2,600 sq ft (240 sq m)
Vegetation at the ground plane = 1,920 sq ft (180 sq m) Figure 1.
Example site plan Tree cover/shade = 1,000 sq ft (95 sq m)

Example 1. Standard nonroof or roof calculation


The project includes 3,900 square feet (360 square meters) of hardscape. The total roof area is 2,450 square feet
(230 square meters), of which 200 square feet (20 square meters) is covered by mechanical equipment, making the
total applicable roof area 2,250 square feet (210 square meters). The following heat island mitigation strategies have
been included in the project design:
400 ft2 (35 m2) of sidewalk with 3-year aged SR of 0.30
600 ft2 (55 m2) parking canopy covered with photovoltaic panels
1,000 ft2 (95 m2) of shading by tree canopy
1,200 ft2 (110 m2) vegetated roof
1,050 ft2 (100 m2) of high-reflectance roof with 3-year aged SRI of 90
The project team calculates compliance using Equation 1, as follows:
400 ft2 (35 m2)
+
600 ft2 (55 m2)
+ 1,050 ft2 1,200 ft2
2 2 2
1,000 ft (95 m ) (100 m ) (110 m2) 2 2

+ + (3603,900 ft m2) + 2(210,250 ft m2)


0.5 0.75 0.75

The total calculated area of nonroof and roof mitigation strategies (7,000 square feet [650 square meters])
exceeds the sum of total site hardscape and total applicable roof area (6,150 square feet [570 square meters]),
so the project achieves the credit.

Example 2. Weighted nonroof or roof calculation


The project includes 3,900 square feet (360 square meters) of hardscape. The total roof area is 2,450 square feet
(230 square meters), of which 200 square feet (20 square meters) is covered by mechanical equipment, making
the total applicable roof area 2,250 square feet (210 square meters). The following heat island mitigation
strategies have been included in the project design:
400 ft2 (35 m2) of permeable sidewalks that are 55% unbound
600 ft2 (55 m2) parking canopy covered with vegetated roofing system
1,000 ft2 (95 m2) of shading by tree canopy
1,200 ft2 (110 m2) vegetated roof
400 ft2 (35 m2) of steep-sloped roof with initial SRI of 42
650 ft2 (60 m2) of steep-sloped roof with initial SRI of 34

The project team calculates compliance using Equation 2, as follows:


2 2

400 ft (35 m )

+
SRI 42 SRI 34

600 ft2 (55 m2) ( 400 ft22 ) ( 2

) 1,200 ft2

+
2 2 (35 m ) SRI 39SRI 39 (110 m )
1,000 ft (95 m )3,900 ft2 2,250 ft2
+ + +
0.5 0.75 0.75
211

The total calculated area of nonroof and roof mitigation strategies (6,929 square feet, 636 square meters)
exceeds the sum of total site hardscape and total applicable roof area (6,150 square feet, 570 square
meters), so the project achieves the credit.

inTernaTional TiPs
Projects outside the U.S. can contact manufacturers directly and ask for SRI information. If
manufacturers do not provide this information, the project team can identify a similar material from the
Cool Roof Rating Council standard for comparison to show that the projects material meets the intent
of the credit.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.
required doCuMenTaTion

documentation option 1 option 2

Nonroof and roof area calculations X

Site plan(s) with elements and measurements, including LEED project boundary, building footprint, roof
X
and hardscape area, and area of each roof and nonroof measure

Manufacturers documentation of SRI, SR, and paving permeability X X

Parking space calculations X

relaTed CrediT TiPs


SS Credit Site DevelopmentProtect or Restore Habitat. Minimizing the amount of hardscape increases the
amount of site area available to meet the 30% site restoration threshold for the related credits Option 1 (On-Site
Restoration). Vegetated roofs can also contribute to Option 1 if the plant material meets the criteria for native or
adapted.

SS Credit Open Space. Vegetated roofs can be counted as open space if the project has a development density of
1.5 floor-area ratio and the vegetated roofs are extensive or intensive and are accessible to occupants. Qualifying
roofbased, physically accessible paving areas can also count toward the related credit if the project has a
development density of 1.5 floor-area ratio. The site assessment process in SS Credit Open Space can be used to
identify the best opportunities for mitigating heat islands.

SS Credit Rainwater Management. Vegetated roofs can contribute to rainwater management. Reducing a sites
hardscape area and/or using open-grid paving will improve infiltration rates.

EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance. Vegetated
roofs help insulate buildings, and the cooler surrounding microclimate may lower a buildings cooling load and
improve energy performance. High-reflectance roofs experience less solar heat gain and may therefore lower
cooling loads (but increase heating loads in low-rise buildings in cold climates).
ChanGes froM leed 2009
The credit combines the roof and nonroof heat island credits from LEED 2009.
Vegetated roofs and high-reflectance roofs now have equal weight when calculating compliance.
Tree canopy shade area is now calculated after 10 years of growth rather than five years.
The initial SRI thresholds for roofing material have increased.
Credit compliance for nonroof hardscape is now calculated using SR values instead of SRI values.
The credit now takes into account the three-year aged SRI values for roofing material.

referenCed sTandards
ASTM Standards E903 and E892: astm.org

Cool Roof Rating Council Standard (CRRC-1): coolroofs.org


exeMPlary PerforManCe
Achieve both Options 1 and 2. Locate 100% of parking under cover.

definiTions
appurtenance a built-in, nonstructural portion of a roof system. Examples include skylights, ventilators, mechanical
equipment, partitions, and solar energy panels.

heat island effect the thermal absorption by hardscape, such as dark, nonreflective pavement and buildings, and
its subsequent radiation to surrounding areas. Other contributing factors may include vehicle exhaust,
airconditioners, and street equipment. Tall buildings and narrow streets reduce airflow and exacerbate the effect.

infrared (thermal) emittance a value between 0 and 1 (or 0% and 100%) that indicates the ability of a material to
shed infrared radiation (heat). A cool roof should have a high thermal emittance. The wavelength range for radiant
energy is roughly 5 to 40 micrometers. Most building materials (including glass) are opaque in this part of the
spectrum and have an emittance of roughly 0.9, or 90%. Clean, bare metals, such as untarnished galvanized steel,
have a low emittance and are the most important exceptions to the 0.9 rule. In contrast, aluminum roof coatings
have intermediate emittance levels. (Adapted from Lawrence Berkeley National Laboratory)

open-grid pavement system pavements that consist of loose substrates supported by a grid of a more structurally
sound grid or webbing. Pervious concrete and porous asphalt are not considered open grid as they are considered
bounded materials. Unbounded, loose substrates do not transfer and store heat like bound and compacted materials
do.

solar reflectance (SR) the fraction of solar energy that is reflected by a surface on a scale of 0 to 1. Black paint
has a solar reflectance of 0; white paint (titanium dioxide) has a solar reflectance of 1. The standard technique for
its determination uses spectrophotometric measurements, with an integrating sphere to determine the reflectance
at each wavelength. The average reflectance is then determined by an averaging process, using a standard solar
spectrum, as documented by ASTM Standards E903 and E892.

solar reflectance index (SRI) a measure of the constructed surfaces ability to stay cool in the sun by reflecting
solar radiation and emitting thermal radiation. It is defined such that a standard black surface (initial solar
reflectance 0.05, initial thermal emittance 0.90) has an initial SRI of 0, and a standard white surface (initial solar
reflectance 0.80, initial thermal emittance 0.90) has an initial SRI of 100. To calculate the SRI for a given material,
obtain its solar reflectance and thermal emittance via the Cool Roof Rating Council Standard (CRRC-1). SRI is
calculated according to ASTM E 1980. Calculation of the aged SRI is based on the aged tested values of solar
reflectance and thermal emittance.
213

thermal emittance the ratio of the radiant heat flux emitted by a specimen to that emitted by a blackbody radiator at
the same temperature (adapted from Cool Roof Rating Council)

three-year aged SR or SRI value a solar reflectance or solar reflectance index rating that is measured after three
years of weather exposure

undercover parking vehicle storage that is underground, under deck, under roof, or under a building
susTainable siTes CrediT

Light Pollution Reduction


this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (1 point) Warehouses and distribution Centers (1 point) schools (1 point) hospitality (1
point)
retail (1 point) healthcare (1 point)

inTenT

to increase night sky access, improve nighttime visibility, and reduce the consequences of
development for wildlife and people.

requireMenTs
Meet uplight and light trespass requirements, using either the backlight-uplight-glare (BUG) method (Option 1) or the
calculation method (Option 2). Projects may use different options for uplight and light trespass.

Meet these requirements for all exterior luminaires located inside the project boundary (except those listed under
Exemptions), based on the following:
the photometric characteristics of each luminaire when mounted in the same orientation and tilt as specified in the project
design; and
the lighting zone of the project property (at the time construction begins). Classify the project under one lighting zone
using the lighting zones definitions provided in the Illuminating Engineering Society and International Dark Sky
Association (IES/IDA) Model Lighting Ordinance (MLO) User Guide.

Additionally, meet the internally illuminated signage requirement.

uplight

oPTion 1. buG raTinG MeThod


Do not exceed the following luminaire uplight ratings, based on the specific light source installed in the luminaire, as defined
in IES TM-15-11, Addendum A.
tablE 1. Maximum uplight ratings for luminair es

Mlo lighting zone luminaire uplight rating

LZ0 U0

LZ1 U1

LZ2 U2

LZ3 U3

LZ4 U4

or
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oPTion 2. CalCulaTion MeThod
Do not exceed the following percentages of total lumens emitted above horizontal.

tablE 2. Maximum percentage of total lumens emitted above horizontal, by lighting zones

Maximum allowed percentage of total luminaire


Mlo lighting zone lumens emitted above horizontal

LZ0 0%

LZ1 0%

LZ2 1.5%

LZ3 3%

LZ4 6%

and

light Trespass

oPTion 1. buG raTinG MeThod


Do not exceed the following luminaire backlight and glare ratings (based on the specific light source installed in the luminaire),
as defined in IES TM-15-11, Addendum A, based on the mounting location and distance from the lighting boundary.
tablE 3. Maximum backlight and glare ratings

Mlo lighting zone

Luminaire mounting LZ0 LZ1 LZ2 LZ3 LZ4

allowed backlight ratings

> 2 mounting heights from lighting boundary B1 B3 B4 B5 B5

1 to 2 mounting heights from lighting boundary and


properly oriented B1 B2 B3 B4 B4

0.5 to 1 mounting height to lighting boundary and


properly oriented B0 B1 B2 B3 B3

< 0.5 mounting height to lighting boundary and


properly oriented B0 B0 B0 B1 B2

allowed glare ratings

Building-mounted > 2 mounting heights from any


lighting boundary G0 G1 G2 G3 G4

Building-mounted 12 mounting heights from any


lighting boundary G0 G0 G1 G1 G2

Building-mounted 0.5 to 1 mounting heights from any


lighting boundary G0 G0 G0 G1 G1

Building-mounted < 0.5 mounting heights from any


lighting boundary G0 G0 G0 G0 G1
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All other luminaires G0 G1 G2 G3 G4

The lighting boundary is located at the property lines of the property, or properties, that the LEED project occupies. The lighting
boundary can be modified under the following conditions:
When the property line is adjacent to a public area that is a walkway, bikeway, plaza, or parking lot, the lighting boundary
may be moved to 5 feet (1.5 meters) beyond the property line.

When the property line is adjacent to a public street, alley, or transit corridor, the lighting boundary may be moved to the
center line of that street, alley, or corridor.
When there are additional properties owned by the same entity that are contiguous to the property, or properties, that the
LEED project is within and have the same or higher MLO lighting zone designation as the LEED project, the lighting
boundary may be expanded to include those properties.

Orient all luminaires less than two mounting heights from the lighting boundary such that the backlight points toward the nearest
lighting boundary line. Building-mounted luminaires with the backlight oriented toward the building are exempt from the
backlight rating requirement.
or

oPTion 2. CalCulaTion MeThod


Do not exceed the following vertical illuminances at the lighting boundary (use the definition of lighting boundary in Option 1).
Calculation points may be no more than 5 feet (1.5 meters) apart. Vertical illuminances must be calculated on vertical planes
running parallel to the lighting boundary, with the normal to each plane oriented toward the property and perpendicular to the
lighting boundary, extending from grade level to 33 feet (10 meters) above the height of the highest luminaire.

tablE 4. Maximum vertical illuminance at lighting boundary, by lighting zone

Mlo lighting zone vertical illuminance

LZ0 0.05 FC (0.5 LUX)

LZ1 0.05 FC (0.5 LUX)

LZ2 0.10 FC (1 LUX)

LZ3 0.20 FC (2 LUX)

LZ4 0.60 FC (6 LUX)

FC = footcandle

and
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internally illuminated exterior signage


Do not exceed a luminance of 200 cd/m2 (nits) during nighttime hours and 2000 cd/m2 (nits) during daytime hours.

exemptions from uplight and light Trespass requirements

The following exterior lighting is exempt from the requirements, provided it is controlled separately from the nonexempt lighting:
specialized signal, directional, and marker lighting for transportation;
lighting that is used solely for faade and landscape lighting in MLO lighting zones 3 and 4, and is automatically turned off
from midnight until 6 a.m.;
lighting for theatrical purposes for stage, film, and video performances;
government-mandated roadway lighting;
hospital emergency departments, including associated helipads;
lighting for the national flag in MLO lighting zones 2, 3, or 4; and
internally illuminated signage.

behind The inTenT


Artificial exterior lighting not only provides human safety and comfort, it enables us to productively use more
hours of the day. If done correctly, exterior lighting offers safety, security, building identification, aesthetics, and
way finding. However, poor lighting design causes light pollution.
Light pollution is the misdirection or misuse of light, generally resulting from an inappropriate application of
exterior lighting. Backlight creates light trespass onto adjacent sites by directing light in the opposite direction of
the area intended to be lighted. Uplight causes artificial sky glow. Glare is caused by high-angle front light.
Light pollution creates an abundance of environmental problems. Wildlife species that hunt or forage at night
may be unable to feed. Some flora and fauna are unable to adjust to seasonal variations when exposed to light
pollution. Migratory birds that rely on stars to guide them during migration may become disoriented. Even
human health can be damaged by misuse of light. Studies have shown that overexposure to artificial lighting,
particularly at night, may disrupt our circadian rhythms and melatonin production, impair night vision, and lead
to sleep disorders.1 Finally, light pollution directed into the sky or into areas that do not need illumination is a
waste of both energy and money.
Good lighting design involves reducing three forms of light pollution: uplight, glare, and light trespass. This
credit addresses all three with requirements for specifying only the necessary lighting, selecting the right
luminaires (lamp-ballast combinations), locating them appropriately on the project site, and implementing an
appropriate control strategy. So that designers have flexibility, this credit offers two compliance optionsa
calculation method (as in LEED 2009) and a new backlight, uplight, and glare (BUG) rating method.
Thoughtful selection of lighting results in luminaires that are not only aesthetically pleasing but also generate
well-shielded, well-directed light. Minimizing direct views of lamps avoids glare, and gradually changing light
levels allows the human eye to adapt. Efficient design specifies both luminaire distribution and lighting controls,
including motion sensors, photocells, time clocks, and other devices that reduce the amount of light at times and
places it is not needed.

sTeP-by-sTeP GuidanCe

sTeP 1. esTablish exTerior liGhTinG ProjeCT Goals


Determine which team members will be responsible for the lighting design, luminaire selection, and overall lighting concept.
Prepare a schematic site lighting design by doing the following:
identify the desired lighted areas on site.
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consult the illuminating Engineering society (iEs) Lighting handbook recommendations to establish target light levels and
uniformities for the identified areas.
identify any areas of the site where it may be difficult to meet the credit requirements because of light level needs, proximity
to a boundary, or other factors.

sTeP 2. deTerMine liGhTinG Zone


identify the projects lighting zone. the lighting designer (or someone with knowledge of the project site and lighting zone
classifications) is responsible for classifying the lighting zone.
Refer to the iEs Model Lighting ordinance (MLo) user Guide for information on determining the projects lighting zone (see
Further Explanation, Lighting Zones).
classify the entire project as one lighting zone.
Provide justification for the lighting zone chosen for the project.

sTeP 3. esTablish liGhTinG boundary


Determine the lighting boundary for the project and create a lighting boundary site plan. Provide justification for any
modification of the lighting boundary (e.g., if the lighting boundary was moved from the project boundary to the center line of
an adjacent public street).
1. American Medical Association, House of Delegates, Report 4 of the
Council on Science and Public Health (A-12), Light Pollution: Adverse Health
Effects of Nighttime Lighting (2009), ama-assn.org/resources/doc/csaph/a12-csaph4-lightpollution-
summary.pdf (accessed March 2013).
sTeP 4. PrePare siTe liGhTinG desiGn
Prepare a site lighting plan based on the lighting zone designation and develop a luminaire schedule for the project, selecting luminaires that
eliminate or minimize uplight and light trespass off site (see Further Explanation, Choosing Luminaires).
Designate all exterior luminaires (both exempt and nonexempt) within the project boundary, and indicate locations, including pole heights.
Depict the project boundary, the property line (if different from the project boundary), the lighting boundary, any additional properties included in
the lighting boundary, and any relevant project site conditions.
indicate the total number of each luminaire type in the project.
identify the manufacturer, model number, lamp type, orientation, tilt angle (if applicable), and input wattage for each luminaire type.
this is only a preliminary design; the project team may need to revisit the design after completing the subsequent steps and determining the uplight
and light trespass values.

sTeP 5. deTerMine exeMPTions


identify any luminaires that are exempt from the uplight and light trespass requirements and provide justification for the exemptions.
Examples of exempt lighting include emergency lighting, government-mandated roadway lighting, theatrical lighting, and lighting of the national
flag in certain lighting zones.
if no lighting is required except what is listed in exemptions (see credit requirements) the project achieves the credit, provided the team justifies
the exemptions.

sTeP 6. seleCT CoMPlianCe oPTion for nonexeMPT liGhTinG


Determine which method of compliance documentation the project team will follow for all nonexempt lighting, and for each of the two sets of
requirements (uplight and light trespass). the two compliance options are the BuG Rating Method (option 1) or the calculation Method (option 2).
Project teams can also combine the two options.
option 1 may be the easier compliance path if BuG ratings are available for all or most project luminaires (see Further Explanation, About the BUG
Method).
option 2 is for projects with some luminaires that would not comply or would be difficult to include under the BuG rating method. Examples
include a particular luminaire that, in itself, would not meet the BuG thresholds but when used in concert with other luminaires can pass based
on the calculation method; and adjustable luminaires tilted from their nominal position, such that it is difficult to determine the BuG rating.
a project can pursue different options for the uplight and trespass requirements. for example, option 1s BuG rating method can be applied to
uplight and option 2s calculation method can be used for light trespass, and vice versa. however, project teams cannot mix compliance paths
within uplight or light trespass: only one option may be used to demonstrate uplight, and only one option may be used to demonstrate light
trespass.

sTeP 7. GaTher daTa on luMinaires option 1


List the backlight, uplight, and glare ratings of each unique luminaire for the orientation and tilt specified in the project design.
Ratings for luminaires without published BuG rating can be determined via software (see Further Explanation, Calculating BUG Values).

option 2
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show the total lumens per luminaire and lumens emitted above horizontal by each luminaire (lamp-ballast combination) for the orientation
and tilt specified in the project design.
show the performance for each angular position (tilt) if there are multiple angular positions for a luminaire type.
identify all auxiliary shielding specified.
sTeP 8. evaluaTe uPliGhT CoMPlianCe
Determine compliance with the uplight requirements and make any necessary adjustments to the preliminary lighting design. option 1 consult
table 1 of the credit requirements for the maximum luminaire BuG uplight rating for the projects lighting zone. Ensure that all luminaires, when
positioned in the specified design position, do not exceed this maximum uplight rating (see Further Explanation, Example 1). option 2
calculate the percentage of total lumens emitted above horizontal (see Further Explanation, Example 2). Ensure that the selected luminaires,
cumulatively, do not exceed the maximum allowable uplight percentage listed in table 2 of the credit requirements, based on the projects
lighting zone.
the requirements apply not to each individual luminaire but to the total uplight generated by all luminaires.
use manufacturers data sheets or iEs files for each luminaire to identify the total luminaire lumens emitted plus the total luminaire lumens
emitted above 90 degrees (horizontal). this information is typically shown in catalogue cutsheets or in iEs files.

sTeP 9. evaluaTe liGhT TresPass CoMPlianCe


Determine compliance with the light trespass requirements and make any necessary adjustments to the preliminary lighting design (see Further
Explanation, Calculating Light Trespass). option 1 consult table 3 of the credit requirements for the maximum luminaire BuG rating for the projects
lighting zone and the luminaire location and angular position. Ensure that all luminaires do not exceed the maximum backlight and glare ratings.
consider mounting location, distance from the lighting boundary, and light source when choosing the luminaires that meet the backlight and
glare ratings. Luminaires mounted at the highest height and located closest to the lighting boundary constitute the worst-case scenario and
may not comply (see Further Explanation, Mounting Heights).
consider trade-offs when choosing luminaires. compared with traditional light sources, for example, LEDs are more directional and brighter
and can therefore produce more glare, but they are also more controllable.
Ensure that the luminaires chosen are located appropriately in relation to the lighting boundary, as stipulated in the credit requirements. a
building-mounted luminaire with its backlight oriented toward the building can be exempted from the backlight requirement. in this case,
the luminaire must meet only the light trespass requirements for glare.

option 2
calculate the vertical illuminance at the lighting boundary to ensure that the illuminance does not exceed the maximum allowance shown in
table 4 of the credit requirements (see Further Explanation, Vertical Illuminance).
calculate the vertical illuminances on all vertical planes as they extend upward from the lighting boundary at grade level to a height at least 33
feet (10 meters) above the tallest luminaire on the project. calculation points on each plane must be no more than 5 feet (1.5 meters) apart.
for each plane, ensure that the greatest vertical illuminance does not exceed the threshold indicated in the credit requirements.
Retain point-by-point calculation output for the vertical plane containing the greatest vertical illuminance (the worst-case scenario).

sTeP 10. seleCT CoMPlianT, inTernally illuMinaTed exTerior siGnaGe


choose luminaires that meet the threshold requirements for light pollution and light trespass given in the credit requirements. if the signage
company does not have any data for the manufactured sign, assess compliance in other ways. for example,
take a measurement of the signs maximum luminance.
have the lighting consultant construct the sign in calculation software by putting an automatic placement grid on the luminous surface(s) of the
object with a transmission assigned to the surface(s) and setting the measurement type to diffuse luminance to get the results.

The Model Lighting Ordinance establishes five lighting zones, ranging from natural environments with no artificial lighting
(Lighting Zone 0) to areas of very high ambient lighting, such as Times Square in New York City (Lighting Zone 4).
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The MLO lighting zone for the project is based on the lighting zone of the immediately adjacent property at the time
construction begins.

tablE 5. Model Lighting Ordinance lighting zones*

lighting zone definition recommended uses

Areas where natural environment will be seriously and


adversely affected by lighting. Effects include disturbing
biological cycles of flora and fauna and/or detracting from Typically includes undeveloped areas of open space,
0 human enjoyment and appreciation of natural environment.
wilderness parks and preserves, areas near
no ambient Human activity is subordinate in importance to nature. Vision of
astronomical observatories, or any other area where
lighting human residents and users is adapted to darkness, and they
protection of dark environment is critical.
expect to see little or no lighting. When not needed, lighting
should be extinguished.

Areas where lighting might harm flora and fauna or disturb


character of area. Vision of human residents and users is Typically includes single- and two-family residential
1 adapted to low light levels. Lighting may be used for safety communities, rural town centers, business parks, and
low ambient and convenience but is not necessarily uniform or continuous. other commercial, industrial, orstorage areas with limited
lighting After curfew, most lighting should be extinguished or reduced nighttime activity. May also include developed areas in
as activity levels decline. parks and other natural settings.

Typically includes multifamily residential uses,


institutional residential uses, schools, churches, hospitals,
Areas of human activity where vision of human residents and hotels, motels, and commercial or businesses areas with
2 users is adapted to moderate light levels. Lighting may typically evening activities in predominately residential areas. Also
Moderate be used for safety and convenience but is not necessarily includes neighborhood recreational and playing fields,
ambient lighting uniform or continuous. After curfew, lighting may be and mixed-use development with predominance of
extinguished or reduced as activity levels decline. residential uses.

Typically includes commercial corridors, high-intensity


Areas of human activity where vision of human residents and suburban commercial areas, town centers, mixeduse
users is adapted to moderately high light levels. Lighting is areas, industrial uses and shipping and rail yards with
3
generally desired for safety, security and/or convenience and it high nighttime activity. Also includes high-use
Moderately high
is often uniform and/or continuous. After curfew, lighting may recreational and playing fields, regional shopping malls,
ambient lighting
be extinguished or reduced in most areas as activity levels car dealerships, gas stations, and other nighttime active
decline. exterior retail areas.

Areas of human activity where vision of human residents and Areas of very high ambient lighting levels, used only for
users is adapted to high light levels. Lighting is generally special cases and not appropriate for most cities. May be
4 considered necessary for safety, security and/or convenience used for extremely unusual installations such as high-
high ambient and it is mostly uniform and/or continuous. After curfew, density entertainment districts and heavy industrial uses.
lighting lighting may be extinguished or reduced in some areas as (Currently only Times Square has this classification in the
activity levels decline. U.S.)
* Adapted from Model Lighting Ordinance User Guide.

liGhTinG boundary
The lighting boundary typically coincides with the property lines of the property that the LEED project occupies. However, in
certain situations the lighting boundary may be modified:
When the property boundary abuts a public area that is a walkway, bikeway, plaza, or parking lot, the lighting boundary
may be moved to 5 feet (1.5 meters) beyond the property line.
When the property boundary abuts a public roadway or public transit corridor, the lighting boundary may be moved to the
center line of that roadway or corridor.
When additional properties owned by the same entity responsible for the LEED project are contiguous to the project site and
have the same or a higher lighting zone as the project, the lighting boundary may be expanded to include those properties. In
these cases, it is best if a lighting master plan is developed.

ChoosinG luMinaires
Once the appropriate lighting zone and boundaries are established, the projects lighting professional needs to pay close attention
to quantity, types, and locations of luminaires and the geometry of the site. The closer the luminaire to the lighting boundary, the
more likely it is that light extends beyond the boundary. For a location with a narrow distribution, select a luminaire with a lower
pole height, or move it away from the boundary to reduce light trespass.
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Use manufacturers luminaire data or IES files to obtain the necessary information for determining compliance with this
credit. Luminaires without photometric distribution data must be assumed to have 100% of their initial lamp lumens at or above
90 degrees. For adjustable tilt luminaires, consider the angular position when determining a BUG rating or calculating
compliance. A luminaire in its nominal position may have minimal light trespass and low illumination to the night sky (e.g., a U
rating of U1). But if the designer tilts the luminaire to achieve the desired pattern of illuminance, more light may be emitted above
the horizon and change the U rating to a U2 or even higher.
Determine the BUG ratings or calculations for each unique combination of luminaire and its angular position in the lighting
design. Luminaires with limited field adjustability must be assumed to have maximum tilt applied and lumens at or above 90
degrees must be calculated from maximum tilted orientation. To more easily meet the credit requirements, avoid adjustable
luminaire types as a primary lighting source.
The Illuminating Engineering Society has established recommendations for exterior lighting levels for varioush applications.
Light source selection has a significant effect on how much light is needed and how comfortable it feels. A cooler (whiter) light
source (above 2500 degrees Kelvin color temperature) with higher color rendering index (above 80 CRI) makes it easier for
people to see and to distinguish detail. By following the recommendations, projects may be able to use lower light levels.
However, to ensure acceptability and minimize liability, light levels lower than recommended should be approved by the owner
and possibly by the local jurisdiction.

abouT The buG MeThod


Backlight, uplight, and glare (BUG) are used to classify luminaires and their likelihood of generating light pollution.
This comprehensive system takes into account uplight shielding (Figure 2), glare shielding, and backlight shielding (Figure 1),
and it limits lamp lumens to values appropriate for a given lighting zone. The system includes a table of consensus acceptable
values against which the photometric data of a luminaire can be compared. BUG ratings provide a much more accurate picture of
the overall lumen distribution of a luminaire than cut-off designations.
If BUG values are available for the projects luminaires, the team is likely to find Option 1 the easier compliance path.
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BM FM

Figure 1. Backlight, uplight, and glare


223

View 1 View 2 - Detail

View 3

Non-compliant light
Backlight

Figure 2. Compliant and noncompliant light


CalCulaTinG buG values
BUG values are typically published by product manufacturers. If published BUG data do not address the design position of the
luminaire (or are not available at all), ratings can be calculated by reviewing a luminaires photometric test data and zonal lumen
224
distribution and comparing the data with the maximum zonal lumens for backlight, uplight, and glare established in IES TM-15-
11, Addendum A. Software is also available that will calculate the BUG rating using the IES file for the luminaire.
For the backlight rating, determine the lowest rating where the lumens for all of the secondary solid angles do not exceed
the threshold lumens from IES TM-15-11, Addendum A, Table A-1.
For the uplight rating, determine the lowest rating where the lumens for all secondary solid angles do not exceed the
threshold lumens from IES TM-15-11, Addendum A, Table A-2.
For the glare rating, determine the lowest rating where the lumens for all of the secondary solid angles do not exceed the
threshold lumens from IES TM-15-11, Addendum A, Table A-3.

CalCulaTinG liGhT TresPass


To calculate light trespass, use lighting design software and develop a photometric site plan (Figure 3) showing all installed
exterior lighting luminaires. Set a vertical calculation grid at each segment of the projects lighting boundary and the extent of
the lighting zone allowances. The vertical illuminance calculation points must be no more than 5 feet (1.5 meters) apart and
extend from grade level up to at least 33 feet (10 meters) above the tallest luminaire in the project (Figure 4).

Plan

Figure 3. Photometric site plan


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Figure 4. Measuring vertical illuminance

verTiCal illuMinanCe
Illuminance is the total quantity of light, or luminous flux, that falls on a surface, as measured in footcandles or lux. This
measurement is usually taken on the horizontal plane, at either the ground or the workplane, but measuring vertical illuminance is
helpful for understanding how much light is hitting a building faade, a human face, or the vertical plane at a property boundary.
In calculation software, a vertical calculation grid is placed at the location where the measurements need to be taken. In a real-life
situation, measurements are taken using a light meter held vertically.
In Figure 5, the vertical illumination at a point P on a vertical surface parallel to and extending straight up from the lighting
boundary is the component of the illumination that is normal to this surface at that point. It can be given as a function of the
incident angle (A) of the luminous intensity (I) and the distance from the luminaire to P. Since this vertical illuminance must be
calculated for a grid of multiple points on the lighting boundary up to 33 feet above the height of the luminaire (Figure 4), it is
usually done with a commercially available lighting software program.
The threshold values in Table 4 of the credit requirements must be compared with the cumulative vertical illuminance
contributed by all luminaires on the site.

One of points calculated on this plane


226
One section of the lighting boundary

MounTinG heiGhTs
The height of the photometric center of a luminaire is considered the mounting height. Measured in distance above grade, it
informs the appropriate spacing between poles and distance from the lighting boundary (Figure 6).
For example, if the photometric center of a luminaire is 20 feet (6 meters) above grade, the unit of mounting height is 20 feet
(6 meters). If a pole must be two mounting heights from the lighting boundary based on the classified zone and BUG rating, then
the pole must be 40 feet (12 meters) from the nearest lighting boundary. The mounting height and pole location need to be
calculated for each luminaire.

Figure 6. Mounting heights

exaMPles

Example 1. BUG rating


The project site is in lighting zone 2 and the preliminary design includes two exterior luminaire typesa buildingmounted
wallpack luminaire and a pole-mounted site-lighting luminaire.
Based on their location on the building relative to the lighting boundary, the wallpacks fall under the category of building-
mounted >2 mounting heights from any lighting boundary. The pole-mounted luminaires throughout the site fall under two
referenced categories, >2 mounting heights from lighting boundary and 1 to 2 mounting heights from lighting boundary and
properly oriented.
Based on the lighting zone and locations within the lighting boundary and following Tables 1 and 3 in the credit requirements,
the following maximum luminaire BUG ratings apply:

tablE 6. Maximum uplight ratings for luminaires, by


MLO lighting zone
Mlo lighting zone luminaire uplight rating
227
LZ2 U2

tablE 7. Maximum backlight and glare ratings,


by MLO lighting zone
Mlo lighting
zone

Luminaire mounting LZ0 LZ1 LZ2 LZ3 LZ4

Allowed backlight
ratings

> 2 mounting heights from B1 B3 B4 B5 B5


lighting boundary

1 to 2 mounting heights
from lighting boundary and B1 B2 B3 B4 B4
properly oriented

Allowed glare
ratings

Building-mounted > 2
mounting heights from any G0 G1 G2 G3 G4
lighting boundary

All other luminaires G0 G1 G2 G3 G4

The BUG ratings for the two specified products are as follows:
Wallpack, B2 U2 G2
Pole-mounted luminaires, B1 U0 G1
Based on the allowable maximum luminaire BUG ratings in the tables above, the specified luminaires do not exceed the
maximum allowances and thus comply with the credit requirements.

Example 2. Calculating uplight


A project team has determined that their site falls within MLO Lighting Zone 2 and is pursuing Option 2 Calculation Method for
uplight. The maximum allowable percentage of total luminaire lumens emitted above horizontal is 1.5%.
The project must demonstrate that 1.5% or less of total luminaire lumens are emitted above horizontal.
Based on the manufacturers data and IES files for the various luminaires chosen for the project, the project has prepared the
following table:
tablE 8. Luminaire tracking

total luminaire
lumens per lumens above total luminaire lumens above
luminaire quantity
luminaire horizontal lumens horizontal

Type 1 10 3,000 0 30,000 0

Type 2 2 1,000 100 2,000 200

32,000 200

The team calculates compliance as follows:

total luminaire lumens = 32,000 total lumens above 90 from horizontal =

200

200 / 32,000 = 0.6%

Because 0.6% is below the maximum allowable 1.5% of total lumens above horizontal, the project achieves compliance.
228
Example 3. Example site lighting plan

Light Fixture Schedule


Fixture A
Type: Street Light Pole
Quantity: 15

Fixture B
Type: Illuminated Bollard
Quantity: 3
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Adjacent building

Project Light Zone Designation: 2 Figure 7. Example lighting plan

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.

required doCuMenTaTion
230

option 1, light option 2, light


all option 1, trespass option 2, trespass
documentation
Projects uplight uplight

Site lighting plan with boundaries, elements, location


of fixtures, and applicable measurements X

Projects with internally illuminated exterior signage


only: provide maximum luminance data X

Luminaire schedule showing uplight ratings X

Luminaire schedule showing backlight and glare


ratings and mounting heights X

Calculations for lumens per luminaire and lumens


emitted above horizontal X

Greatest vertical illuminance value for each vertical


calculation plane at lighting boundary; calculation grid
for one vertical plane with greatest vertical X
illuminance (worst-case scenario), highlighting point of
greatest illuminance

relaTed CrediT TiPs


SS Credit Site Assessment. The site and the project conditions may provide opportunities to reduce lighting needs. There may
also be special circumstances, such as a project site located near a sensitive habitat that requires lower lighting zone designations
or adjusting the lighting design to fit these conditions.

EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance. In some cases, earning this
credit will require the team to install more luminaires at lower lamp heights to meet the boundary restrictions and BUG
requirements, which could impair energy performance. A proper lighting design both minimizes light pollution and maximizes
energy efficiency.
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ChanGes froM leed 2009


A new compliance option, based on BUG ratings, has been added.
The lighting power density requirements have been relocated to EA Prerequisite Minimum Energy Performance.
The interior lighting requirements have been relocated to EA Prerequistie Minimum Energy Performance.
The photometric information now needs to include only vertical illuminance calculations. Also, point-bypoint calculation
output documentation needs to be provided only for the worst-case vertical plane, not all site lighting.

referenCed sTandards
Illuminating Engineering Society and International Dark Sky Association (IES/IDA) Model Lighting
Ordinance User Guide and IES TM-15-11, Addendum A: ies.org

exeMPlary PerforManCe
Not available.

definiTions
BUG rating a luminaire classification system that classifies luminaires in terms of backlight (B), uplight (U), and glare (G)
(taken from IES/IDA Model Lighting Ordinance). BUG ratings supersede the former cutoff ratings.

emergency lighting a luminaire that operates only during emergency conditions and is always off during normal building
operation

light pollution waste light from building sites that produces glare, is directed upward to the sky, or is directed off the site.
Waste light does not increase nighttime safety, utility, or security and needlessly consumes energy.

light trespass obtrusive illumination that is unwanted because of quantitative, directional, or spectral attributes. Light trespass
can cause annoyance, discomfort, distraction, or loss of visibility.

mounting height the distance between ground level (or the workplane) and the bottom of the luminaire (light fixture); the height
at which a luminaire is installed. (Adapted from Light a Home)

ornamental luminaire a luminaire intended for illuminating portions of the circulation network that also serves an ornamental
function, in addition to providing optics that effectively deliver street lighting, and has a decorative or historical period
appearance vertical illuminance illuminance levels calculated at a point on a vertical surface, or that occur on a vertical plane.
This lighting that affects spatial limits and proportions.
susTainable siTes CrediT

site Master Plan


this credit applies to: schools (1 point)

inTenT

to ensure that the sustainable site benefits achieved by the project continue, regardless of
future changes in programs or demographics.

requireMenTs
The project must achieve at least four of the following six credits, using the associated calculation methods. The
achieved credits must then be recalculated using the data from the master plan.
LT Credit: High Priority Site
SS Credit: Site DevelopmentProtect or Restore Habitat
SS Credit: Open Space
SS Credit: Rainwater Management
SS Credit: Heat Island Reduction
SS Credit: Light Pollution Reduction

A site master plan for the school must be developed in collaboration with school authorities. Previous sustainable
site design measures should be considered in all master-planning efforts so that existing infrastructure is retained
whenever possible. The master plan must therefore include current construction activity plus future construction
(within the buildings lifespan) that affects the site. The master plan development footprint must also include
parking, paving, and utilities.
Projects where no future development is planned are not eligible for this credit.
behind The inTenT
Schools must continually adapt to changes in demographics, curriculum, and program needs. To accommodate
such adaptations, school buildings or campuses often must be expanded or modified. Lack of a long-range vision
and constrained timeframes for project planning can result in missed opportunities for integrating new
construction into existing site features and facilities.
This credit promotes the use of a master plan to support cohesive, long-term, sustainable development
strategies. Furthermore, it ensures that the site infrastructure components of a current LEED project are
maintained during and after future developments.

sTeP-by-sTeP GuidanCe

sTeP 1. ConfirM fuTure develoPMenT


Engage with school authorities early in the design process for the project to determine whether future development projects
are being considered.
only sites where future development is planned are eligible for this credit.
future development includes expansions due to changes in program or demographics.
233
a specific commitment of the future development, such as a contract, guaranteed funding, or scheduled construction, is not
required.

sTeP 2. ConfirM ThaT ProjeCT is PursuinG aT leasT four eliGible CrediTs


Review the credit requirements and step-by-step instructions for the following six credits to determine which will be earned by
the current project. the project must earn at least four of the six credits using the current project boundary to achieve this
credit.
Lt credit high Priority site
ss credit site DevelopmentProtect or Restore habitat
ss credit open space
ss credit Rainwater Management
ss credit heat island Reduction
ss credit Light Pollution Reduction

sTeP 3. deTerMine sTaTus of any MasTer Plan


once eligible credits have been selected and confirmed, determine whether the school authority has developed or is currently
developing a master plan.
if a master plan exists or is under development and includes both the current project and the future construction project, the
plan could contribute to the achievement of this credit.
if no master plan has been written or if the current or future project is not yet included in an existing master plan, engage with
school authorities to create or update the master plan.

sTeP 4. CreaTe or uPdaTe siTe MasTer Plan


include the current project, the future construction project, parking, paving and utilities in the master plan (see Further
Explanation, Example).
consider how sustainable site design measures and infrastructure included in the scope of the current project can be
maintained or enhanced.
if the future needs of students and the community are uncertain, incorporate flexibility into the master plan to accommodate
a range of scenarios and fluctuations in demographics.
Potential future development is typically determined by the school authorities and design team; it may include changes in
program or demographics leading to expansions, projections for supplementary spaces, or other additional structures.

sTeP 5. ConfirM CoMPlianCe for seleCTed eliGible CrediTs


complete calculations for the selected eligible credits based on the current project site. Recalculate these values for the site
master plan, incorporating future development conditions and data. Refer to the appropriate credit sections for explanation of
credit-specific calculations.
234

Existing building
Future (proposed) building, paving, field Figure 1.

Example site master plan

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Eligible.

required doCuMenTaTion
Duplicate the documentation used to achieve the contributing credits, changing the input information so that it is based
on the site master plan instead of the project boundary. Refer to the appropriate credit sections for information on
credit-specific documentation.
documentation all projects

Site plan with elements and measurements, including current and future phases of development X

Credit forms and documentation for selected eligible credits, rewritten using data for site master plan X
235

Description of documentation updates made for future development X

relaTed CrediT TiPs


Integrative Process Credit. To earn the related credit, projects facilitate a charrette that identifies and uses
opportunities to achieve synergies across disciplines and building systems to inform the site master plan.

SS Credit Joint Use of Facilities. Opportunities to share building space or formalize other community
partnerships may reduce the need for future expansion, which could affect the site master plan. Stakeholder
charrettes held as part of the site master plan development may inspire community partnerships, which could
help the project achieve the related credit.

ChanGes froM leed 2009


None.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
master plan boundary the limits of a site master plan. The master plan boundary includes the project area and
may include all associated buildings and sites outside of the LEED project boundary. The master plan boundary
considers future sustainable use, expansion, and contraction.

school authority the authority responsible for decision making about school operations, districts, personnel,
financing, and future development. Examples include school boards, local governments, and religious
institutions.

site master plan an overall design or development concept for the project and associated (or potentially
associated) buildings and sites. The plan considers future sustainable use, expansion, and contraction. The site
master plan is typically illustrated, with building plans (if applicable), site drawings of planned phased
development, and narrative descriptions.
susTainable siTes CrediT

tenant Design and


construction Guidelines
this credit applies to: Core and shell (1 point)
236

inTenT

to educate tenants in implementing sustainable design and construction features in their


tenant improvement build-outs.

requireMenTs
Publish for tenants an illustrated document with the following content, as applicable:
a description of the sustainable design and construction features incorporated in the core and shell project
and the projects sustainability goals and objectives, including those for tenant spaces;
recommendations, including examples, for sustainable strategies, products, materials, and services; and
information that enables a tenant to coordinate space design and construction with the building systems
when pursuing the following LEED v4 for Interior Design and Construction prerequisites and credits:
WE Prerequisite: Indoor Water Use Reduction
WE Credit: Indoor Water Use Reduction
EA Prerequisite: Minimum Energy Performance
EA Prerequisite: Fundamental Refrigerant Management
EA Credit: Optimize Energy Performance
EA Credit: Advanced Energy Metering
EA Credit: Renewable Energy Production
EA Credit: Enhanced Refrigerant Management
MR Prerequisite: Storage and Collection of Recyclables
EQ Prerequisite: Minimum Indoor Air Quality Performance
EQ Prerequisite: Environmental Tobacco Smoke Control
EQ Credit: Enhanced Indoor Air Quality Strategies
EQ Credit: Low-Emitting Materials
EQ Credit: Construction Indoor Air Quality Management Plan
EQ Credit: Indoor Air Quality Assessment
EQ Credit: Thermal Comfort
EQ Credit: Interior Lighting
EQ Credit: Daylight
EQ Credit: Quality Views
EQ Credit: Acoustic Performance

Provide the guidelines to all tenants before signing the lease.


237

Some strategies and recommendations may require upfront investments on the part of the tenant. For example,
tenants choosing to certify their build-out projects under the LEED for Interior Design and Construction rating
system may incur additional costs for commissioning and certification. It may be helpful to indicate in the
guidelines which features are likely to entail upfront costs but deliver long-term savings through, for example,
lower operating costs.
subjeCT-sPeCifiC GuidanCe
238

Depending on the Core and Shell design and scope, consider including the following information in the tenant
guidelines. (Related LEED for Interior Design and Construction credits are noted in parentheses.)

Water Use
Specify the building water-use reduction goals. Provide information and/or recommendations for plumbing
fixtures, flow rates and systems, and product cutsheets. (Related credits: WE Prerequisite Indoor Water Use
Reduction, WE Credit Indoor Water Use Reduction.)

Energy Performance
Highlight the energy-saving features of the base building and provide recommendations for tenants to further
reduce energy use. The HVAC system that the Core and Shell design team chooses will affect the tenant
buildout. Describe the HVAC system, including energy efficiency features and suggestions for how they can be
best used. Provide recommendations or performance requirements for supplemental HVAC equipment and
independent tenant systems. (Related credits: EA Prerequisite Minimum Energy Performance, EA Credit
Optimize Energy Performance.)

Refrigerant Management
Include recommendations for refrigerants in cooling equipment. (Related credits: EA Prerequisite Fundamental
Refrigerant Management, EA Credit Enhanced Refrigerant Management.)

Energy Use and Metering


Provide information on the buildings expected energy use. Describe how the building and tenant energy uses are
submetered, if applicable, and how further submetering of tenant uses can encourage energy conservation.
(Related credit: EA Credit Advanced Energy Metering.)

Renewable Energy
Provide information on any on-site renewable energy systems, like photovoltaic systems, wind energy systems,
solar thermal systems, and geothermal systems. (Related credit: EA Credit Renewable Energy Production.)

Commissioning
Provide details on the Core and Shell commissioning process, including the commissioning plan or report and
the buildings design intent, so that the tenant can evaluate whether the space is functioning as designed. Core
and Shell commissioning documents can also serve as a model for tenants own commissioning efforts. (Related
credits: EA Prerequisite Fundamental Commissioning and Verification, EA Credit Enhanced Commissioning.)

Measurement and Verification


Describe the buildings measurement and verification plan, including the International Performance
Measurement and Verification Protocol option and how the Core and Shell measurement and verification plan
will be carried out. Provide information about protocols that tenants can use to create their own measurement and
verification plans.

Ventilation and Outdoor Air Delivery


Provide design and operational information for the ventilation system, such as how air is provided to the space
(e.g., underfloor, overhead, displacement, or natural ventilation) and the amount of outside air that each system is
capable of providing, so that tenants can determine how much outside air is available to them. Describe the
ventilation control systems and identify opportunities for the tenant to add monitoring devices, such as CO2
sensors, and other enhancements. (Related credit: EQ Prerequisite Minimum Indoor Air Quality Performance.)

Construction Indoor Air Quality Management


Highlight areas of the Core and Shell construction indoor air quality management plan that are applicable to the
tenant buildout, particularly where tenant work may be sequenced at the same time. (Related credit: EQ Credit
Construction Indoor Air Quality Management Plan.)
Indoor Chemical and Pollutant Source Control
Because multiple tenants may share air return and supply systems, describe how to isolate hazardous gases or
chemicals, such as by providing separate exhaust for janitors closets. (Related credits: EQ Credit Indoor Air
Quality Assessment, EQ Credit Enhanced Indoor Air Quality Strategies.)

Interior Lighting
239

Lighting often represents the greatest opportunity for tenants to reduce energy consumption. Core and Shell
projects that offer good natural light will enable tenants to reduce lighting power without compromising light
quality. Controls and fixture selection are also critical. Guidelines might include recommendations for keeping
windows clear for daylight penetration, locating workspaces or gathering spaces near windows to minimize the
need for lights, using energy-efficient fixtures and lamps, and installing daylight-responsive lighting controls
and occupancy sensors. (Related credits: EQ Credit Interior Lighting, EQ Credit Daylight.)

Thermal Comfort
Explain how the buildings HVAC system will help maintain thermal comfort in the building. Provide the design
criteria of the system (including indoor and outdoor conditions) and document any other assumptions made for
the thermal comfort calculations (including space internal loads, clothing, and metabolic rate of the people in the
space). Describe the buildings HVAC control systems. If the building incorporates natural ventilation, describe
how it can be used and how it works with the buildings other systems. For a completely mechanical system,
provide details on how the tenants can regulate the thermal comfort in their spaces. (Related credit: EQ Credit
Thermal Comfort.)

Views
Consider views in addition to the daylighting strategies mentioned under Interior Lighting. Prepare sample
layouts and illustrations so that tenant design teams can understand how to take full advantage of this amenity.
(Related credit: EQ Credit Quality Views.)

Environmental Tobacco Smoke


Include the buildings smoking policy as part of the tenant guidelines. If smoking is permitted in the building, the
required strategies for separation, exhaust, and pressurization must be clearly communicated so that they can be
included in the tenants scope of construction. (Related credit: EQ Prerequisite Environmental Tobacco Smoke
Control.)

Low-Emitting Materials
Provide a detailed list of all specified interior paints, coatings, adhesives, sealants, flooring, composite wood,
ceilings, walls, and thermal and acoustic insulation that meet the requirements. If possible, include
manufacturers documentation confirming the compliance for each product. (Related credit: EQ Credit Low-
Emitting Materials.)

Acoustic Performance
Provide information on the background noise level of base buildings HVAC system. (Related credit: EQ Credit
Acoustic Performance.)

Storage and Collection of Recyclables


Include information regarding the buildings recycling policy and procedures. Note any centralized collection
and storage areas. Encourage activities to reduce and reuse materials before recycling, to decrease the volume
of recyclables handled. (Related credit: MR Prerequisite Storage and Collection of Recyclables.)

Sustainable Products, Materials, and Services


Describe recommended materials, products, strategies, and services to use in the tenant buildout. Sustainable
material suppliers, manufactures, local salvaged material retailers, and construction waste recycling facilities
may also be listed. (Materials and Resources credits.)
suPPorTinG doCuMenTaTion oPTions
The following supporting documentation may assist tenants in implementing sustainable strategies in their
buildouts:

LEED for Interior Design and Construction Scorecard


Include a scorecard for one of the ID+C rating systems to demonstrate how base building contributions and
relatively easy-to-achieve tenant space credits can support ID+C certification.

Specifications or Cutsheets
Provide performance guidance or cutsheets for plumbing fixtures, paints, finishes, and other products used in the
core and shell to help tenants specify green materials in their own buildouts. Sample specification language
could also be included.
240

Policies and Descriptions


Provide tenants with the building recycling and smoking policies, and describe any energy monitoring or
metering in place for the base building.

Documentation from the LEED for Core and Shell Submittal


Tenants interested in pursuing LEED for Interior Design and Construction certification will benefit from having
copies of the Core and Shell submittals to reduce duplication of documentation.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation all Projects

Tenant design and construction guidelines document X

relaTed CrediT TiPs


All Core and Shell credits with performance thresholds. Projects may choose to adopt some or all of the
guidelines as tenant requirements to support achievement of other

LEED for Core and Shell credits. For example, core and shell projects that require tenants to demonstrate a 5%
reduction in lighting power density below ASHRAE 90.1 2010 (or a USGBC-approved equivalent for projects
outside the U.S.) can include the assumed tenant reduction in the core and shell energy model. Such
requirements must be incorporated into the tenant lease; however, it is not necessary to require tenants
compliance with all guidelines to earn this credit.
ChanGes froM leed 2009
Tenant guidelines are no longer required to include information on LEED for Commercial Interiors or explain
how the core and shell building contributes to achieving these credits.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
241

None.
242
susTainable siTes CrediT

Places of Respite
this credit applies to: healthcare (1 point)

inTenT

to provide patients, staff, and visitors with the health benefits of the natural environment
by creating outdoor places of respite on the healthcare campus.

requireMenTs
Provide places of respite that are accessible to patients and visitors, equal to 5% of the net usable program
area of the building.
Provide additional dedicated places of respite for staff, equal to 2% of the net usable program area
of the building.
Places of respite must be outdoors, or be located in interior atria, greenhouses, solaria, or conditioned spaces;
such interior spaces may be used to meet up to 30% of the required area if 90% of each qualifying spaces gross
floor area achieves a direct line of sight to unobstructed views of nature.

All areas must meet the following requirements.


The area is accessible from within the building or located within 200 feet (60 meters) of a building
entrance or access point.
The area is located where no medical intervention or direct medical care is delivered.
Options for shade or indirect sun are provided, with at least one seating space per 200 square feet (18.5
square meters) of each respite area, with one wheelchair space per five seating spaces.
Horticulture therapy and other specific clinical or special-use gardens unavailable to all building occupants
may account for no more than 50% of the required area.
Universal-access natural trails that are available to visitors, staff, or patients may account for no more than
30% of the required area, provided the trailhead is within 200 feet (60 meters) of a building entrance.

Additionally, outdoor areas must meet the following requirements.


A minimum of 25% of the total outdoor area must be vegetated at the ground plane (not including turf
grass) or have overhead vegetated canopy.
The area is open to fresh air, the sky, and the natural elements.
Signage must meet the 2010 FGI Guidelines for Design and Construction of Health Care Facilities (Section
1.2-6.3 and Appendix A1.2-6.3:Wayfinding).
Places of respite may not be within 25 feet (7.6 meters) of a smoking area (see EQ Prerequisite
Environmental Tobacco Smoke Control).

Existing places of respite on the hospital campus may qualify if they otherwise meet the credit requirements.
238

behind The inTenT


Access to fresh air, daylight, and outdoor vegetation can deliver important health benefits. Natural vegetated
elements allow patients, visitors, and staff to connect with nature and experience relaxed wakefulness, a state
that has been attributed to a decrease in negative emotions such as anger and anxiety. 1
Studies have shown that patients with a view of nature recover faster, need fewer painkillers, and have fewer
complications after leaving the hospital.2 For staff, having access to nature relieves stress and enhances well-being,
and workers who are able to connect with nature also report fewer illnesses and higher levels of job satisfaction. 3
Caregivers who work long hours in a fast-paced, stressful, and physically demanding environment especially value
staff-only outdoor places of respite. Moreover, reducing patients length of stay and improving staff recruitment
and retention confer economic benefits.
This credit rewards quality spaces that include vegetation, have exposure to the elements, and allow
opportunities for exercise and movement. Such spaces must protect patients from bad weather and poor air quality
while accommodating those with limited mobility. When outdoor space provision is impossible, interior spaces
with unobstructed views of nature can grant similar benefits.

sTeP 1. deTerMine required area for PlaCes of resPiTe


calculate the net usable program area of the project by summing all the interior areas available to house the projects
program. Exclude areas for building equipment, vertical circulation, or structural components (see Further Explanation,
Qualifying Spaces, and ansi/BoMa Z65.12010, office Buildings: standard Methods of Measurement, boma.org, for more
information about calculating net usable program area).
Determine the required area for places of respite for patients and visitors and for staff. the area for patients and visitors
must be 5% of the net usable program area, and the area for staff must be 2% of the net usable program area. for example, if the
net usable program area is 10,000 square feet (930 square meters), the total required area for patients and visitors is 500 square
feet (46 square meters), and the total required area for staff is 200 square feet (18 square meters).

sTeP 2. deTerMine TyPes and siZes of PlaCes of resPiTe


work with the owner, stakeholders, and designers to determine the types and areas of spaces that could be designed as places of
respite.
During the concept and schematic design phases, ensure that the project massing and the basic interior layout allow for
integrated exterior spaces.
Ensure that each type of designed space does not exceed the maximum allowed percentage of the total places of respite area
(table 1).

tablE 1. Places of respite criteria

Maximum % of total places of


type of space respite area special conditions

1.
90% of each qualifying spaces
(
gross floor area must achieve
2.
Interior atria, greenhouses, solaria, or conditioned spaces 30% direct line of sight to
3.
unobstructed views of nature
245
Horticulture therapy and other specific clinical or special-use
gardens unavailable to all building occupants 50% None

Trailhead access must be


Universal-access natural trails 30% within 200 feet (60 meters) of
building entrance

Rohde, C.L.E., and A.D. Kendle, Report to English NatureHuman Well-Being,


Natural Landscapes and Wildlife in Urban Areas: A Review
Department of Horticulture and Landscape and the Research Institute
for the Care of the Elderly, University of Reading, Bath, 1994).
Ulrich, R.S., View through a Window May Influence Recovery from Surgery,
Science 224 (1984): 420421.
Kaplan, R., and S. Kaplan, The Experience of Nature: A Psychological
Perspective (New York and Cambridge: Cambridge University Press, 1989).
.

All areas must meet these requirements:


The area is accessible from within the building or located within 200 feet (60 meters) of a building
entrance or access point. Areas outside the project boundary can qualify as places of respite, provided they
are within 200 feet (60 meters).
No medical intervention or direct medical care is delivered in the respite area.
For each 200 square feet (18 square meters) of respite area, at least one seating space and one wheelchair
space for every five seating spaces are placed in shade or indirect sunlight. Examples of qualifying features
include trellises and tree-shaded, wheelchair-accessible seating areas.

Outdoor spaces must meet these additional requirements:


At least 25% of the total outdoor area must be vegetated at the ground plane (not including turf grass) or
have vegetated canopy (trees and shrubs).
The area is open to fresh air, the sky, and the natural elements.
Signage must meet the 2010 FGI Guidelines for Design and Construction of Health Care Facilities
(Section 1.26.3 and Appendix A1.2-6.3, Wayfinding).
Places of respite may not be within 25 feet (7.5 meters) of a smoking area (see EQ Prerequisite
Environmental Tobacco Smoke Control).
247

exaMPle

Figure 1. Example site plan

Areas of
respite
Staff dedicated area

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
248

Ineligible. Each LEED project may pursue the credit individually.


required doCuMenTaTion

documentation all Projects

Area, patient, visitor, staff, shading, and vegetation calculations X

Site plan highlighting qualifying outdoor and/or indoor places of respite, identified by user (patient and visitor versus
staff), and indicating their access points and distances, proximity to smoking areas, planes of vegetation and vegetated X
canopy, and shaded seating spaces (showing shade pattern throughout day)

Drawings or photographs of wayfinding signage X

relaTed CrediT TiPs


SS Credit Direct Exterior Access. Outdoor places of respite qualify as exterior access spaces for patients if they
meet the location requirements of the related credit.

SS Credit Rainwater Management. Rain gardens and other rainwater management features may also serve as
outdoor places of respite.

SS Credit Site DevelopmentProtect or Restore Habitat. Outdoor places of respite may also provide places to
restore or conserve habitat.

SS Credit Open Space. Meeting the vegetation requirements of this credit will help meet the requirements of the
related credit. Similar qualities of open space are required for both credits.

EQ Prerequisite Environmental Tobacco Smoke Control. To confirm compliance with the nonsmoking
requirement, ensure that the project has completed documentation for the related prerequisite.

ChanGes froM leed 2009


A requirement that 25% of all qualifying outdoor space be vegetated at the ground plane or with overhead vegetated
canopy (trees and shrubs only) was added to ensure that vegetation is present to provide additional benefits.

referenCed sTandards
2010 FGI Guidelines for Design and Construction of Health Care Facilities: fgiguidelines.org

exeMPlary PerforManCe
Projects may earn exemplary performance by demonstrating both of the following:
Provide 10% of net usable program area as places of respite for patients and
visitors Provide 4% of the net usable program area as places of respite for staff

definiTions
249

net usable program area the sum of all interior areas in the project available to house the projects program. It
does not include areas for building equipment, vertical circulation, or structural components.

place of respite an area that connects healthcare patients, visitors, and staff to health benefits of the natural
environment. (Adapted from Green Guide for Health Care Places of Respite Technical Brief)
250

susTainable siTes CrediT

Direct Exterior access


this credit applies to: healthcare (1 point)

inTenT

to provide patients and staff with the health benefits associated with direct access to the
natural environment.

requireMenTs
Provide direct access to an exterior courtyard, terrace, garden, or balcony. The space must be at least 5 square feet
(0.5 square meters) per patient for 75% of all inpatients and 75% of qualifying outpatients whose clinical length of
stay (LOS) exceeds four hours.
Patients whose length of stay exceeds four hours, and whose treatment makes them unable to move, such as
emergency, stage 1 surgical recovery, and critical care patients, may be excluded.
Places of respite outside the building envelope that meet the requirements of SS Credit Places of Respite that are
immediately adjacent to clinical areas or with direct access from inpatient units may be included.
Qualifying spaces must be designated as nonsmoking The spaces must also meet the requirements for outdoor air
contaminant concentrations enumerated in EQ Credit Enhanced Indoor Air Quality Strategies, Option 2 and be located
more than 100 feet (30 meters) from building exhaust air locations, loading docks, and roadways with idling vehicles.
behind The inTenT
Time spent outdoors and views of nature provide important health benefits to all people, but especially hospital
patients. Being outside allows people to connect with nature and experience relaxed wakefulness, a state
attributed to a decrease in negative emotions such as anger and anxiety. 1
Studies have shown that patients with a natural view or access to nature recover faster, need fewer painkillers,
and have fewer complications after leaving the hospital.2 Quiet areas where people can reconnect to the natural
cycles of day and night, seasonal changes, and weather patterns provide relief from stressful environments.
This credit rewards designs that include easy access to nature. Direct access can be critical for patients with
limited mobility or short times between treatments. Furthermore, access that allows for privacy encourages patients
to go outside at times when they do not wish to cross through public areas.

sTeP-by-sTeP GuidanCe

sTeP 1. deTerMine nuMber of PaTienTs


use the peak number of inpatients and peak number of qualifying outpatients to determine the minimum required outdoor area.
the peak number of inpatients used for credit calculations should correspond to the total peak inpatients used across all credits
(see Definitions and Getting Started, Occupancy).
to determine the peak number of qualifying outpatients, begin with the total peak outpatients in the project and make the
following adjustments:
outpatients whose length of stay is less than four hours are considered nonqualifying. Do not include these outpatients in credit
calculations.
251

outpatients whose length of stay exceeds four hours and whose treatment makes them immobile may be excluded from
calculations. these patients include those in emergency, stage 1 surgical recovery, stage 2 recovery, and similar spaces. for the
purposes of credit documentation, these patients are excluded outpatients.
Qualifying outpatients are all nonexcluded patients whose length of stay is four hours or more. Examples of qualifying outpatients
may include patients undergoing renal dialysis, infusion therapies, ambulatory surgery intake, and stage 2 recovery.
in the preliminary design phases of a project, the peak number of inpatients can be estimated by approximating the total number
of inpatient beds. to estimate the peak number of qualifying outpatients, consider the types of outpatients that the facility serves.
use the number of qualifying outpatient beds, treatment room capacity, or similar information to estimate the number of
qualifying outpatients.

sTeP 2. deTerMine required ouTdoor area


use Equation 1 to calculate the required outdoor area. at least 5 square feet (0.5 square meters) of space must be provided per
patient for 75% of peak inpatients and 75% of peak qualifying outpatients.

Equation 1. Required outdoor area

Required outdoor area = 5 ft2 (.75) peak inpatients + 5 ft2 (.75) qualifying outpatients

or
Required outdoor area = 0.5 m2 (.75) peak inpatients + 0.5 m2 (.75) qualifying outpatients

sTeP 3. deTerMine ouTdoor sPaCe needs and qualiTies


work with the owner, stakeholders, and designers to determine the types and areas of outdoor spaces that will meet project goals
and the credit intent.
unlike ss credit Places of Respite, interior spaces do not count toward this credit.

1. Rohde, C.L.E., and A.D. Kendle, Report to English NatureHuman Well-Being,


Natural Landscapes and Wildlife in Urban Areas: A Review (Department
of Horticulture and Landscape and the Research Institute for the Care
of the Elderly, University of Reading, Bath, 1994).
2. Ulrich, R.S., View through a Window May Influence Recovery from Surgery, Science 224
(1984): 420421 .
245

Private balconies must meet the minimum size requirement. for example, a balcony for one patient must be at least 5 square
feet (0.5 square meter).
the exterior areas can be shared patient spaces, provided the total area meets the required size based on the number of patients
using the space.
consult the outdoor air contaminant concentration requirements in EQ credit Enhanced indoor air Quality strategies, option 2, and
ensure that contaminants do not exceed the national ambient air Quality standards thresholds (or a local equivalent for projects
outside the u.s.).
identify the locations of building air exhausts, loading docks, and potential vehicle idling areas (e.g., designated delivery areas,
waste disposal locations) and locate the outdoor spaces at least 100 feet (30 meters) away.

sTeP 4. inCorPoraTe direCT aCCess To qualifyinG sPaCes inTo ProjeCT desiGn


if there are insufficient qualifying spaces in the existing facility or planned design, or the spaces do not embody the qualities listed in
the credit, redesign the site to include more spaces that provide direct access to an exterior courtyard, terrace, garden, or balcony.
During the concept and schematic design phases, ensure that the project massing and the basic interior layout allow for
integrated exterior spaces. for patients with limited mobility, ensure that respite areas are accessible and close to patients
rooms. areas outside the project boundary can qualify, provided they meet the requirements of the credit.
Patients must have access to these spaces directly from their rooms or treatment areas. shared exterior connections are
allowed, but interior connections (e.g., through a patients room) are not.

See calculations in Step-by-Step Guidance.


exaMPle
253
Figure 1. Direct access to places of respite

CaMPus
Group Approach
Loading dock Consider balcony locations away

from building equipment


All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation all Projects

Area and patient calculations X

Site plan indicating locations of accessible outdoor areas, area takeoffs, building air exhausts, exterior exhaust vents, and
access points and distances to outdoor areas X

relaTed CrediT TiPs


SS Credit Places of Respite. Outdoor places of respite can qualify as exterior access spaces for patients if there
is direct access.

SS Credit Rainwater Management. Rain gardens and other rainwater management features may also serve as
outdoor spaces that meet the requirements of this credit.
254

EQ Credit Enhanced Indoor Air Quality Strategies, Option 2. Achieving the outdoor air contaminant
concentrations in this related credit satisfies the outdoor air quality component of SS Credit Direct Exterior
Access for Patients.

ChanGes froM leed 2009


None.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
direct access a means of entering a space without having to leave the floor or pass through another patients
room, dedicated staff space, service or utility space, or major public space. Patients and public circulation
corridors, common sitting areas, and waiting and day space may be part of a direct access route.

inpatient an individual admitted to a medical, surgical, maternity, specialty, or intensive-care unit for a length of
stay exceeding 23 hours

length of stay the amount of time a person remains in a health care facility as an admitted patient
outpatient a patient who is not hospitalized for 24 hours or more but who visits a hospital, clinic, or
associated healthcare facility for diagnosis or treatment

place of respite an area that connects healthcare patients, visitors, and staff to health benefits of the natural
environment. (Adapted from Green Guide for Health Care Places of Respite Technical Brief)
255

susTainable siTes CrediT

joint use of facilities


this credit applies to: schools (1 point)

inTenT

to integrate the school with the community by sharing the building and its playing fields
for nonschool events and functions.

requireMenTs

oPTion 1. Make buildinG sPaCe oPen To The General PubliC (1 PoinT)

In collaboration with the school authorities, ensure that at least three of the following types of spaces in the
school are accessible to and available for shared use by the general public:
auditorium;
gymnasium;
cafeteria;
one or more classrooms;
playing fields and stadiums;
and joint parking.

Provide access to toilets in joint-use areas after normal school hours.

or

oPTion 2. ConTraCT WiTh sPeCifiC orGaniZaTions To share buildinG sPaCe (1 PoinT)

In collaboration with the school authorities, contract with community or other organizations to provide at least
two types of dedicated-use spaces in the building, such as the following:
commercial office;
health clinic;
community service centers (provided by state or local offices);
police office;
library or media center;
parking lot; and
one or more commercial businesses.

Provide access to toilets in joint-use areas after normal school hours.


or

oPTion 3. use shared sPaCe oWned by oTher orGaniZaTions (1 PoinT)

In collaboration with the school authorities, ensure that at least two of the following six types of spaces that are
owned by other organizations or agencies are accessible to students:
auditorium;
256

gymnasium;
cafeteria;
one or more
classrooms; swimming
pool; and
playing fields and stadiums.

Provide direct pedestrian access to these spaces from the school. In addition, provide signed joint-use
agreements with the other organizations or agencies that stipulate how these spaces will be shared.
257
258

option 2. Contract with specific organizations to share building space

sTeP 1. alloCaTe dediCaTed-use shared sPaCes


work with school authorities to identify and allocate at least two types of eligible dedicated-use spaces within the project that
will be made available to specific outside organizations.
together with school authorities, identify community organizations, companies, or government organizations that need
assembly space.
collaborate with the school authorities and the chosen outside organization(s) to determine which spaces in the project will be
shared.

sTeP 2. desiGnaTe faCiliTies for dediCaTed-use shared sPaCes


Designate restroom facilities that are accessible to shared-space users after normal school hours.

sTeP 3. esTablish TerMs and CondiTions of usaGe


Meet with the school authorities and the organization(s) that will use the dedicated spaces to establish terms and conditions of
usage. alternatively, demonstrate that an existing policy is in place that meets the criteria. Ensure that a signed contract (joint
agreement) is in place between the school authorities and the organization(s); this joint agreement must stipulate that at least
two types of dedicated-use spaces will be shared with the organization(s). there is no minimum length of contract required.
fees for access to the shared spaces may be determined at the discretion of involved parties.

option 3. use shared space owned by other organizations


sTeP 1. deTerMine WhiCh sPaCes Will be aCCessible To sTudenTs
collaborate with school authorities, neighboring agencies, and outside companies to identify eligible facilities owned by
organizations in the community that could be made accessible to students.
Discuss students needs and planned school facilities with the school authorities to determine which types of additional spaces
would be desirable or necessary. jointly identify local community groups, companies, or government organizations that may
have the desired facilities.
collaborate with the school authorities and the identified community organizations to confirm accessibility of at least two
types of eligible spaces to students.
the facilities must be accessible on foot. an example is a park across the street from the school to which students can walk on
a continuous sidewalk. ineligible examples are a park across a busy road without crosswalks, and a pool three milesan
infeasible distance for pedestriansfrom the school.

sTeP 2. esTablish TerMs and CondiTions of usaGe


Meet with the school authorities and community organization(s) providing the shared spaces to establish terms and conditions
of usage (see Further Explanation, Examples). alternatively, demonstrate that an existing policy is in place that meets the
criteria. Ensure that a signed contract is in place between the school authorities and the outside organization(s). this joint
agreement must stipulate that at least two types of dedicated-use spaces will be shared with the students. Describe the
accessibility of the shared spaces. there is no minimum length of contract required. fees for access to the shared spaces may be
determined at the discretion of involved parties.
259

members.

Figure 1. Sample floor plan for shared-use spaces

Sample documentation narrative for Option 1


School X has established an agreement with the local
land-use planning agency to use specified spaces within the school for
meetings and activities. The use of the school by external
organizations may not interfere with school programs and must
occur after school hours and on weekends. Spaces availablefor
use by community organizations are the Auditorium, Classroom
B, Restrooms, and Parking Lot 1. These spaces are identified
on the accompanying drawings.

Sample documentation narrative for Option 3


School X has established an agreement with the local
government to use the gymnasium and swimming pool
in the public recreation center. The public recreation center is
260

located approximately 1,000 feet (305 meters) from the school and is
accessible by a sidewalk; students will cross one two-lane
road at a traffic light that has a walk signal. Use
of the recreation spaces will take place before and during
normal school operating hours. These spaces are identified on
the accompanying site plan as G1(gymnasium) and S1 (swimming
pool).
CaMPus
Group Approach
Submit separate documentation for each building

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation option 1 option 2 option 3

Floor plan highlighting joint-use spaces, restroom facilities, and room names X X

Shared-use policy with terms, conditions, and description of communication to public


X

Signed agreement between school authorities and occupying organization(s) X

Signed agreement stipulating how spaces will be shared with students X

Site plan showing pedestrian access route and distance from school to joint-use
spaces X

relaTed CrediT TiPs


LT Credit Surrounding Density and Diverse Uses. A project that is located in a dense area with multiple uses
is more likely to be able to achieve compliance with Option 3 of this credit.

SS Credit Site Master Plan. Documented opportunities to share building space or formalize other community
partnerships may reduce the need for future expansion, which could affect the site master plan. Stakeholder
charrettes held to comply with the related credit may inspire community partnerships, which could help the
project achieve this credit.

LT Credit Reduced Parking Footprint. Shared school parking lots or parking lots on neighboring sites used
for school functions may reduce the number of new parking spaces for the related credit.

ChanGes froM leed 2009


None.

referenCed sTandards
261

None.
exeMPlary PerforManCe
Not available.

definiTions
None.
Water
Efficiency (WE)
overvieW
The Water Efficiency (WE) section addresses water holistically, looking at indoor use, outdoor use, specialized uses,
and metering. The section is based on an efficiency first approach to water conservation. As a result, each
prerequisite looks at water efficiency and reductions in potable water use alone. Then, the WE credits additionally
recognize the use of nonpotable and alternative sources of water.
The conservation and creative reuse of water are important because only 3% of Earths water is fresh water, and
of that, slightly over two-thirds is trapped in glaciers.1 Typically, most of a buildings water cycles through the
building and then flows off-site as wastewater. In developed nations, potable water often comes from a public water
supply system far from the building site, and wastewater leaving the site must be piped to a processing plant, after
which it is discharged into a distant water body. This pass-through system reduces streamflow in rivers and depletes
freshwater aquifers, causing water tables to drop and wells to go dry. In 60% of European cities with more than
100,000 people, groundwater is being used faster than it can be replenished. 2
In addition, the energy required to treat water for drinking, transport it to and from a building, and treat it for
disposal represents a significant amount of energy use not captured by a buildings utility meter. Research in
California shows that roughly 19% of all energy used in this U.S. state is consumed by water treatment and
pumping.3
In the U.S., buildings account for 13.6% of potable water use,4 the third-largest category, behind thermoelectric
power and irrigation. Designers and builders can construct green buildings that use significantly less water than
conventional construction by incorporating native landscapes that eliminate the need for irrigation, installing
waterefficient fixtures, and reusing wastewater for nonpotable water needs. The Green Building Market Impact
Report 2009 found that LEED projects were responsible for saving an aggregate 1.2 trillion gallons (4.54 trillion
liters) of water.5 LEEDs WE credits encourage project teams to take advantage of every opportunity to significantly
reduce total water use.

1. U.S. Environmental Protection Agency, Water Trivia Facts,


water.epa.gov/learn/kids/drinkingwater/water_trivia_facts.cfm (accessed September 12, 2012).
2. Statistics: Graphs & Maps, UN Water, http://www.unwater.org/statistics_use.html (accessed March
8, 2013).
3. energy.ca.gov/2005publications/CEC-700-2005-011/CEC-700-2005-011-SF.PDF4. USGBC, Green Building Facts,
http://www.usgbc.org/articles/green-building-facts.
264

5. Green Outlook 2011, Green Trends Driving Growth (McGraw-Hill Construction,


2010), aiacc.org/wp-content/uploads/2011/06/greenoutlook2011.pdf (accessed on
September 12, 2012).
Cross-CuTTinG issues
The WE category comprises three major components: indoor water (used by fixtures, appliances, and processes,
such as cooling), irrigation water, and water metering. Several kinds of documentation span these components,
depending on the projects specific water-saving strategies.

Site plans: Plans are used to document the location and size of vegetated areas and the locations of meters and
submeters. Within the building, floorplans show the location of fixtures, appliances, and process water equipment
(e.g., cooling towers, evaporative condensers), as well as indoor submeters. The same documentation can be used in
credits in the Sustainable Sites category.

Fixture cutsheets: Projects must document their fixtures (and appliances as applicable) using fixture cutsheets or
manufacturers literature. This documentation is used in the Indoor Water Use Reduction prerequisite and credit.

Alternative water sources: A project that includes graywater reuse, rainwater harvesting, municipally supplied
wastewater (purple pipe water), or other reused sources is eligible to earn credit in WE Credit Outdoor Water Use
Reduction, WE Credit Indoor Water Use Reduction, WE Credit Cooling Tower Water Use, and WE Credit Water
Metering. But the team cannot apply the same water to multiple credits unless the water source has sufficient volume
to cover the demand of all the uses (e.g., irrigation plus toilet-flushing demand).

Occupancy calculations: The Indoor Water Use Reduction prerequisite and credit require projections based on
occupants usage. The Location and Transportation and Sustainable Sites categories also use project occupancy
calculations. Review the occupancy section in Getting Started to understand how occupants are classified and
counted. Also see WE Prerequisite Indoor Water Use Reduction for additional guidance specific to the WE section.
WaTer effiCienCy PrerequisiTe

outdoor water use Reduction


this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT to reduce outdoor water consumption.

requireMenTs

Reduce outdoor water use through one of the following options. Nonvegetated surfaces, such as permeable or
impermeable pavement, should be excluded from the landscape area calculations. Athletic fields and playgrounds (if
vegetated) and food gardens may be included or excluded at the project teams discretion.

oPTion 1. no irriGaTion required


Show that the landscape does not require a permanent irrigation system beyond a maximum two-year establishment
period.
or

oPTion 2. reduCed irriGaTion


Reduce the projects landscape water requirement by at least 30% from the calculated baseline for the sites peak
watering month. Reductions must be achieved through plant species selection and irrigation system efficiency, as
calculated by the Environmental Protection Agency (EPA) WaterSense Water Budget Tool.
Behind the intent
Landscape irrigation practices consume large quantities of potable water, sometimes accounting for 30% to 70% of
the water consumed in nonagricultural use. Potable water is a precious resource globally. For example, in many
European cities, groundwater is being used at a faster rate than it can be replenished, according to the World
Business Council for Sustainable Development.1 Good landscape design and use of native, adapted, and
droughttolerant plants can dramatically reduce and even eliminate the need for irrigation while better integrating
the building site into its surroundings and attracting native wildlife. Native plants also tend to require less fertilizer
and fewer chemical pesticides, which degrade water quality when carried away in stormwater runoff.
The landscape water requirement (LWR) can be estimated by developing a water budget that allows landscape
professionals to consider the effects of the many design variables, such as plant types, planting density, and
irrigation system elements. Using a water budget optimizes water use in landscape designs.

SteP-BY-SteP GUidAnCe

Projects with no landscape area are exempt from this prerequisite.


266

For U.S. projects, the WaterSense Water Budget Tool automatically derives rainfall and evapotranspiration from the projects zip code.
Skip Step 1 and go to Step 2.

SteP 1. ProjeCtS oUtSide U.S. onlY: oBtAin PreCiPitAtion And evAPotrAnSPirAtion dAtA to determine irriGAtion
reqUirementS
Gather average monthly precipitation data and evapotranspiration rates (ETo) for the project area to determine the sites potential
irrigation needs. Precipitation data and ETo can be found for most locations around the world (see Further Explanation, International
Tips).
An Excel version of the WaterSense Water Budget Tool can be found under the Resources tab for this credit, at usgbc.org/credits.
Project teams outside the U.S. must complete the tool using IP rather than SI units. Use the conversion calculator found under the
Resources tab.

SteP 2. determine veGetAted AreAS


On a map, indicate all areas on the project site that will have vegetation.
The following landscape types may be included or excluded from landscape calculations: vegetated playgrounds, athletic fields,
food gardens, and urban agricultural areas.
When planning the site layout, consider factors such as proximity to water source for optimized irrigation, distance from water
meter, and so on.

SteP 3. SeleCt PlAnt tYPeS And CoverAGe


Identify plant types and coverage that will balance water use efficiency with the areas intended function.
Reserve grass for play fields or other activities that require turf; using turf for groundcover will make it very difficult to meet
prerequisite and credit thresholds.
Once established, native and drought-tolerant plants generally require little to no irrigation.
Consider the U.S. Department of Agricultures plant database and the Lady Bird Johnson Wildflower Centers native plant database
as resources. Both databases provide standardized information about native plantsfor example, moisture requirements and
preferred growing conditionsalong with distribution data, plant images, and references.

SteP 4. SeleCt one oPtion


Select the appropriate option for the projects irrigation needs, as described in the credit requirements.
Option 1 is for projects that do not require irrigation, based on the location and landscape design. Projects that have no landscape
area automatically achieve this prerequisite.
Option 2 is for projects that require irrigation.

1. unwater.org/statistics_use.html.
267

.
268

The WaterSense Water Budget Tool (epa.gov/watersense/water_budget/) calculates a baseline landscape water
requirement of a typical landscape, as described above. Different plant species and their arrangement in the
landscape can be entered, and the tool estimates the effect of these design variables on LWR. Project teams outside
the U.S. may use this tool with local data.
Design decisions about the different components of irrigation water delivery systems also factor into the
estimates the tool provides.
WaterSense irrigation controller specifications (epa.gov/WaterSense/products/controltech.html) outline the
requirements for weather-based irrigation controller systems. These systems earn projects a standard 15% reduction
in landscape water requirement for WE Credit Outdoor Water Use Reduction.
269

exaMPles
Each locations rainfall and evapotranspiration levels determine how much water a project needs. Consider two
projects using Option 2, each with a fairly water-efficient landscape around an office building, one in Livingston,
New Jersey, and one in Palo Alto, California (Figure 1).

Example 1. Livingston, New Jersey


The location is a typical suburban community in northern New Jersey. Its zip code is 07039. The team uses the EPA
WaterSense Water Budget Data Finder:
Enter Zip Code: 07039
Peak Month: Jun
ETo Value: 6.30 inches/month
Rainfall: 3.40 inches/month

When landscape area is entered, the tool offers these results (Figure 2):
Total: 16,000 sq ft
10,000 sq ft of groundcoverlow water need, native species, drip irrigation
6,000 sq ft of treesmedium water need, drip irrigation

Figure 2. Water Budget Calculation for Livingston, NJ Location. Screenshot taken from http://www.epa.gov/watersense

The landscape water allowance (30% below baseline minimum) equals 43,980 gallons a month. The LWR for this
design in this location is 15,939 gallons a month. The total savings from the baseline amounts to 75%. Since only
30% is required to meet the prerequisite, the project easily achieves compliance.

Example 2. Palo Alto, California


Palo Alto is in a fairly dry region of the country. The team uses the EPA WaterSense Water Budget Data Finder
(Figure 3):
Enter Zip Code: 94301
Peak Month: Jul
ETo Value: 6.00 inches/month
Rainfall: 0.00 inches/month
270

Figure 3. Water Budget Calculation for Palo Alto, CA Location. Screenshot taken from http://www.epa.gov/watersense

With a total landscape area of 16,000 square feet10,000 square feet of groundcover (low water need, native
species, drip irrigation) and 6,000 square feet of trees (medium water need, drip irrigation)the tool now calculates
a landscape water allowance of 41,886 gallons a month, or 30% below the baseline minimum. Compared with the
New Jersey example above, the landscape water requirement for this design has increased to 26,713 gallons a
month. The total savings from baseline is now 55%, but since only 30% is required, the project still achieves the
prerequisite.

inTernaTional TiPs
The World Meteorological Organization website (worldweather.wmo.int) and other sources provide annual
precipitation data for many sites. If precipitation data for the project location are unavailable, they must be
estimated.
Evapotranspiration data are available through various government and academic sources. The Food and
Agriculture Organization of the United Nations (fao.org/nr/water/eto.html) calculates reference evapotranspiration
using a variety of algorithms based on monthly average weather data. The month with the largest deficit between
reference evapotranspiration and rainfall is the peak watering month.
The international version of the WaterSense Water Budget Tool can be found on the USGBC website under this
credits resources section.

CaMPus
Group Approach
All buildings in the group may be documented as one. Use the total landscaped area of the entire campus. The
results of the Water Budget Tool apply to all buildings within the group.

Campus Approach
Eligible.
required doCuMenTaTion

documentation option 1 option 2

Site plan showing vegetated areas X


271

Narrative for plant species and water requirements X

Site plan showing location and size of landscape zones X

Water Budget Tool report X

relaTed CrediT TiPs


WE Prerequisite Building-Level Water Metering. Projects that meter landscape irrigation separately will find it
easier to meet this prerequisite and subsequent credits for outdoor water use and water metering.

ChanGes froM leed 2009


This was formerly a credit and is now a prerequisite.
The WaterSense Water Budget Tool is now listed as the referenced calculation tool.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
adapted plant vegetation that is not native to a particular region but that has characteristics that allow it to live in
the area. Adapted plants do not pose the same problems as invasive species.

combination oven discharge water released from an oven that includes a steam cycle or option conventional
irrigation a regions most common system for providing water to plants by nonnatural means. A conventional
irrigation system commonly uses pressure to deliver water and distributes it through sprinkler heads above the
ground.

cooling tower blowdown the water discharged from a cooling tower typically because increased salinity or
alkalinity has caused scaling. Cooling tower blowdown may be too saline for use in landscape irrigation.

evapotranspiration the combination of evaporation and plant transpiration into the atmosphere. Evaporation occurs
when liquid water from soil, plant surfaces, or water bodies becomes vapor. Transpiration is the movement of water
through a plant and the subsequent loss of water vapor.
foundation drain the water discharged from a subsurface drainage system. If a building foundation is below the
water table, a sump pump may be required. Discharge from the sump may be stored and used for irrigation.

graywater untreated household waste water which has not come into contact with toilet waste. Graywater includes
used water from bathtubs, showers, bathroom wash basins, and water from clothes-washers and laundry tubs. It must
not include waste water from kitchen sinks or dishwashers (Uniform Plumbing Code, Appendix G, Gray Water
272

Systems for Single-Family Dwellings); waste water discharged from lavatories, bathtubs, showers, clothes washers
and laundry sinks (International Plumbing Code, Appendix C, Gray Water Recycling Systems). Some states and
local authorities allow kitchen sink wastewater to be included in graywater. Other differences can likely be found in
state and local codes. Project teams should comply with the graywater definition established by the authority having
jurisdiction in the project area.

hardscape the inanimate elements of the building landscaping. It includes pavement, roadways, stonewalls, wood
and synthetic decking, concrete paths and sidewalks, and concrete, brick, and tile patios.

hydrozone a group of plantings with similar water needs

industrial process water any water discharged from a factory setting. Before this water can be used for irrigation,
its quality needs to be checked. Saline or corrosive water should not be used for irrigation.

landscape water requirement (LWR) the amount of water that the site landscape area(s) requires for the sites
peak watering month

native vegetation an indigenous species that occurs in a particular region, ecosystem, and habitat without direct or
indirect human actions. Native species have evolved to the geography, hydrology, and climate of that region. They
also occur in communities; that is, they have evolved together with other species. As a result, these communities
provide habitat for a variety of other native wildlife species. Species native to North America are generally
recognized as those occurring on the continent prior to European settlement. Also known as native plants.

peak watering month the month with the greatest deficit between evapotranspiration and rainfall. This is the
month when the plants in the sites region potentially require the most supplemental water typically a mid-summer
month. (Sustainable Sites Initiative) potable water water that meets or exceeds U.S. Environmental Protection
Agency drinking water quality standards (or a local equivalent outside the U.S.) and is approved for human
consumption by the state or local authorities having jurisdiction; it may be supplied from wells or municipal water
systems

rainwater harvesting the capture, diversion, and storage of rain for future beneficial use. Typically, a rain barrel or
cistern stores the water; other components include the catchment surface and conveyance system. The harvested
rainwater can be used for irrigation.

reclaimed water wastewater that has been treated and purified for reuse

reference evapotranspiration rate the amount of water lost from a specific vegetated surface with no moisture
limitation. Turf grass with height of 120 mm is the reference vegetation.

softscape the elements of a landscape that consist of live, horticultural elements xeriscaping

landscaping that does not require routine irrigation


WaTer effiCienCy PrerequisiTe

indoor water use Reduction


this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT to reduce indoor water consumption.

requireMenTs

building Water use


For the fixtures and fittings listed in Table 1, as applicable to the project scope, reduce aggregate water
consumption by 20% from the baseline. Base calculations on the volumes and flow rates shown in Table 1.

All newly installed toilets, urinals, private lavatory faucets, and showerheads that are eligible for labeling must
be WaterSense labeled (or a local equivalent for projects outside the U.S.).

tablE 1. Baseline water consumption of fixtures and fittings

Fixture or fitting baseline (iP units) baseline (si units)

Toilet (water closet)* 1.6 gpf 6 lpf

Urinal* 1.0 gpf 3.8 lpf

0.5 gpm at 60 psi** all others except private 1.9 lpm at 415 kPa, all others except
Public lavatory (restroom) faucet applications private applications

Private lavatory faucets 2.2 gpm at 60 psi 8.3 lpm at 415 kPa

Kitchen faucet (excluding faucets used


exclusively for filling operations) 2.2 gpm at 60 psi 8.3 lpm at 415 kPa

Showerhead* 2.5 gpm at 80 psi per shower stall 9.5 lpm at 550 kPa per shower stall

*WaterSense label available for this product type


gpf = gallons per flush gpm = gallons per minute psi = pounds per square inch lpf = liters
per flush lpm = liters per minute kPa = kilopascals

appliance and Process Water use

Install appliances, equipment, and processes within the project scope that meet the requirements listed in the
tables below.
tablE 2. Standards for appliances

appliance requirement
274

Residential clothes washers ENERGY STAR or performance equivalent

Commercial clothes washers CEE Tier 3A

Residential dishwashers (standard and compact) ENERGY STAR or performance equivalent

Prerinse spray valves 1.3 gpm (4.9 lpm)

ENERGY STAR or performance equivalent and use either air-cooled or


Ice machine closed-loop cooling, such as chilled or condenser water system

gpm = gallons per minute lpm = liters per minute

tablE 3. Standards for processes

Process requirement

No once-through cooling with potable water for any equipment or


Heat rejection and cooling appliances that reject heat

Equip with
makeup water meters
conductivity controllers and overflow alarms

Cooling towers and evaporative condensers


e fficient drift eliminators that reduce
drift to maximum of 0.002%
of recirculated water volume for counterflow towers and
0.005% of recirculated water flow for cross-flow towers
gpm = gallons per minute lpm = liters per minute
275

healThCare, reTail, sChools, and hosPiTaliTy only


In addition, water-consuming appliances, equipment, and processes must meet the requirements listed in Tables 4
and 5.
tablE 4. Standards for appliances

kitchen equipment requirement (iP units) requirement (si units)

dishwasher Undercounter 1.6 gal/rack 6.0 liters/rack

Stationary, single tank, door 1.4 gal/rack 5.3 liters/rack

Single tank, conveyor 1.0 gal/rack 3.8 liters/rack

Multiple tank, conveyor 0.9 gal/rack 3.4 liters/rack

Flight machine 180 gal/hour 680 liters/hour

Food steamer Batch 6 gal/hour/pan 23 liters/hour/pan

Cook-to-order 10 gal/hour/pan 38 liters/hour/pan

combination oven Countertop or stand 3.5 gal/hour/pan 13 liters/hour/pan

Roll-in 3.5 gal/hour/pan 13 liters/hour/pan

tablE 5. Process requirements

Process requirement

Where local requirements limit discharge temperature of fluids into


drainage system, use tempering device that runs water only when
equipment discharges hot water
OR
discharge water temperature tempering Provide thermal recovery heat exchanger that cools drained discharge
water below code-required maximum discharge temperatures while
simultaneously preheating inlet makeup water
OR
If fluid is steam condensate, return it to boiler

Use no device that generates vacuum by means of water flow through


venturi-type flow-through vacuum generators or aspirators device into drain
276

Behind the intent


Potable water usage in buildings constitutes a large portion of freshwater consumption. Strategies to reduce
potable water use in buildings entail the selection of efficient plumbing fittings, fixtures, and equipment.
Fixtures that use 20% to 50% less water than code-required levels are now widely available. The WaterSense
label was developed by the U.S. Environmental Protection Agency to identify these efficient fixtures and ensure
that higher efficiency does not come at the cost of performance. The WaterSense label has been incorporated as
a requirement for this credit to ensure that fixtures in a LEED building are both water efficient and high
performing.
In some buildings, intensive appliance and process water use can exceed water use from fixtures and
landscape combined. This is especially true for buildings with cooling towers or evaporative condensers.
Appliance and process water use is therefore addressed specifically with a separate set of requirements.
Because the WE section is designed around an efficiency first model, the prerequisite deals only with the
efficiency of fixtures and fittings; alternative or nonpotable water sources that offset potable water demand are
also addressed in the corresponding credit.

SteP-BY-SteP GUidAnCe

SteP 1. SeleCt ComPliAnCe PAth


Determine the appropriate compliance path(s) for the project.
Compliance Path 1 Prescriptive Achievement is for projects whose installed fixtures do not exceed WaterSense maximum
levels. Compliance is documented through product cutsheets or fixture schedules.
Compliance Path 2 Usage-Based Calculation is for projects that cannot demonstrate the 20% reduction for each fixture, based
on manufacturers documentation. Using the indoor water use calculator provided by USGBC, the project team must
perform calculations to show that, in aggregate, the fixtures comply with prerequisite requirements. Projects pursuing points
under WE Credit Indoor Water Use Reduction must use this compliance path.

SteP 2. SeleCt WAterSenSe-lABeled ProdUCtS


Select WaterSense-labeled products for all newly installed fixtures that are eligible for labeling by verifying that the
manufacturer and model are listed on the WaterSense website. The WaterSense label can be found for fixtures in the following
product categories:
Tank-type toilet (water closet)
Water-using urinals
Private lavatory faucets
Showerheads
The following fixture types are not labeled by WaterSense and must comply with the percentage reduction criteria:
Tankless toilets
Composting toilets and waterless toilets
Waterless urinals
Public lavatory faucets
Using aerators is an acceptable water savings strategy.
Newly installed aerators or flow restrictors added to private lavatories or showers must be WaterSense labeled.
For private lavatories, WaterSense requires a maximum flow rate of 1.5 gallons per minute at 60 pounds per square inch and a
minimum flow rate of 0.8 gallons per minute at 20 pounds per square inch. The installed fixtures in the design case must use
the rated flow rate from the manufacturer, and the underlying assumptions must remain consistent between the baseline
and design cases.
For projects in countries where WaterSense-labeled products are not readily available, see Further Explanation, International
Tips.
277

.
.

.
278

sTeP 6. develoP CoolinG ToWer narraTive, if aPPliCable


Describe the cooling tower or evaporative condenser system, and address the meters, controllers, alarms, and features
indicated in the credit requirements.

comPliance Path 1. PrescriPtive achievement (Prerequisite only) sTeP 1. ConfirM PresCriPTive

CoMPlianCe

Ensure that all selected fixtures meet the following prescriptive flush or flow rate thresholds.

tablE 6. Maximum installed flush or flow rates for prescriptive path

Maximum installed Maximum installed


Fixture or fitting flush or flow rate (iP) flush or flow rate (si) threshold below code baseline

Toilet (water closet)* 1.28 gpf** 4.8 lpf** 20%

Urinal* 0.50 gpf 1.9 lpf 50%

Public lavatory (restroom) faucet 0.40 gpm 1.5 lpm 20%

Private lavatory faucets* 1.50 gpm 5.7 lpm 32%

Kitchen faucet 1.75 gpm 6.7 lpm 20%

Showerhead* 2.00 gpm 7.6 lpm 20%

* The WaterSense label is available for this fixture type.


**The average flush rate for dual-flush toilets must be calculated as the average flush volume of one full flush and two reduced flushes, using a 1:2
(high flush:low flush) ratio. gpf = gallons per flush gpm = gallons per minute lpf = liters per flush lpm = liters per minute sTeP 2. ColleCT

ManufaCTurers inforMaTion
compile fixture cutsheets or manufacturers information for all fixtures and appliances. the fixture data must highlight the flush
or flow rates. a plumbing fixture schedule is acceptable, provided it contains the flush or flow rate information.

comPliance Path 2. usage-Based calculation

sTeP 1. CoMPile CuTsheeTs or PrePare PluMbinG fixTure sChedule for each fixture, compile
manufacturers data that indicate its flush or flow rate.
to simplify the collection of calculation data, consider creating a table or plumbing fixture schedule that indicates the flush or
flow rate information for each fixture.
for ease of documentation, collect fixture model, flush or flow rate, percentage of occupants with access to the fixture, and so
on.

sTeP 2. GaTher inforMaTion for CalCulaTor the indoor water use calculator
requires the following information:
Project occupancy. count occupants consistently across all LEED credits (see Further Explanation, Occupant Types).
if the project has different sets of fixtures for different parts of the building, create a separate table for each subset. if
fixtures are uniform across the project and restroom access is unrestricted, multiple calculations are not necessary; one
calculation can cover all building fixtures and occupants.
a separate calculation to accommodate visitors is not necessary because the calculator automatically assigns them a lower
daily usage rate. for example, it assumes that visitors do not use kitchen faucets.
Gender ratio. the default gender mix is half male and half female. assumptions that differ from the default must be
supported by a narrative and supporting data (see Further Explanation, Gender Ratio).
days of operation. the default number of days of operation per year is 365.
if the project is in use for only a portion of the year or closes on specific days, the days of operation can be reduced.
the same number of days of operation must be applied to both the baseline and the design cases.
Ensure that the number of days of use is consistent with the buildings operating schedule and prepare supporting
documentation. fixture types used in the project.
279

=
280

See equations in Step-by-Step Guidance. Calculations are built into the indoor water use calculator; the
following is provided for reference.
The usage-based calculation for the project is the difference between the calculated design case and a
baseline case. The percentage is determined by dividing the design case reduction by the baseline reduction. In
traditional plumbing design, calculations are based on fixture counts; the methodology under this prerequisite
calculates water use according to fixture consumption rates and estimated use. Occupants estimated use is
determined by counting full-time-equivalent and transient occupants and applying appropriate fixture use rates
to each. The calculator estimates the percentage reduction of potable water use, compared with the baseline,
using the following equation (see Further Explanation, Default Durations and Uses for
more about this equations variables).

Equation 1. Basic indoor water use reduction calculation

Daily water use for Fixture flush


each fixture type = or flow rate Duration of use

Uses per person per


Users
day

The calculator produces the following:


Annual baseline water consumption (gallons or liters per year)
Annual design case water consumption (gallons or liters per year)
Percentage savings between baseline and design cases

Equation 3. Indoor water-use reduction

}
% improvement { Baseline volume Baseline Volume Performance volume
281

from baseline = 100

This prerequisite deals only with the water efficiency of fittings and fixtures, appliances, and processes that use
potable water. Water derived from alternative sources, such as captured rainwater, is not considered under this
prerequisite but can be used to document additional savings in WE Credit Indoor Water Use Reduction.

exCluded WaTer-usinG equiPMenT


Appliances and equipment that use water on materials intended for human consumption may be excluded. For
example, bread and produce misters, soda machines, coffee-making machines, and fixtures used to fill sinks for
washing produce are excluded.
Fixtures whose flow rates are regulated by health codes may be excluded from the calculation. For example,
regulated medical equipment is considered a process water user and is excluded from fixture calculations.
Process water sinks are excluded from the fixture water-use reduction calculations.
The following list provides examples of process water sink fixtures that are excluded.

Specialized
Janitor sinks
Laboratory sinks regulated for medical or industrial purposes
Commercial kitchens (food service)
Commercial kitchen (food service) sinks and prep sinks, including pot filling sinks, wash-down, and
cleaning sinks

Health care
Surgical scrub sinks
Exam or procedure room sinks for clinical use
Medication room sinks

General
Janitor closet sinks
Soiled utility room flushing rim sinks
Soiled utility room hand-washing sinks
Clean utility room hand-washing sinks

PubliC versus PrivaTe lavaTories


Lavatory faucets must be classified as public or private. The Uniform Plumbing Code, International Plumbing
Code, and the National Standard Plumbing Code each define private as those fixtures in residences, hotel or
motel guest rooms, and private rooms in hospitals. All other applications are deemed to be public.
Fixtures used by residential occupants and fixtures used by residential-type occupants who use the building for
sleeping accommodations fall into the private classification. Resident bathrooms in dormitories, patient
bathrooms in hospital and nursing homes, and prisoner bathrooms are considered private use.
If it is unclear whether the classification should be public or private, default to public use flow rates in
performing the calculations.
Lavatory faucets are intended for hand washing (Table 7). Private lavatory faucets are subject to the federal
standard of 2.2 gallons per minute at 60 pounds per square inch (8.3 liters per minute at 415 kilopascals). Public
lavatory faucets are subject to the federal standard of 0.5 gallons per minute at 60 pounds per square inch (1.9
liters per minute at 415 kilopascals).
tablE 7. Typical public and private lavatory faucet applicatio ns

lavatory faucet classification


282

Restroom sink
Public (baseline: 0.5 gpm, 1.9 lpm)
School classroom sinks (if used primarily for hand washing)

Residential bathroom sink

Hotel or motel bathroom sink

Dormitory bathroom sink Private (baseline: 2.2 gpm, 8.3 lpm)

Patient room sink

Patient bathroom sink in hospital or nursing home


gpm = gallons per minute lpm = liters per minute

Unique or Nonstandard Water Closets


For unique or nonstandard toilets and fixtures, the following may apply:
Toilets with flush valve control and separate bowls. The flush rates should be based on installed flush
valve.
Confirm that bowl and flush valve rates are compatible to ensure performance.
Prison fixtures. Flow rates and flushing mechanisms must conform to the same design standards as
commercial toilets.
Childrens toilets. Flow rates and flushing mechanisms must conform to the same design standards as
commercial toilets. Confirm that the flush rates of the flush valves are compatible with the bowl sizes to
ensure performance.
Squat (floor-mounted) toilets. Flow rates and flushing mechanisms must conform to the same design
standards as commercial toilets.

oCCuPanT TyPes
Identify the daily average number of building users by type (see Getting Started, Occupancy). The indoor
water use calculator requires total occupant counts in the following categories:
Employees and staff, expressed as full-time-equivalent (FTE) employees
Residents
Determine the number of residentsresidential occupants in dormitories, hospital in-patients, prisoners,
hotel guests, and any other people who use the building for sleeping accommodations. For apartments or
multifamily residences where resident occupancy is unknown, estimate the default resident number as the
total number of bedrooms + 1 for each residential unit. For example, assume two residents per one-bedroom
unit, three residents per two-bedroom unit, and so forth, unless a different assumption is warranted.
Include inpatients at health care facilities with residents.
Include hotel guests with residents. Calculate the number of overnight hotel guests based on the number
and size of units in the project. Assume 1.5 occupants per guest room and multiply the resulting total by
60% (average hotel occupancy, per American Hotel and Lodging Association).
K12 students. See Further Explanation, Rating System Variations.
Retail customers
Visitors (excluding retail customers)
Include outpatients and higher education students.
283

Report visitors as a daily average total.


If occupancy is known, use the actual occupant counts for calculating occupancy. Use occupancy numbers
that are a representative daily average over the course of the year. If the occupancy is not known, see Getting
Started, Occupancy).
Tables 8 and 9 (see Further Explanation, Default Duration and Uses) provide default fixture
use values for different occupancy types. These values should be used in the calculations unless special
circumstances warrant modifications (see Further Explanation, Rating System Variations).

Gender raTio
The default gender ratio for full-time-equivalent occupants is 50:50. In special circumstances, where an
alternative ratio may be justified, provide a narrative and supporting documentation. Modifications to the 50:50
ratio must be shown to apply for the life of the building.
Acceptable special circumstances include projects specifically designed for an alternative gender ratiofor
example, a single-gender educational facility. Such projects must show that flush and flow fixtures have been
distributed to account for the modified ratio. Project teams must provide documentation of the code-required
plumbing fixture counts per gender so that the review team can verify that the flush-fixture ratio installed in the
project supports the alternative gender ratio.
Gender ratio affects water usage only when urinals are installed. If the project does not include urinals, a
50:50 or 0:100 male:female ratio should yield the same usage results.
defaulT duraTions and uses
Duration of use and uses per day are calculated using defaults (Tables 8 and 9).

tablE 8. Nonresidential default fixture uses

uses per day

Fixture type duration (sec)

Employees (FtE) visitors retail customers students

Water closet (female) n/a 3 0.5 0.2 3

Water closet (male) n/a 1 0.1 0.1 1

urinal (female) n/a 0 0 0 0

urinal (male) n/a 2 0.4 0.1 2

Public lavatory faucet 30 3 0.5 0.2 3

shower 300 0.1 0 0 0


284

kitchen sink 15 1 0 0 0

tablE 9. Residential default fixture uses

Equipment duration (sec) uses per day

Water closet (female) n/a 5

Water closet (male) n/a 5

Private lavatory Faucet 60 5

Shower 480 1

Kitchen sink 60 4

For residents, hospital inpatients, hotel guests, prisoners, or any other residential occupants who use the building
for sleeping accommodations, use the default residential fixture usage assumptions. raTinG sysTeM variaTions

Core and Shell


Include in the prerequisite documentation only plumbing fixtures, appliances, and process water installed as a
part of the Core and Shell projects scope of work (i.e., what the developer is installing in the project). Do not
include as-yet-uninstalled (future) plumbing fixtures, appliances, and process water. If no eligible plumbing
fixtures, appliances, and process water are installed as part of the Core and Shell project scope of work, the
project automatically achieves this prerequisite.
If plumbing fixtures are installed by the developer in otherwise-incomplete tenant spaces, include those
plumbing fixtures installed as part of the Core and Shell project scope and use the default occupancy counts to
account for their usage in the calculations if pursing Compliance Path 2. If the occupancy is not known, see
Getting Started, Occupancy. Use code occupancy to determine the project occupancy.

Schools
Appliance and process water-use equipment installed in the project must meet the requirements of Tables 4 and
5 of the prerequisite.
For K12 schools that close on weekends, holidays, and for eight weeks of school vacation, assume 195 days
of operation.
For occupancy calculations (Table 10), in deciding whether to count individuals as employees, students, or
visitors, consider their fixture-use patterns. For example, a volunteer who serves four hours each day in an
elementary school will likely have the same plumbing usage patterns as full-time staff. Such a volunteer could
therefore be considered to have an FTE value of 0.5. On the other hand, an individual who attends a high school
basketball game may be expected to use the water closets and lavatory faucets in the school building
infrequently and therefore should be counted as a visitor. Report visitors as average daily totals.
tablE 10. Default fixture uses in schools, by occupancy type

Fixture type FtE student visitors

Water closet

Female 3 3 0.5

Male 1 1 0.1

urinal
285

Female 0 0 0

Male 2 2 0.4

lavatory faucet 3 3 0.5

shower 0.1 0 0

kitchen sink 1 0 0

When calculating annual occupancy for schools with multiple sessions, consider a session a discrete period of
school building operation. A session can be defined by a season or by other variations in building occupancy and
usage, such as weekend programming by a community organization. If the school building is used for more than
one session annually, calculate the percentage for each session, based on the number of days in the session
divided by the total number of days during which the school building operates annually, using Equation 4.

Equation 4. School session as percentage of annual operation

Session % = Days in session / Annual days of operation

Then calculate the annual occupants of each gender by multiplying the number of occupants in each session by
the session percentage (from Equation 1) and adding the results of all sessions together, using Equation 5:

Equation 5. Annual occupancy for Schools projects

} { }
{
+ Session B FTEs,
Session %

Annual occupants, by gender = Session A FTEs, by gender by gender

Session %

FTE = full-time equivalent


ProjeCT TyPe variaTions
Mixed-Use Projects
If a mixed-use project uses the same fixtures throughout the building, complete one calculation for building
water use. If the spaces use different fixtures or have dramatically different patterns of occupancy, complete the
indoor water use calculator separately for each space type.

Additions
All fixtures within the project boundary must be included in the prerequisite calculations. If the project boundary
includes only the addition, the fixtures or fittings outside the addition do not need to be included in the
calculations for prerequisite compliance, even if used by project occupants.

inTernaTional TiPs
286

For fixtures that require the WaterSense label in countries where the label is unavailable, look up acceptable
WaterSense substitutes at usgbc.org. Projects in unlisted countries must comply with the 20%-below-
baseline requirement but have no additional performance requirements.
For appliances that require the ENERGY STAR label, a project outside the U.S. may install products that are
not labeled under the ENERGY STAR program if they meet the ENERGY STAR product specifications,
available on the ENERGY STAR website. All products must meet the standards of the current version of
ENERGY STAR as of the date of their purchase.
For appliances that require the Consortium for Energy Efficiency (CEE) label, a project outside the U.S. may
purchase products that have not been qualified or labeled by CEE if they meet the CEE product criteria for
efficiency.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

all projects
Projects with
core and shell
documentation usage-based appliance or
projects only
Prescriptive calculation process water

Product cutsheets, manufacturers information X X X

Indoor water use calculator X

Tenant lease agreement X

Tenant scope of work narrative X

relaTed CrediT TiPs


WE Prerequisite Building-Level Water Metering. Metering of potable water usage will allow facilities
management staff to monitor changes in water usage as efficiency measures are implemented.

WE Credit Water Metering. Additional submetering of water-using systems will give facilities management
staff actual performance data on specific water efficiency measures so that they can make adjustments to reduce
water consumption. The credit builds on the prerequisite by requiring a higher level of water efficiency. In this
prerequisite, projects may demonstrate compliance through product cutsheets showing that all fixtures meet or
exceed the minimum reduction threshold; in the credit, a usage-based calculation is mandatory.
ChanGes froM leed 2009
This prerequisite now includes requirements for water-using appliances and processes, as well as cooling
towers and evaporative condensers.
The WaterSense label requirements were recommended in LEED 2009. They are now mandatory in the
U.S., with local equivalents allowed outside the U.S.
The prescriptive compliance path, based on demonstrating that all fixtures are 20% below baseline, is new.
287

Duration-based savings from autocontrol faucets with automatic fixture sensors or metering controls are no
longer allowed in the design case. Studies have shown that autocontrol faucets do not save water because
users frequently reactivate the faucet after initial use or stop washing before the cycle ends.
Applying nonpotable water is no longer allowed as an alternative compliance path in the prerequisite.
Alternative water sources can, however, earn points in the corresponding credit.

referenCed sTandards
Energy Policy Act (EPAct) of 1992 and as amended: eere.energy.gov/femp/regulations/epact1992.html

EPAct 2005: eere.energy.gov/femp/regulations/epact2005.html

International Association of Plumbing and Mechanical Officials Publication IAPMO/ANSI UPC 1-2006,
Uniform Plumbing Code 2006, Section 402.0, Water-Conserving Fixtures and Fittings: iapmo.org

International Code Council, International Plumbing Code 2006, Section 604, Design of Building Water
Distribution System: iccsafe.org

ENERGY STAR: energystar.gov

Consortium for Energy Efficiency: cee1.org

WaterSense: epa.gov/watersense

IgCC/ASHRAE 189.1 cooling tower and evaporative condenser requirements:


ashrae.org/resources--publications/bookstore/standard-189-1

exeMPlary PerforManCe
Not available.

definiTions
closed-loop cooling a system that acts as a heat sink for heat-rejecting building and medical equipment by
recirculating water. Because the water is sealed within the system, some closed-loop cooling systems use
nonpotable water (such as recycled process water harvested from an air handler's cooling coil condensate).

conductivity the measurement of the level of dissolved solids in water, using the ability of an electric current to
pass through water. Because it is affected by temperature, conductivity is measured at 25C for standardization.

drift water droplets carried from a cooling tower or evaporative condenser by a stream of air passing through the
system. Drift eliminators capture these droplets and return them to the reservoir at the bottom of the cooling
tower or evaporative condenser for recirculation.
makeup water water that is fed into a cooling tower system or evaporative condenser to replace water lost
through evaporation, drift, bleed-off, or other causes

metering control a regulator that limits the flow time of water, generally a manual-on and automatic-off
device, most commonly installed on lavatory faucets and showers nonpotable water water that does not
meet drinking water standards

potable water water that meets or exceeds U.S. Environmental Protection Agency drinking water quality
standards (or a local equivalent outside the U.S.) and is approved for human consumption by the state or local
authorities having jurisdiction; it may be supplied from wells or municipal water systems
288

process water water that is used for industrial processes and building systems, such as cooling towers, boilers,
and chillers. It can also refer to water used in operational processes, such as dishwashing, clothes washing, and
ice making.
WaTer effiCienCy PrerequisiTe

Building-Level water Metering


this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to support water management and identify opportunities for additional water savings by
tracking water consumption.

requireMenTs

building Water use


Install permanent water meters that measure the total potable water use for the building and associated grounds. Meter data must
be compiled into monthly and annual summaries; meter readings can be manual or automated.

Commit to sharing with USGBC the resulting whole-project water usage data for a five-year period beginning on the date the
project accepts LEED certification or typical occupancy, whichever comes first.
This commitment must carry forward for five years or until the building changes ownership or lessee.
284
Behind the intent
Disparities often exist between how buildings are designed to operate and how they actually perform. Numerous
factors may be responsible: flaws in energy modeling, inadequate commissioning, inaccurate assumptions about
occupants behavior, lack of coordination during the transition from construction to operations, or the everyday
operation of the building systems. By collecting and analyzing performance data, USGBC aims to compare building
performance across the LEED portfolio to identify common traits among high and low performers, and share these
findings to help project teams improve building performance.
One system often subject to gaps between projected and actual performance is water use. As a first step in
improving efficiency, the project team must install water metering to track water consumption by both the project
building and any associated grounds.

SteP-BY-SteP GUidAnCe

SteP 1. identifY All PotABle wAter end USeS


Determine all end uses of potable water in the project building and on the grounds. These could include water consumption for
plumbing fixtures, cooling towers and evaporative condensers, laundering, dishwashing, indoor and outdoor water features,
irrigation, exterior cleaning, and manufacturing processes.
Examples of potable water sources that must be metered include the following: Public water
supply
On-site well
On-site potable water treatment system

SteP 2. determine SCoPe of PUBliC wAter SUPPlY meterinG, if APPliCABle


If all water comes from a public water supply and the utilitys water meter provides monthly consumption data, that systems
meter meets the prerequisite requirements. However, the project team may have little influence on the location and function of
the meter, so the building owner should confirm the following with the public water supplier:
Location: where the meter will be located (e.g., inside the building, under or above ground outside)
Accessibility: how the building manager will reach the meter
Reporting: how the meter will be read (e.g., manually or via remote transmission)
If the public water supplier restricts access to the meter or uses proprietary remote reporting technology, the project team may
meet the prerequisite requirement by tracking water usage through monthly billing. To collect more frequent or accurate data,
the team may elect to install a private meter downstream of the public water supply meter.

SteP 3. determine nUmBer, loCAtion, And tYPe of All meterS


If the project is not served by a public water supply, or if the project uses multiple sources of potable water, two or more meters
may be required. A single meter installed downstream of multiple potable water supply systems may be used if it is upstream of
all project water uses.
In some cases, projects may elect to use multiple meters to gain additional information on water use.
Select locations with easy access for reading and maintenance.
There are no requirements for the type of meters except that they be permanent.
Additional meters may be needed to satisfy the requirements for WE Prerequisite Indoor Water Use Reduction and WE Credit Water
Metering (see Related Credit Tips).
Prepare a narrative describing the location of the building level water meter(s) serving the project and site, as applicable. If
nonpotable water is included in the metered water volume, note this in the narrative and describe how volumes can be managed
and tracked separately.
Either use a whole-building meter or, provided all potable water uses are accounted for, aggregate data from submeters for each unit and
common spaces.

Additions
A single meter that covers both old and new portions of the building may be installed, but submetering for the addition is encouraged.

inTernaTional TiPs
Project teams outside the U.S. may use ENERGY STAR Portfolio Manager or the manual tracking template to track and report their energy
and water consumption to USGBC.

CaMPus
Group Approach
Submit separate documentation for each building. Potable water used for landscape irrigation must be tracked in any of three ways: by
including it with a single building, by installing a dedicated meter, or by installing multiple meters.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
286

required doCuMenTaTion

documentation all projects

Meter declaration X
Sharing commitment X

relaTed CrediT TiPs


WE Prerequisite Indoor Water Use Reduction. The related prerequisite requires separate water submeters for cooling tower makeup and
blowdown and for evaporative condensers.

WE Credit Water Metering. The related credit encourages project teams to install submeters on certain systems serving the building.

EA Prerequisite Building-Level Energy Metering. Water meters may be tracked by a building automation system (BAS) that also
records energy consumption. Data sharing for both this and the related prerequisite can be achieved through ENERGY STARs Portfolio
Manager.

ChanGes froM leed 2009


This is a new prerequisite. The ongoing tracking and reporting components were previously required under Minimum Program
Requirement 6 for all LEED 2009 projects.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
potable water water that meets or exceeds U.S. Environmental Protection Agency drinking water quality standards (or a
local equivalent outside the U.S.) and is approved for human consumption by the state or local authorities having
jurisdiction; it may be supplied from wells or municipal water systems

private meter a device that measures water flow and is installed downstream from the public water supply meter or as
part of an on-site water system maintained by the building management team

public water supply (PWS) a system for the provision to the public of water for human consumption through pipes or
other constructed conveyances. To be considered public, such system must have at least 15 service connections or
regularly serve at least 25 individuals. (Adapted from U.S. Environmental Protection Agency)
WaTer effiCienCy CrediT

outdoor water use Reduction


this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points) hospitality (12
points) retail (12 points) healthcare (1 point)
inTenT to reduce outdoor water consumption.

requireMenTs

Reduce outdoor water use through one of the following options. Nonvegetated surfaces, such as permeable or impermeable pavement,
should be excluded from landscape area calculations. Athletic fields and playgrounds (if vegetated) and food gardens may be included or
excluded at the project teams discretion.

oPTion 1. no irriGaTion required (2 PoinTs exCePT healThCare,


1 PoinT healThCare)
Show that the landscape does not require a permanent irrigation system beyond a maximum two-year establishment period.
or

oPTion 2. reduCed irriGaTion (2 PoinTs exCePT healThCare, 1 PoinT healThCare)


Reduce the projects landscape water requirement (LWR) by at least 50% from the calculated baseline for the sites peak watering month.
Reductions must first be achieved through plant species selection and irrigation system efficiency as calculated in the Environmental
Protection Agency (EPA) WaterSense Water Budget Tool.

Additional reductions beyond 30% may be achieved using any combination of efficiency, alternative water sources, and smart
scheduling technologies.
288

tablE 1. Points for reducing irrigation water


Percentage reduction from baseline Points (except healthcare) Points (healthcare)

50% 1 1

100% 2
297

.
290 when planning the site layout, consider factors such as proximity to water source for optimized irrigation, distance from water
meter, and so on. Resolve uncertainties about plants water requirements by referring to local resources, such as plant guides,
state agricultural extension services, or nurseries to classify each plant type as a low, medium, or high water user.
Projects may not enter zero landscape water consumption for any landscaped area. if only part of the lot is irrigated,
complete the calculation twiceonce for the irrigated section and again for the unirrigated areaand sum the results.

sTeP 5. CalCulaTe adjusTed landsCaPe WaTer requireMenT calculate monthly supply from alternative
sources.
Determine water quantity from alternative sources (e.g., using historical rainfall data) or from projected demand when water is reused.
Rainwater harvesting volume can be calculated using Equations 1 and 2.
Ensure that the rainwater needed in the peak month can be stored on-site.
alternative calculations for rainwater cistern sizing may be used.

Equation 1. Rainwater harvesting from roof

Gallons per 1 inch of rain = Roof area in ft2 0.6

Equation 2. Monthly harvested rainwater volume

Final LWR = LWR or adjusted LWR (.15 LWR or Adjusted LWR)

Determine the adjusted landscape water requirement using Equation 3.


Equation 3. Adjusted monthly landscape water requirement (LWR)

Adjusted LWR (volume/month) = LWR (volume/month) Alternative water quantity (volume/month)

sTeP 6. CalCulaTe addiTional reduCTion froM baseline for sMarT irriGaTion


ConTrols
count only irrigation controls whose smart-sensor technology meets the watersense criteria. these controls result in an additional
15% reduction that project teams can take from the baseline.
Equation 4. Adjusted monthly landscape water requirement (LWR)

Final LWR = (Prerequisite LWR or adjusted LWR) (.15 Prerequisite LWR)

Step-by-Step Guidance
299
Alternative water sources include reclaimed wastewater, graywater, swimming pool backwash filter, refrigeration
system condensate, captured rainwater, stormwater and foundation drain water, steam system condensate, fluid
cooler discharge, food steamer discharge, combination oven discharge, industrial process water, fire pump test
water, municipally supplied treated wastewater, and ice machine condensate.
Testing site-derived alternative water to confirm its suitability for irrigation uses is recommended. Salinity is one
concern. Irrigation with saline water in an arid environment causes salt buildup in the soil, eventually degrading it.
Condensate and cooling tower blowdown in particular may have salinity levels precluding use for irrigation. A
second concern is that alternative water supplies must be stored until needed for irrigation; the timing and reliability
of the supply must be assessed.
When calculating alternative water source annual projections, follow these guidelines:
Depending on supply timing and availability, monthly water budget calculations may be necessary to show
how much potable water may be replaced. Calculate irrigation water demand during each month of the
irrigation season.
Assume that alternative water will be used for irrigation as it is available. The contribution of alternative water
to the peak month irrigation demand must be based on having excess alternative water available and stored
before the peak month.

abouT WaTersense
EPAs WaterSense website includes this reference for native vegetation in various parts of the US:
epa.gov/watersense/outdoor/what_to_plant.html.
Use the WaterSense Water Budget Data Finder (epa.gov/watersense/new_homes/wb_data_finder.html) to
estimate the evapotranspiration rate (ETo) in inches per month for the critical month of the year based on a projects
zip code. ETo, a measurement of the amount of water lost from a well-maintained expanse of average-height green
grass and the surrounding soil, varies with a locations sunshine, wind, humidity, and temperature. Hot, dry, and
windy locations have higher ETo values than cool, humid locations. Data for these variables are based on 30-year
historical averages. Data for projects outside the U.S. are not included in this tool.
The WaterSense Water Budget Tool (epa.gov/watersense/water_budget/) calculates a baseline landscape water
requirement of a typical landscape, as described above. Different plant species and their arrangement in the
landscape can be entered, and the Water Budget Tool estimates the effect of these design variables on LWR.
Projects outside the U.S. may use this tool with local data.
Varying elements of irrigation water delivery systems can help in estimating how design decisions affect water
requirements.
WaterSense irrigation controller specifications (epa.gov/WaterSense/products/controltech.html) outline the
requirements for weather-based irrigation controller systems. These systems earn projects a standard 15% reduction in
landscape water requirements for this credit. exaMPles
A locations rainfall and evapotranspiration levels determine how much water a project needs. Consider two
projects using Option 2, each with a fairly water-efficient landscape around an office building, one in Livingston,
New Jersey, and one in Palo Alto, California (Figure 1).

Example 1. Livingston, New Jersey


The location is a typical suburban community in northern New Jersey. The team uses the EPA WaterSense Water
Budget Data finder:
Enter Zip Code: 07039
Peak Month: Jun
ETo Value: 6.30 inches/month
Rainfall: 3.40 inches/month
300

Figure 1. Example Site Plan

When landscape area is entered, the tool offers these results (Figure 2):
Total: 16,000 sq ft
10,000 sq ft of groundcoverlow water need, native species, drip irrigation
6,000 sq ft of treesmedium water need, drip irrigation
301

Figure 2. Water Budget Calculation for Livingston, NJ Location. Screenshot taken from http://www.epa.gov/watersense

The landscape water allowance (30% below baseline minimum) equals 43,980 gallons a month. The landscape water
requirement for this design in this location is 15,939 gallons a month. The total savings without alternative water
sources equals 75%. The project achieves the credit and earns 1 point.
The team has determined that rainwater harvested from the buildings roof will supply all the projects outdoor
water needs. Given the average monthly rainfall in this location and the roofs area, average monthly rainwater
available for harvesting is 21,217 gallons per month. The team installs a rainwater cistern capable of holding
20,000 gallons of rainwater for irrigation. The rainwater cistern would be full during the peak watering month.
With an adjusted landscape water requirement of 15,939 gallons a month minus 20,000 gallons a month available
for harvesting, the project uses4,061 gallons a month (i.e., it has a rainwater surplus). The total savings is 100%,
for 2 points.

Example 2. Palo Alto, California


Palo Alto is in a fairly dry region of the country. The team uses the EPA WaterSense Water Budget
Data Finder (Figure 3):
Enter Zip Code: 94301
Peak Month: Jul
ETo Value: 6.00 inches/month
Rainfall: 0.00 inches/month
302

Figure 3. Water Budget Calculation for Palo Alto, CA Location. Screenshot taken from http://www.epa.gov/watersense

With a total landscape area of 16,000 square feet10,000 square feet of groundcover (low water need, native
species, drip irrigation) and 6,000 square feet of trees (medium water need, drip irrigation)the tool now calculates
a landscape water allowance of 41,886 gallons a month, or 30% below the baseline minimum. Compared with the
New Jersey example above, the landscape water requirement for this design has increased to 26,713 gallons a
month. The total savings is now 55%, for 1 point.

inTernaTional TiPs
Project teams outside the U.S. may obtain monthly average rainfall and reference evapotranspiration data from the
Food and Agriculture Organization of the United Nations. If the data are unavailable, teams must provide estimates.
Monthly rainfall should be an average value based on data from a reliable source, such as the World Meteorological
Organization.
Reference evapotranspiration may be calculated from weather data. REF-ET software uses a variety of
algorithms based on monthly average weather data to calculate reference evapotranspiration.
The month with the largest deficit between reference evapotranspiration and rainfall is the peak month. These
estimates may then be used in the EPA WaterSense Water Budget Tool to calculate the landscape water requirement
for the site.

CaMPus
Group Approach
All buildings in the group may be documented as one. Use the total landscaped area of the entire campus. The
results of the Water Budget Tool apply to all buildings in the group.

Campus Approach
Eligible.

required doCuMenTaTion

documentation option 1 option 2


303

Alternative water source and controls calculations X

relaTed CrediT TiPs


SS Credit Rainwater Management. Rainwater management can aid in the recovery of rainwater as an alternative
irrigation source.

WE Prerequisite Indoor Water Use Reduction. Graywater is a potential source for reducing outdoor potable
water use.

WE Credit Cooling Tower Water Use. Cooling tower blowdown water and other cooling tower process water are
potential alternative water sources for meeting outdoor water demand.

WE Prerequisite Building-Level Water Metering. Landscape water meters can aid in achieving this credit and
prepare the project for certification under LEED for Building Operations and Maintenance. The landscape may be
metered separately or with the whole building.

WE Credit Water Metering. Metering the landscape separately contributes to achieving the related credit.

ChanGes froM leed 2009


This is a new credit.
The WaterSense Water Budget Tool is now listed as the referenced calculation tool.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
conventional irrigation a regions most common system for providing water to plants by nonnatural means. A
conventional irrigation system commonly uses pressure to deliver water and distributes it through sprinkler heads
above the ground.

evapotranspiration the combination of evaporation and plant transpiration into the atmosphere. Evaporation occurs
when liquid water from soil, plant surfaces, or water bodies becomes vapor. Transpiration is the movement of water
through a plant and the subsequent loss of water vapor.

graywater untreated household waste water which has not come into contact with toilet waste. Graywater includes
used water from bathtubs, showers, bathroom wash basins, and water from clothes-washers and laundry tubs. It must
not include waste water from kitchen sinks or dishwashers (Uniform Plumbing Code, Appendix G, Gray Water
Systems for Single-Family Dwellings); waste water discharged from lavatories, bathtubs, showers, clothes washers
and laundry sinks (International Plumbing Code, Appendix C, Gray Water Recycling Systems). Some states and local
304

authorities allow kitchen sink wastewater to be included in graywater. Other differences can likely be found in state
and local codes. Project teams should comply with the graywater definition established by the authority having
jurisdiction in the project area.

hardscape the inanimate elements of the building landscaping. It includes pavement, roadways, stonewalls, wood
and synthetic decking, concrete paths and sidewalks, and concrete, brick, and tile patios.

industrial process water any water discharged from a factory setting. Before this water can be used for irrigation,
its quality needs to be checked. Saline or corrosive water should not be used for irrigation.

hydrozone a group of plantings with similar water needs

native vegetation an indigenous species that occurs in a particular region, ecosystem, and habitat without direct or
indirect human actions. Native species have evolved to the geography, hydrology, and climate of that region. They
also occur in communities; that is, they have evolved together with other species. As a result, these communities
provide habitat for a variety of other native wildlife species. Species native to North America are generally
recognized as those occurring on the continent prior to European settlement. Also known as native plants.

peak watering month the month with the greatest deficit between evapotranspiration and rainfall. This is the
month when the plants in the sites region potentially require the most supplemental water typically a mid-summer
month. (Sustainable Sites Initiative) potable water water that meets or exceeds U.S. Environmental Protection
Agency drinking water quality standards (or a local equivalent outside the U.S.) and is approved for human
consumption by the state or local authorities having jurisdiction; it may be supplied from wells or municipal water
systems

rainwater harvesting the capture, diversion, and storage of rain for future beneficial use. Typically, a rain barrel or
cistern stores the water; other components include the catchment surface and conveyance system. The harvested
rainwater can be used for irrigation.

reclaimed water wastewater that has been treated and purified for reuse

reference evapotranspiration rate the amount of water lost from a specific vegetated surface with no moisture
limitation. Turf grass with height of 120 mm is the reference vegetation.

softscape the elements of a landscape that consist of live, horticultural elements xeriscaping

landscaping that does not require routine irrigation


WaTer effiCienCy CrediT

indoor water use Reduction


this credit applies to:
new Construction (16 points) data Centers (16 points)
Core and shell (16 points) Warehouses and distribution Centers (16 points) schools (17 points)
hospitality (16 points) retail (17 points) healthcare (17 points)

inTenT to reduce indoor water consumption.

requireMenTs

Further reduce fixture and fitting water use from the calculated baseline in WE Prerequisite Indoor Water Use
Reduction. Additional potable water savings can be earned above the prerequisite level using alternative water
sources. Include fixtures and fittings necessary to meet the needs of the occupants. Some of these fittings and
fixtures may be outside the project boundary. Points are awarded according to Table 1.
tablE 1. Points for reducing water use

Points
Percentage reduction Points (bd+c) (schools, retail, hospitality, healthcare)

25% 1 1

30% 2 2

35% 3 3

40% 4 4

45% 5 5

50% 6

sChools, reTail, hosPiTaliTy, and healThCare only Meet the percentage reduction
requirements above.

and

aPPlianCe and ProCess WaTer


Install equipment within the project scope that meets the minimum requirements in Table 2, 3, 4, or 5 . One point is
awarded for meeting all applicable requirements in any one table. All applicable equipment listed in each table must
meet the standard.
Schools, Retail, and Healthcare projects can earn a second point for meeting the requirements of two tables. To
use Table 2, the project must process at least 120,000 lbs (57 606 kg) of laundry per year.
tablE 2. Compliant commercial washing machines
Points
Washing machine requirement (iP units) (schools, retail, hospitality, healthcare)

On-premise, minimum capacity 2,400 lbs (1


088 kg) per 8-hour shift Maximum 1.8 gals per pound * Maximum 7 liters per 0.45 kilograms *

* Based on equal quantities of heavy, medium, and light soil laundry.

To use Table 3, the project must serve at least 100 meals per day of operation. All process and appliance
equipment listed in the category of kitchen equipment and present on the project must comply with the standards.

tablE 3. Standards for commercial kitchen equipment

kitchen equipment requirement (iP units) requirement (si units)

dishwasher Undercounter ENERGY STAR ENERGY STAR or


performance equivalent

Stationary, single tank, door ENERGY STAR ENERGY STAR or


performance equivalent

Single tank, conveyor ENERGY STAR ENERGY STAR or


performance equivalent

Multiple tank, conveyor ENERGY STAR ENERGY STAR or


performance equivalent

Flight machine ENERGY STAR ENERGY STAR or


performance equivalent

Food steamer Batch (no drain connection) 2 gal/hour/pan including 7.5 liters/hour/pan including
condensate cooling water condensate cooling water

Cook-to-order (with drain 5 gal/hour/pan including 19 liters/hour/pan including


connection) condensate cooling water condensate cooling water

combination oven Countertop or stand 1.5 gal/hour/panincluding 5.7 liters/hour/pan including


condensate cooling water condensate cooling water

Roll-in 1.5 gal/hour/pan including 5.7 liters/hour/pan including


condensate cooling water condensate cooling water

Food waste disposer Disposer 3-8 gpm, full load condition, 10 1130 lpm, full load condition, 10min
minute automatic shutoff; or 1 gpm, automatic shutoff; or 43.8 lpm,
no-load condition no-load condition

Scrap collector Maximum 2 gpm makeup water Maximum 7.6 lpm makeup water

Pulper Maximum 2 gpm makeup water Maximum 7.6 lpm makeup water

Strainer basket No additional water usage No additional water usage

gpm = gallons per minute gph = gallons per hour lpm = liters per minute lph = liters per hour
To use Table 4, the project must be a medical or laboratory facility.
tablE 4. Compliant laboratory and medical equipment

Points
lab equipment requirement (iP units) (schools, retail, hospitality, healthcare)

Reverse-osmosis water purifier 75% recovery 75% recovery


307

For 60-inch sterilizer, 6.3 gal/U.S. tray For For 1520-mm sterilizer, 28.5 liters/DIN tray
Steam sterilizer 48-inch sterilizer, 7.5 gal/U.S. tray For 1220-mm sterilizer, 28.35 liters/DIN tray

Sterile process washer 0.35 gal/U.S. tray 1.3 liters/DIN tray

X-ray processor, 150 mm or more in any


dimension Film processor water recycling unit

Digital imager, all sizes No water use

To use Table 5, the project must be connected to a municipal or district steam system that does not allow the
return of steam condensate.
tablE 5. Compliant municipal steam systems

steam system standard

Cool municipally supplied steam condensate (no return) to


Steam condensate disposal drainage system with heat recovery system or reclaimed water

or

Reclaim and use steam condensate 100% recovery and reuse


=
309

Foxhill School has a cafeteria that serves about 600 meals per day and a gymnasium with a commercial washing
machine for washing uniforms, towels, and other linens with a capacity of more than 120,000 pounds per year (54
431 kilograms per year) of laundry.
The school meets the qualification requirements for Tables 2 and 3 of the credit requirements.
The kitchen includes some but not all of the items listed in Table 3 of the credit requirements:
Dishwasher, under counter (1), ENERGY STAR-labeled
Dishwasher, single tank, conveyor (1), ENERGY STAR-labeled
Combination oven, roll-in (2), using 1.0 gallons per hour per pan (3.8 liters per hour per pan), including
condensate cooling water
No food steamer
No food waste disposer
The gymnasium laundry uses 1.6 gallons per pound of laundry (12.4 liters per kilogram of laundry).
The school can earn 2 points for appliance and process water savings, in addition to the savings from its fixtures.

raTinG sysTeM variaTions

Core and Shell


Include in the credit documentation all plumbing fixtures necessary to meet the occupants needs whether they will
be installed as part of the projects scope of work or not. For example, include at a minimum all necessary restroom
fixtures (toilets, urinals, and lavatories) to meet the project occupants needs, and showers when seeking LT Credit
Bicycle Facilities. Assume that the as-yet-uninstalled (future) fixtures have the baseline water consumption rates.
Kitchen sinks must be included in the credit calculations if installed in the projects scope of work or if addressed in
a tenant sales or lease agreement. However, if future kitchen sinks are not installed as part of the projects scope of
work or are not addressed in a tenant sales or lease agreement, they may be excluded from the credit calculations. A
core and shell project can earn credit for the plumbing fixtures installed as part of the projects scope if all fixtures
necessary to meet occupants needs are included in the calculations and if all occupants of the incomplete tenant
spaces are included in the calculations.
A project team may earn credit for the efficiency of not-yet-installed future plumbing fixtures by submitting a
legally binding tenant sales or lease agreement. The agreement, signed by both owner and tenant, must state the
performance requirements for the future fixtures, including the maximum water flush or flow rates and the
WaterSense label (or a local equivalent for projects outside the U.S.) for all newly installed fixtures eligible for
labeling. The project cannot earn credit this way unless the tenant sales or lease agreement is fully executed.

ProjeCT TyPe variaTions


Mixed-Use Projects
If a mixed-use project uses the same fixtures throughout the building, complete a single calculation of building water
use. If the spaces use different fixtures or have very different patterns of occupancy, complete the indoor water use
calculator separately for each space type.

Multifamily Residential Use


residential occupancy.

inTernaTional TiPs
For fixtures that require the WaterSense label in countries where the label is unavailable, look up acceptable
WaterSense substitutes at usgbc.org. Projects in unlisted countries must comply with the 20%-below-baseline
requirement but have no additional performance requirements.
For appliances that require the ENERGY STAR label, a project outside the U.S. may install products that are not
labeled under the ENERGY STAR program if they meet the ENERGY STAR product specifications, available on
the ENERGY STAR website. All products must meet the standards of the current version of ENERGY STAR as of
the date of their purchase.

CaMPus
Group Approach
Submit separate documentation for each building. If nonpotable water systems will be shared by multiple projects,
ensure adequate supply to meet the demands of all projects using nonpotable water. The nonpotable water may not
be double-counted among projects.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

appliances Process water

documentation Fixtures (retail, healthcare, hospitality, and


schools projects only)

Alternative water source calculations (if applicable) X

Plumbing system design drawings (if applicable) X

Alternative water narrative X

Cutsheets, manufacturers information X X X

Indoor water use calculator X

relaTed CrediT TiPs


WE Prerequisite Building-Level Water Metering. Metering of potable water usage allows facilities management
staff to monitor changes as efficiency measures are implemented.

WE Credit Water Metering. Submetering of water-using systems provides water efficiency performance data so
that facilities operators can optimize water consumption.

ChanGes froM leed 2009


Appliance and process water savings can earn credit under the Retail, Healthcare, Hospitality, and Schools
rating systems.
The WaterSense label requirements, merely recommended in LEED 2009, are now mandatory in the U.S., with
local equivalencies allowed elsewhere.
Duration-based savings from autocontrol faucets with automatic fixture sensors or metering controls are no
longer allowed in the design case. Studies have shown that autocontrol faucets do not save water because users
frequently reactivate the faucet after initial use or stop washing before the cycle ends.
311

To earn points, project teams must include fixtures necessary to meet the occupants needs. When no facilities
are available within project boundaries, the closest available restrooms must be included in credit calculations.
These additional restrooms can be excluded from prerequisite compliance requirements.

referenCed sTandards
The Energy Policy Act (EPAct) of 1992 and as amended: eere.energy.gov/femp/regulations/epact1992.html

EPAct 2005: eere.energy.gov/femp/regulations/epact2005.html

International Association of Plumbing and Mechanical Officials Publication IAPMO / ANSI UPC 1-2006,
Uniform Plumbing Code 2006, Section 402.0, Water-Conserving Fixtures and Fittings: iapmo.org

International Code Council, International Plumbing Code 2006, Section 604, Design of Building Water
Distribution System: iccsafe.org ENERGY STAR: energystar.gov

WaterSense: epa.gov/watersense

IgCC/ASHRAE 189.1 cooling tower and evaporative condenser requirements:


ashrae.org/resources--publications/bookstore/standard-189-1

exeMPlary PerforManCe
Achieve 55% water use reduction.

definiTions
alternative water source nonpotable water from other than public utilities, on-site surface sources, and subsurface
natural freshwater sources. Examples include graywater, on-site reclaimed water, collected rainwater, captured
condensate, and rejected water from reverse osmosis systems (IgCC).

baseline water consumption a calculated projection of building water use assuming code-compliant fixtures and
fittings with no additional savings compared with the design case or actual water meter data potable water water
that meets or exceeds U.S. Environmental Protection Agency drinking water quality standards (or a local equivalent
outside the U.S.) and is approved for human consumption by the state or local authorities having jurisdiction; it
may be supplied from wells or municipal water systems nonpotable water water that does not meet drinking water
standards

process water water that is used for industrial processes and building systems, such as cooling towers, boilers, and
chillers. It can also refer to water used in operational processes, such as dishwashing, clothes washing, and ice
making.
WaTer effiCienCy CrediT

cooling tower water use


this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (12 points) retail (12 points) healthcare (12 points)

inTenT

to conserve water used for cooling tower makeup while controlling microbes, corrosion,
and scale in the condenser water system.

requireMenTs

For cooling towers and evaporative condensers, conduct a one-time potable water analysis, measuring at least the five
control parameters listed in Table 1.
tablE 1. Maximum concentrations for parameters in condenser water

Parameter Maximum level

Ca (as CaCO3) 1000 ppm

Total alkalinity 1000 ppm

SiO2 100 ppm

Cl- 250 ppm

Conductivity 2000 S/cm

ppm = parts per million S/cm = micro siemens per


centimeter

Calculate the number of cooling tower cycles by dividing the maximum allowed concentration level of each parameter by
the actual concentration level of each parameter found in the potable makeup water. Limit cooling tower cycles to avoid
exceeding maximum values for any of these parameters.
tablE 2. Points for cooling tower cycles

cooling tower cycles Points

Maximum number of cycles achieved without exceeding any filtration levels or


affecting operation of condenser water system (up to maximum of 10
1
cycles)

Achieve a minimum 10 cycles by increasing the level of treatment in condenser


or make-up water

OR
2
Meet the minimum number of cycles
to earn 1 point and use a minimum 20% recycled nonpotable water
=
sTeP 4. seT CoolinG ToWer or evaPoraTive Condenser CyCles
adjust the cooling tower or evaporative condenser settings for the maximum number of cycles without exceeding concentration levels or affecting
condenser operation.

sTeP 5. inCrease sysTeM PerforManCe


increase the number of cycles by treating the water or, if the project is using 100% potable water, supplementing it with water from a nonpotable
source.
Evaluate whether greater potable water efficiency could be achieved by treating makeup water to reduce or sequester some of the dissolved solids.
nonpotable water derived from the site can offset a portion of the potable water used for makeup (see Further Explanation, Selecting Nonpotable
Sources).

furTher exPlanaTion

CalCulaTions
See calculations in Step-by-Step Guidance.

CyCles of ConCenTraTion
Cycles of concentration are the number of times that a volume of water can circulate through a cooling tower system before
dissolved minerals become so concentrated (as water is lost to evaporation) that they precipitate and cause scalingdeposits that
reduce the efficiency of the cooling system. To dilute the concentration of minerals, some water must be removed (blowdown) and
replaced with fresh makeup water, or the water must be chemically treated, or both. The number of times water can cycle through
the system before scaling becomes a problem depends on the amount of total dissolved solids (TDS) in the original water and the
temperature of the water and heat exchange surfaces. Low-temperature water with low initial TDS levels can be circulated through
more cycles than very hot, mineral-laden (hard) water.
More technically, a cycle of concentration is defined as the ratio of TDS levels in makeup water to TDS levels in water removed
through blowdown, evaporative loss, and drift (windage). A higher number of cycles indicates better water efficiency because less
makeup water is required.
Building maintenance staff can monitor cycles of concentration by comparing the amount of soluble chloride ions (measured in
parts per million, ppm) in makeup water with that in the recirculating water. A test kit is typically available through the cooling
tower or evaporative condenser manufacturer or the service contractor responsible for maintaining makeup water chemistry. The
minimum number of cycles would be a once-through system that runs the makeup water through the heat exchange media once,
without recirculating it. For obvious reasons, this wasteful use of water is discouraged. Yet as cycles increase, the amount of TDS
also increases, resulting in potential fouling of the system. Optimizing the number of cycles avoids both of these scenarios.

seleCTinG nonPoTable sourCes


When selecting a nonpotable source, consider the factors that affect makeup water quality. Acceptable sources should have
relatively low levels of dissolved solids. Stormwater runoff from the ground surface or graywater may contain contaminants,
including dissolved chlorides that may need treatment. In contrast, air-conditioning condensate and rainwater collected from
building roofs have relatively low mineral content. Good nonpotable water sources include the following:
Air-conditioner condensate
Rainwater
Steam system condensate
Food steamer discharge water
Fire pump test water
Ice machine condensate
Other factors to consider are ease of transport to the cooling tower and required volume of makeup water.
309

exaMPle
Analysis of the makeup water for a cooling tower or evaporative condenser at an office building reveals the following
concentrations:

tablE 3. Analysis of makeup water

Parameter Maximum allowable concentrations Makeup water concentrations

Calcium (as CaCO3) 1,000 ppm 100 ppm

Alkalinity 1,000 ppm 200 ppm

SiO2 100 ppm 20 ppm

Chloride 250 ppm 50 ppm

Conductivity 2,000 S/cm 300 S/cm

The cycles of concentration based on each of these parameters are as follows:


tablE 4. Cycles of concentration

Calcium (as CaCO3) 1,000 / 100 = 10 cycles

Alkalinity 1,000 / 200 = 5 cycles

SiO2 100 / 20 = 5 cycles

Chloride 250 / 50 = 5 cycles

Conductivity 2,000 / 300 = 6.7 cycles

The lowest numberfive cyclesis therefore the maximum cycles of concentration for this makeup water.

CaMPus
Group Approach
All buildings in the group project may be documented as one.

Campus Approach
Eligible.

required doCuMenTaTion

documentation 1 point 2 points

Potable water analysis results X X

Potable water analysis narrative X X

Cycles of concentration calculations X X

Nonpotable water calculations X

Water treatment calculations X

Nonpotable water analysis (if using 100% nonpotable water) X


relaTed CrediT TiPs
WE Prerequisite Indoor Water Use Reduction. The related prerequisite requires makeup meters, conductivity
controllers and overflow alarms, and efficient drift eliminators that reduce drift to a maximum of 0.002% of recirculated
water volume for counterflow towers, 0.005% of recirculated water flow for cross-flow towers. These performance and
tracking measures allow for better ongoing maintenance of efficient cooling tower or evaporative condenser systems.

WE Credit Water Metering. Subsystem meters to measure cooling tower or evaporative condenser makeup water can
assist in water management and can help optimize cycles of concentration.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
blowdown the removal of makeup water from a cooling tower or evaporative condenser recirculation system to reduce
concentrations of dissolved solids

makeup water water that is fed into a cooling tower system or evaporative condenser to replace water lost through
evaporation, drift, bleed-off, or other causes
WaTer effiCienCy CrediT

water Metering
this credit applies to:
new Construction (1 point) Core data Centers (1 point)
and shell (1 point) schools (1 Warehouses and distribution Centers (1 point)
point) retail (1 point) hospitality (1 point) healthcare (1 point)
inTenT

to support water management and identify opportunities for additional water savings by
tracking water consumption.

requireMenTs

Install permanent water meters for two or more of the following water subsystems, as applicable to the project:

Irrigation. Meter water systems serving at least 80% of the irrigated landscaped area. Calculate the percentage of irrigated
landscape area served as the total metered irrigated landscape area divided by the total irrigated landscape area. Landscape
areas fully covered with xeriscaping or native vegetation that requires no routine irrigation may be excluded from the
calculation.
Indoor plumbing fixtures and fittings. Meter water systems serving at least 80% of the indoor fixtures and fitting described
in WE Prerequisite Indoor Water Use Reduction, either directly or by deducting all other measured water use from the
measured total water consumption of the building and grounds.
Domestic hot water. Meter water use of at least 80% of the installed domestic hot water heating capacity (including both
tanks and on-demand heaters).
Boiler with aggregate projected annual water use of 100,000 gallons (378 500 liters) or more, or boiler of more than
500,000 BtuH (150 kW). A single makeup meter may record flows for multiple boilers.
Reclaimed water. Meter reclaimed water, regardless of rate. A reclaimed water system with a makeup water connection must
also be metered so that the true reclaimed water component can be determined.
Other process water. Meter at least 80% of expected daily water consumption for process end uses, such as humidification
systems, dishwashers, clothes washers, pools, and other subsystems using process water.

healThCare ProjeCTs only


In addition to the requirements above, install water meters in any five of the
following: purified water systems (reverse-osmosis, de-ionized);
filter backwash water;
water use in dietary department;
water use in laundry;
water use in laboratory;
water use in central sterile and processing department;
water use in physiotherapy and hydrotherapy and treatment areas;
water use in surgical suite;
closed-looped hydronic system makeup water; and
cold-water makeup for domestic hot water systems.
313

cy. Submetering
sage against
behind The inTenT submetering
es for water
Metering water usage by subsystem helps facilities managers better gauge a buildings water ater meter to
efficien the major building water systems provides a way to formulate independent system
baselines, track u those baselines, isolate and identify potential sources of waste, and take
corrective action. Moreover, helps track periodic changes in water usage and provides the data
necessary to calculate opportuniti savings at a systemwide level.
This credit expands on WE Prerequisite Building-Level Water Metering, which requires a
main w measure the total quantity of water entering the building.

de irrigation,
water. cooling
sTeP-by-sTeP GuidanCe ction. erate, or
most take
meter
sTeP 1. idenTify CandidaTe sysTeMs for subMeTerinG
identify all systems serving the project building and grounds. these subsystems may inclu indoor plumbing ternal, clamp-
fixtures, domestic hot water, process water, reclaimed water, and boiler tower submeters are addressed mall-diameter e
separately, under wE Prerequisite indoor water use Redu
consider those subsystems that consume the most water, are the most expensive to op closely align with costs if s the effort
the goals of the building management.
consider not only the number, types, and sizes of meters but also the effort required to readings. of ojects may
the cost of a wet meter (a meter installed in the pipe) increases with pipe size; many ex on meters are
adaptable to a range of pipe sizes. clamp-on meters are more costly on s pipes, but initial cost differences some systems.
are reduced for larger pipes.
the higher cost of a larger meter may be offset by reduced operations and maintenanc facilities staff will be
making manual readings. ves. ssibility
automatic data logging also adds to initial cost, but it may be cost-effective if it reduce obtaining and when
recording readings.
Plumbing system layout affects where submeters can be installed. new construction pr facilitate ot water, or if
submetering during plumbing system design. 100% of the
some projects may require more than one submeter to measure 80% to 100% of flow in
ubmetered
sTeP 2. deTerMine sCoPe of subMeTerinG nits, or process
identify which subsystems are most appropriate to submeter based on the project objecti
as noted in wE Prerequisite Building-Level water Metering, consider location and acce placing submeters,
particularly for taking manual readings.
if the project team is claiming credit for irrigation, indoor plumbing fixtures, domestic h other process water
submeters, at least 80% of water distribution must be submetered. water used by a subsystem is metered,
no calculation is necessary.
Determine how much of the total water system will be submetered by comparing the s portions with total
landscape area, number of indoor fixtures, domestic water heating u use quantities, as follows:

or of this
Equation 1. Landscape area

Metered irrigated landscape area

Total irrigated landscape area 0.8


unirrigated landscape areas should not be included in either the numerator or denominat equation.
Healthcare
Healthcare projects must meter five additional subsystems, as outlined in the credit requirements. For example, submetering all
laundry water use counts as one metered subsystem.
315
ProjeCT TyPe variaTions

Multifamily
Water use in common areas can be submetered to earn this credit. Metering in residential units may be included or
excluded, but should be done uniformly. Multifamily projects still need to meter full subsystems (for common
areas or the whole building) to earn credit.

Additions
For additions to existing buildings, the submetered systems may either follow the project boundary or include both
the addition and the original building.
If the original building is included within the project boundary, then all submeters must account for old and new building water
use. If the project boundary includes only the addition, the project team may choose to submeter the water use of only the addition.
If the fixtures used by the addition are all within the original building, the project boundary must include the
original building for the team to earn credit for the fixture submeter.

CaMPus
Group Approach
Submit separate documentation for each building. Each building in the group must have an individual wholebuilding water
meter. Each individual building in the group must meet the credit requirements for submetering of indoor plumbing fixtures
and fittings, domestic hot water, and other process water. All buildings in the group can be served by the same submeter for
irrigation systems, boilers, and reclaimed water, provided all the water used by the group is captured.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation all projects

Water metering strategy narrative X

relaTed CrediT TiPs


WE Prerequisite Building-Level Water Metering. For this credit, submetered systems must be within the
boundaries of the whole-building water meter required for the related prerequisite.

WE Prerequisite Indoor Water Use Reduction. If fixtures and fittings submeters are used to earn this credit,
meter the water systems serving at least 80% of the indoor fixtures and fittings described in the related
prerequisite either directly or by deducting all other measured water use from the measured total water
consumption of the building and grounds.

WE Prerequisite Outdoor Water Use Reduction. If irrigation submeters are used to earn this credit, meter the
water systems serving at least 80% of the irrigated landscaped area identified in the related prerequisite.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
external meter a device installed on the outside of a water pipe to record the volume of water passing through it. Also known as a
clamp-on meter.

reclaimed water wastewater that has been treated and purified for reuse wet meter a device

installed inside a water pipe to record the volume of passing water


317
Energy and
Atmosphere (ea)
overvieW
The Energy and Atmosphere (EA) category approaches energy from a holistic perspective, addressing energy
use reduction, energy-efficient design strategies, and renewable energy sources.
The current worldwide mix of energy resources is weighted heavily toward oil, coal, and natural gas. 1 In
addition to emitting greenhouse gases, these resources are nonrenewable: their quantities are limited or they
cannot be replaced as fast as they are consumed.2 Though estimates regarding the remaining quantity of these
resources vary, it is clear that the current reliance on nonrenewable energy sources is not sustainable and
involves increasingly destructive extraction processes, uncertain supplies, escalating market prices, and national
security vulnerability. Accounting for approximately 40% of the total energy used today, 3 buildings are
significant contributors to these problems.
Energy efficiency in a green building starts with a focus on design that reduces overall energy needs, such as
building orientation and glazing selection, and the choice of climate-appropriate building materials. Strategies
such as passive heating and cooling, natural ventilation, and high-efficiency HVAC systems partnered with
smart controls further reduce a buildings energy use. The generation of renewable energy on the project site or
the purchase of green power allows portions of the remaining energy consumption to be met with nonfossil fuel
energy, lowering the demand for traditional sources.
The commissioning process is critical to ensuring high-performing buildings. Early involvement of a
commissioning authority helps prevent long-term maintenance issues and wasted energy by verifying that the
design meets the owners project requirements and functions as intended. In an operationally effective and
efficient building, the staff understands what systems are installed and how they function. Staff must have
training and be receptive to learning new methods for optimizing system performance so that efficient design is
carried through to efficient performance.
The EA category recognizes that the reduction of fossil fuel use extends far beyond the walls of the building.
Projects can contribute to increasing the electricity grids efficiency by enrolling in a demand response program.

1. iea.org/publications/freepublications/publication/kwes.pdf
2. cnx.org/content/m16730/latest/
3. unep.org/sbci/pdfs/SBCI-BCCSummary.pdf
Demand response allows utilities to call on buildings to decrease their electricity use during peak times, reducing
the strain on the grid and the need to operate more power plants, thus potentially avoiding the costs of
constructing new plants. Similarly, on-site renewable energy not only moves the market away from dependence
328

on fossil fuels but may also be a dependable local electricity source that avoids transmission losses and strain on
the grid.
The American Physical Society has found that if current and emerging cost-effective energy efficiency
measures are employed in new buildings and in existing buildings as their heating, cooling, lighting, and other
equipment is replaced, the growth in energy demand from the building sector could fall from a projected 30%
increase to zero between now and 2030.4 The EA section supports the goal of reduced energy demand through
credits related to reducing usage, designing for efficiency, and supplementing the energy supply with
renewables.

4. EnergyFuture: Think Efficiency (American Physical Society, September 2008),


aps.org/energyefficiencyreport/report/energy-bldgs.pdf (accessed September 13, 2012).
329

enerGy and aTMosPhere PrerequisiTe

fundamental commissioning
and Verification
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to support the design, construction, and eventual operation of a project that meets the
owners project requirements for energy, water, indoor environmental quality, and
durability.

requireMenTs

Commissioning Process scope


Complete the following commissioning (Cx) process activities for mechanical, electrical, plumbing, and
renewable energy systems and assemblies, in accordance with ASHRAE Guideline 0-2005 and ASHRAE
Guideline 1.12007 for HVAC&R Systems, as they relate to energy, water, indoor environmental quality, and
durability.
Requirements for exterior enclosures are limited to inclusion in the owners project requirements (OPR) and
basis of design (BOD), as well as the review of the OPR, BOD and project design. NIBS Guideline 3-2012 for
Exterior Enclosures provides additional guidance.
Develop the OPR.
Develop a BOD.
The commissioning authority (CxA) must do the following:
Review the OPR, BOD, and project design.
Develop and implement a Cx plan.
Confirm incorporation of Cx requirements into the construction documents.
Develop construction checklists.
Develop a system test procedure.
Verifysystemtestexecution.
MaintainanissuesandbenefitslogthroughouttheCxprocess.
PrepareafinalCxprocessreport.
Documentallfindingsandrecommendationsandreportdirectlytotheownerthroughouttheprocess.
Thereviewoftheexteriorenclosuredesignmaybeperformedbyaqualifiedmemberofthedesignorconstr
uction
team(oranemployeeofthatfirm)whoisnotdirectlyresponsiblefordesignofthebuildingenvelope.

Commissioning Authority
330

Bytheendofthedesigndevelopmentphase,engageacommissioningauthoritywiththefollowingqualificati
ons.

TheCxAmusthavedocumentedcommissioningprocessexperienceonatleasttwobuildingprojects
with
asimilarscopeofwork.Theexperiencemustextendfromearlydesignphasethroughatleast10month
sof occupancy;

TheCxAmaybeaqualifiedemployeeoftheowner,anindependentconsultant,oranemployeeoft
hedesignor
constructionfirmwhoisnotpartoftheprojectsdesignorconstructionteam,oradisinterestedsubcont
ractor ofthedesignorconstructionteam.

Forprojectssmallerthan20,000squarefeet(1860squaremeters),theCxAmaybeaqualifiedme
mberof
thedesignorconstructionteamInallcases,theCxAmustreporthisorherfindingsdirectlytotheowner.
ProjectteamsthatintendtopursueEACreditEnhancedCommissioningshouldnoteadifferenceintheCxA
qualifications:forthecredit,theCxAmaynotbeanemployeeofthedesignorconstructionfirmnorasubco
ntractor totheconstructionfirm.

Current Facilities Requirements and Operations and Maintenance Plan


Prepareandmaintainacurrentfacilitiesrequirementsandoperationsandmaintenanceplanthatcontainsthe
informationnecessarytooperatethebuildingefficiently.Theplanmustincludethefollowing:
asequenceofoperationsforthebuilding;
thebuildingoccupancyschedule;
equipmentrun-timeschedules;
setpointsforallHVACequipment;
setlightinglevelsthroughoutthebuilding;
minimumoutsideairrequirements;
anychangesinschedulesorsetpointsfordifferentseasons,daysoftheweek,andtimesofday;
asystemsnarrativedescribingthemechanicalandelectricalsystemsandequipment;
apreventivemaintenanceplanforbuildingequipmentdescribedinthesystemsnarrative;and

acommissioningprogramthatincludesperiodiccommissioningrequirements,ongoingcommissionin
gtasks, andcontinuoustasksforcriticalfacilities.

DAtA CenteRs Only

Forsmallprojectswithcomputerroompeakcoolingloadslessthan2,000,000Btu/h(600kW)oratotalcomputer
roompeakcoolingloadlessthan600,000Btu/h(175kW),theCxAmaybeaqualifiedemployeeofthedesignor
constructionteam.

Behind the intent


The commissioning (Cx) process is an integrated set of activities intended to ensure that the project meets both
the design intent and the owners operational needs. An owners goals and objectives should drive the project
team. The value of Cx lies in its power to verify that those goals and objectives are met and that building
systems perform as intended.
A properly executed Cx process clearly expresses the owners project requirements, often leading to fewer
change orders and system deficiencies, fewer corrective actions implemented while contractors are on-site,
improved planning and coordination, reduced energy consumption during building operation, and overall lower
operating costs. Another potential benefit of Cx is occupants health and comfort because of better temperature
331

and ventilation control. For a mission-critical facility like a data center, the most significant benefit is the
reduced risk of information technology (IT) equipment downtime caused by power or cooling system design or
performance issues, faulty installation or calibration, or software programming errors that go undetected until
after the building is on line.
The qualified commissioning authority (CxA) chosen to represent the owners needs should be brought in
early in the design process. As a third party, the CxA can verify early on that the architects and engineers
designs meet the owners project requirements. During the construction phase, the commissioning team, led by
the CxA, will verify that contractors install and program the systems correctly according to the design.

SteP-BY-SteP GUidAnCe

SteP 1. develoP ownerS ProjeCt reqUirementS


The owner, with the help of the design team and other stakeholders, should develop the initial owners project requirements
(OPR) in the predesign stage (see the Integrative Process Credit and Further Explanation, Owners Project Requirements).
this document establishes the owners goals and the buildings intended function and operation.
the owner will use this document as the foundation for all design, construction, acceptance, and operational decisions.
the oPR must include all systems to be commissioned plus the building envelope, even if full envelope commissioning is not
pursued.

sTeP 2. develoP basis of desiGn


create a basis of design (BoD) to provide clear technical guidance for the project. start this in the schematic design phase and
update it throughout the design and construction process (see Further Explanation, Basis of Design).
the BoD is the project teams interpretation of the oPR.
any revisions to the oPR should also be reflected in the BoD so that both documents align.
the BoD must include all systems to be commissioned plus the building envelope, even if full envelope commissioning is not
pursued. the project engineer, architect, structural engineer, and other team members must work together to document
building envelope thermal performance, load-bearing capabilities, and construction.

sTeP 3. enGaGe CoMMissioninG auThoriTy


identify a cxa with the proper experience and credentials to develop and implement effective commissioning. though the cxa
must be engaged by the design development phase, earlier engagement allows the cxa to be involved in the development of
the oPR and BoD and see the design intent through to completion.
the cxa should have direct experience with at least two similar projects and must have been involved from the early design
phase through at least 10 months after occupancy begins (see Further Explanation, Commissioning Authority
Qualifications).
cxa requirements differ depending on the scope and size of the project. the project team should engage a cxa that has
appropriate qualifications for the goals of the program.
the cxa will facilitate and ultimately oversee the cx process for all systems to be commissioned, including the building
envelope, if pursued; additional expertise may be brought in (see Further Explanation, Systems to Be Commissioned).
work with the cxa to determine the systems that need to be commissioned for compliance with the oPR and the credit
requirements.

sTeP 4. develoP PreliMinary CoMMissioninG Plan


Establish a preliminary plan for the cx to outline the scope of commissioning and systems to be tested (see Further Explanation,
Cx Plan).
Project roles and responsibilities, the commissioning teams project directory, and schedule of commissioning activities should
all be included in the cx plan.
the cx plan is a living document that is updated throughout the life of the project and will become the basis for the final
commissioning report.

sTeP 5. revieW oPr, bod, and desiGn doCuMenTs


the cxa completes a review of the oPR, BoD, and design documents to verify that the programs goals are properly included in
the design documents.
332

the intent of the review is to have a third party, acting as an advocate for the owner, ensure that the BoD reflects the oPR and
that the design documents reflect the BoD and the oPR.
the review should be conducted on middesign documents so that the project team has time to make any necessary changes.
Earlier and additional reviews at other project milestones are advisable and often beneficial to project performance but are
not required.
Record the review comments in an issues log that details the drawing set or document version that was used for performing
the review (see Further Explanation, Issues Log).

sTeP 6. develoP Cx requireMenTs and inCorPoraTe inTo ConsTruCTion doCuMenTs


Before construction begins, develop commissioning requirements based on the systems included in the design and incorporate
them into the construction documents.
cx specifications inform the contractors of their roles and responsibilities throughout the commissioning process.
ashRaE Guideline 02005, table L-1, identifies titles, contents, and scopes for each commissioningrelated specification section
and may be used as guidance (see Further Explanation, Example Issues Log).

sTeP 7. uPdaTe oPr, bod, and Cx Plan


if necessary, the owner should update the oPR, the design team should update the BoD, and the cxa should update the cx plan.
items such as design changes, value engineering modifications, new or reassigned team members, or updated operating
conditions would warrant an update.

sTeP 8. ConduCT Cx kiCkoff MeeTinG


assemble the team of stakeholders and hold a kickoff meeting to introduce the team members, review roles and
responsibilities, and review all remaining cx activities. the cxa should provide information on the process and requirements for
the following:
installation verification (construction) checklists
functional performance tests
issues log
team meetings
contractors and subcontractors participation on the cx team
schedule the cxa should update and redistribute the cx plan as necessary. the cxa is also responsible for setting up periodic cx
meetings, developing a communication protocol, and managing the schedule for all cxrelated activities.

sTeP 9. develoP ConsTruCTion CheCklisTs


the cxa, the design team, or the contactor prepares construction checklists (also known as installation verification checklists
and prefunctional checklists) for the project.
checklists provide confirmation to the cxa that the systems have been installed, started up, programmed, tested, and
balanced, and that the team is ready to proceed with functional testing.
in general, contractors are responsible for filling out the checklists and returning them to the cxa.
construction checklists must be completed for all equipment, assemblies, and systems included in cx scope. sampling
strategies are not permitted.

sTeP 10. ConduCT PrefunCTional insPeCTions


communicate with the contractors to determine the exact schedule for prefunctional inspections to verify proper installation
and handling of systems to be commissioned. several activities that can be considered prefunctional inspections include site
visits, field observations, and review of start-up forms, construction checklists, and complete test-and-balance reports.
the cxa may conduct site visits as necessary to inspect the installation of individual systems and components. site visits are an
important opportunity to observe equipment installation and identify issues before a system becomes difficult to access or
change.
it is good practice to document the site visit findings in a field observation report that is distributed to the relevant parties. the
cxa should report any noncompliance to the owner and project team for them to help resolve.
the number of site inspections depends on the projects size and scope.

sTeP 11. develoP funCTional TesT sCriPTs


the cxa, with the design team or contractor, must write and develop the functional test scripts for the project.
functional testing scripts typically follow the sequence of operations developed by the engineer. if a controls contractor
created the sequence of operations, the design engineer must approve the controls submittal to ensure it adheres to
the BoD.
333

Provide contractors and design engineers with the functional tests before testing to allow them the opportunity to review the
scripts, verify proper operating modes, and comment on any modifications to match actual operation (see Further
Explanation, Functional Performance Tests).

sTeP 12. exeCuTe funCTional TesTinG


Perform functional performance testing once all system components are installed, energized, programmed, balanced, and
otherwise ready for operation under part- and full-load conditions.
some systems may require deferred or seasonal testing or verification for proper operation in each mode.
the systems or modes that require seasonal or deferred testing must be noted in the cx report. a report addendum discusses
the deferred testing results can then be issued.
the functional performance testing follows the functional performance test scripts developed by the cxa in step 11.
the cxa generally oversees the testing; the contractors execute the testing.
sampling strategies may be implemented for functional testing. an acceptable sampling rate is 10 or 10%, meaning that for
multiple units of the same type with the same components and sequences (e.g., fan coil units or variable air volume
systems), the commissioning team may test only 10 units or 10% of the units, whichever is greater.
when possible, include the building engineer or owner in the testing execution to provide training for future operation of the
systems.

sTeP 13. doCuMenT findinGs


use the issues log to track any deficiencies discovered and any benefits identified through functional testing.
the cxa is responsible for documenting the test results and maintaining the issues log.
Documentation should include the status and responsible party for the correction or improvement actions.

sTeP 14. PrePare Cx rePorT


the cxa should write the cx report after installation inspections and functional performance test verification. the report covers
all components of the commissioning process, including the following:
Executive summary of commissioning process and results, system deficiencies identified and resolution, and outstanding
issues
Project directory
326

cx process overview
owners project requirements
Basis of design
submittals
Design review log
cx specifications
List of systems commissioned
installation verification checklists
functional performance tests
issues log, detailing open and closed issues

sTeP 15. CoMPile CurrenT faCiliTy requireMenTs and oPeraTions and


MainTenanCe Plan
Prepare and maintain a current facility requirements (cfR) and operations and maintenance (o&M) plan that contains the
information necessary to operate the building efficiently. this information is covered in the oPR, BoD, and functional test scripts,
but more information may be taken from specific submittals or equipment operations and maintenance manuals. the plan must
include the following: sequences of operation for the building
Building occupancy schedule
Equipment run-time schedules
setpoints for all hVac equipment
Lighting levels throughout the building
Minimum outside air requirements
changes in schedules or setpoints for different seasons, days of the week, and times of day
systems narrative describing the mechanical and electrical systems and equipment
Preventive maintenance plan for building equipment described in the systems narrative
cx program that includes periodic cx requirements, ongoing cx tasks, and continuous tasks for critical facilities

furTher exPlanaTion

sysTeMs To be CoMMissioned
The rating system refers to commissioning of HVAC&R systems as they relate to energy, water, indoor
environmental quality, and durability. That is, energy- and water-consuming equipment must operate
efficiently and according to the design intent and owners operational needs.
Efficient operations can be defined as the controlling of equipment such that it uses the minimum amount of
energy or water to maintain setpoints and comfort levels. Control is generally accomplished via a building
automation system and per the sequences of operation, with setpoints that are correct for the design and
equipment schedules.
For indoor environmental quality, the equipment must meet the OPR, BOD, and environmental codes
and standards. For durability, the equipment must not cause unnecessary wear and tear on the system.
Systems that must be commissioned for this prerequisite include the following:
Mechanical, including HVAC&R equipment and controls
Plumbing, including domestic hot water systems, pumps, and controls
Electrical, including service, distribution, lighting, and controls, including daylighting
controls Renewable energy systems

The envelope must be covered in the OPR and BOD, but full envelope commissioning is not required unless the
project team pursues EA Credit Enhanced Commissioning, Option 2.
335
Systems that are not required to be commissioned under this prerequisite but may be added to the Cx scope
at the request of the owner include the following:
Envelope
Life safety systems
Communications and data systems
Fire protection and fire alarm systems
Process equipment

CoMMissioninG auThoriTy (Cxa) qualifiCaTions


The CxA must have documented commissioning process experience on at least two building projects with
a similar scope of work. The experience must extend from early design phase through at least 10 months of
occupancy. The similar scope of work may be defined by the size of building, the types of equipment being
commissioned, or the function of the space. However, the appropriate or acceptable level of similar
experience should be defined by the owner. Examples include the following:
New construction commercial building, less than 100,000 square feet (9 290 square meters), with direct
expansion rooftop units.
New construction commercial building, more than 100,000 square feet (9 290 square meters), with built-up
air-handling units and chilled water central plant.
New construction school, less than 100,000 square feet (9 290 square meters), with mixed-mode
ventilation and steam boilers.
New construction refrigerated warehouse with ammonia chillers for process cooling, solar thermal
domestic hot water heating, photovoltaic solar panels and commercial-grade wind turbine.

If the project is pursuing fundamental commissioning only, the CxA may be a qualified employee of the owner,
an independent consultant, an employee of the design or construction firm who is not part of the projects design
or construction team, or a disinterested subcontractor of the design or construction team. Special circumstances
include the following:
For projects smaller than 20,000 square feet (1 860 square meters), the CxA may be a qualified member of
the design or construction team.
If specialized knowledge of specific systems is required (e.g., manufacturing, data centers), the CxA may
be a qualified employee of the design or construction team, provided the project has a computer room peak
cooling load of less than 2,000,000 Btu/h (600 kW) or a total computer room peak cooling load less than
600,000 Btu/h (175 kW).
If an owner requires a single contract through one entity (such as a government agency contracting through
a general contractor), the CxA may be a qualified employee of the design or construction team for this
prerequisite. If the project team is also attempting the enhanced commissioning credit, however, the CxA
must be independent of the design or construction firm.

In all cases, the CxA must report findings directly to the owner.
tablE 1. Who can be the CxA?

be cxa for

can who is
fundamental cx? enhanced cx?

a member of the design team (e.g., a project No, unless project is


architect, engineer, or energy modeler who under 20,000 ft2 (1 No
is also the HVAC designer) 860 m2)
an employee of the architecture or
engineering firm not a member of the design team (e.g., a
LEED administrator or energy modeler Yes No
who is not participating in the design)

a member of the design team (e.g., a project No, unless project is


a subconsultant to the architecture or engineer subcontracted to the architect) under 20,000 ft2 (1 No
engineering firm 860 m2)
336
not a member of the design team (e.g., a
LEED administrator, Cx specialist, energy Yes Yes
modeler)

No, unless project is


a member of the construction team under 20,000 ft2 (1 No
an employee or subcontractor of the
860 m2)
general contractor or construction
manager
not a member of the construction team Yes No

an employee of the owner or an


independent consultant contracted to Yes Yes
the owner

oWners ProjeCT requireMenTs


The owner, CxA, and project team must complete the OPR before any contractor submittals for Cx equipment or
systems are approved. Ideally, the initial document is completed at the early stages of predesign. Updates during
the design and construction process are the primary responsibility of the owner.
The OPR details the functional requirements as well as the expectations of the buildings use and operation.
The intention is to document the owners requirements and objectives for the project to verify that those goals
are carried through the life of the project. There is no required format; an OPR outline might include the
following:
Key project requirements. Items that the Cx process will focus on and that the owner has deemed
critical to the project.
Occupant requirements. Functions, number of occupants, and schedules
for the building.
Budget considerations and limitations. The expected cost restrictions and considerations for the
projects design, construction, and commissioning process.
Target goals. The owners overall goals, such as energy efficiency and
sustainability.
Performance criteria. The standards by which the project will be evaluated by the Cx team. Each
criterion should be measurable and verifiable. Potential topics include general, economic, user
requirements, construction process, operations, systems, and assemblies.
Operations and maintenance requirements. Established criteria for ongoing operations and
maintenance, as well as training requirements for personnel.

basis of desiGn
The design team must document the basis of design before any contractor submittals for commissioned
equipment or systems are approved. Updates during the design and construction process are the primary
responsibility of the design team.
The BOD explains how the construction and other details will execute the OPR. The intention is to document
the thought processes and assumptions behind design decisions made to meet the OPR. There is no required
format; a BOD outline might include the following:
Systems and assemblies. A general overview of the systems and assemblies and how they are
intended to meet the OPR.
Performance criteria and assumptions. The standards that the system was designed to meet and
the expectations regarding system operation and maintenance, both linked to the OPR.
Descriptions. A description of the general building, envelope, HVAC, electrical, water, and other
systems, and a statement of operation that describes how the facility is expected to operate under various
situations and modes.
Governing codes and standards. Specific codes, standards, and guidelines considered during the
design of the facility and the designers response to these requirements.
Owner directives. Assumptions regarding usage of the facility.
Design development guidelines. Concepts, calculations, decisions, and product selections; the
specific design methods, techniques, and software used in design; information regarding ambient
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conditions (climatic, geologic, structural, existing construction) used during design; and specific
manufacturer makes and models used as the basis of design for drawings and specifications.
Revision history. A summary of changes made throughout the
project phases.

Cx Plan
The commissioning team develops the Cx plan with input from the project team. Updates during the design and
construction process are the primary responsibility of the CxA.

The Cx plan begins with a program overview:


Goals and objectives
General project information
Systems to be commissioned

It describes the Cx team:


Team members, roles, and responsibilities
Communication protocol, coordination, meetings, and management

Finally, it summarizes the Cx process activities:


Reviewing the OPR
Reviewing the BOD
Developing systems functional test procedures
Verifying system performance
Reporting deficiencies and the resolution
process Accepting the building systems

issues loG for The desiGn revieW


It is useful to include the following information in the design review issues log:
Date of the review
Drawing number or page where the issue was found
Comments
Party responsible for addressing the issue
Response
Date the issue was closed

funCTional PerforManCe TesTs


The functional performance test reports typically have the following sections:
Date and time of test
Individuals present during testing
Visual inspection observations. Before testing, the CxA should perform a visual inspection and
document any issues or relevant observations.
Sensor checks. The sensors are checked individually to make sure they are reading properly and are
in the correct locations, per the design documents.
Device checks. Each device is checked to verify that it can open, close, modulate, start, stop,
energize in stages, etc.
Operating mode tests. A system is run through each type of operating mode including but not
limited to start up, shutdown, capacity modulation, emergency and failure modes, alarm scenarios,
occupied mode and unoccupied mode, and interlocks with other equipment.
Results. Indicate whether the system passed, failed, or requires retesting.

ProjeCT TyPe variaTions


Data Centers
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Select a CxA who meets the credit requirements for commissioning data centers.
The OPR should address the overall energy efficiency goals of the project, including the partial- and full-
load power usage effectiveness (PUE). Information on how the data center will be operated and by whom will
help ensure quality operation of complex systems. Clear and concise documentation of the BODincluding the
cooling systems level of power, redundancy, reliability, and ability to support data center operations and energy
efficiency during preventive or unscheduled maintenancewill help the CxA evaluate performance.
PUE should be evaluated at both start-up and full-load conditions, to correspond to modeled performance.
Critical equipment should be tested in both normal and failure modes. Include this information in the final
commissioning report. A wide variety of methods may be used to simulate and evaluate whether the system
performs as expected. For data centers, it is highly recommended that partial- and full-load testing use
commercially available heaters specifically designed for this purpose, to simulate the actual IT equipments heat
load.

District Energy Systems


All downstream equipment is included in the scope of this prerequisite. Such equipment includes heat
exchangers, steam pressure reduction stations, pumps, valves, pipes, building electrical services, and controls.
All upstream equipment is excluded from the scope of this prerequisite.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Eligible.
tablE 2. Example Issues Log

lEEd design review of commissioned systems

Mechanical

comment Final review


number sheet comment design team response comment, status

M-1 01M-0.0 LEED EA Credit Advanced Energy Metering is Metering equipment is being installed to
being pursued. Verify proper metering monitor (on floor-by-floor basis) lighting, HVAC,
devices are installed. computer power, water heating. We will also be
installing water meter on main domestic water
line and on cooling tower makeup line.
Additionally, building already has monitoring for
VFDS, chiller efficiency, cooling load, economizer
cycles, static pressures, OA volumes, and
process energy systems.

M-2 BOD BOD discusses using demand-controlled Central outside air riser supplies floor-by-floor
ventilation in conference rooms as well as VAV boxes that measure outside air delivery via
return ducts to monitor outside air for integral flow measurement. See comment 4
each floor to comply with ASHRAE 62.1. below for sequence of operation.
Clarify how monitoring of outside air is
achieved and how its going to be reset
based on demand.
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M-3 08M-2.0 Note 4 indicates, install CO2 sensors per New CO2 sensors for high-occupancy spaces
LEED EQ Credit Enhanced Indoor Air along with existing return air CO2 sensors will be
Quality Strategies but BOD states that CO2 monitored by BAS. If any zone rises to more than
sensors will be used to maintain ASHRAE 700 ppm above 400 ppm ambient CO2 threshold,
62.1. Note 4 also states that CO2 levels OA damper will be opened in stages with
must be maintained at 400 ppm or less in appropriate time delays using PID control to
most critical zone. ASHRAE 62.1 allows for satisfy critical zone CO2 setpoint. We will add this
CO2 levels to be controlled up to 1400 ppm credit to sustainable design requirements listing.
or more depending on type of space.
Codes sometimes restrict this down to
1000 ppm. Should include EQ credit
requirements under specification section.
Maximum allowable CO2 levels should be
defined.

E-1 01E-2.0 No lighting controls, including occupancy Design intent is to provide daylight sensors and
sensors or daylight sensors, appear to be step dimming. Design documents will be
provided for lobby. BOD indicates that all modified to reflect this.
lighting within perimeter will have daylight
sensors and step dimming. Clarify how this
lighting will be controlled.

P-1 BOD LEED criteria for sink faucet do not match Will update document.
description of SK-1 or SK-2.

P-2 BOD SH-1 and SH-1A identified in BOD were not Will be included in later design as required.
included on plumbing drawings.
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required doCuMenTaTion

documentation all projects

CxA previous experience X

Confirmation of OPR and BOD contents X

List of systems to be commissioned X

Verification of CxA activities and reviews X

Cx plan X

Documentation of testing and verification X

CFR, O&M plan X

Cx report X

relaTed CrediT TiPs


Integrative Process Credit. Early analysis of energy- and water-related systems can affect site parameters,
programming, geometry, envelope and faade treatments, HVAC capacities and quantities, lighting control
strategies, landscape irrigation design, or fixture specifications. The related credit can inform the OPR, BOD,
and design documents.

EA Credit Advanced Energy Metering. Meeting the related credit requirements will help projects teams
achieve the ongoing commissioning portions of this prerequisite.

EA Credit Renewable Energy Production. Renewable energy systems installed on-site must be commissioned
under this prerequisite.

EA Credit Enhanced Commissioning. If a project team wishes to pursue Enhanced Commissioning, confirm
that the CxA chosen for this prerequisite is appropriate. Additionally, since this prerequisites fundamental
commissioning activities and documents include the building envelope (one component of enhanced
commissioning), teams may find it feasible to pursue the related credit.

ChanGes froM leed 2009


LEED v4 now requires the CxA to be engaged before the design development phase is complete.
The electrical and plumbing scopes have been expanded.
Elements of envelope commissioning are now incorporated in the OPR and BOD.
One design review and one operations and maintenance plan are now required.

referenCed sTandards
ASHRAE Guideline 02005, The Commissioning Process: ashrae.org

ASHRAE Guideline 1.12007, HVAC&R Technical Requirements for the Commissioning Process:
ashrae.org
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NIBS Guideline 32012, Exterior Enclosure Technical Requirements for the Commissioning Process:
wbdg.org/ccb/NIBS/nibs_gl3.pdf

exeMPlary PerforManCe
Not available.

definiTions
basis of design (BOD) the information necessary to accomplish the owners project requirements, including
system descriptions, indoor environmental quality criteria, design assumptions, and references to applicable
codes, standards, regulations, and guidelines

commissioning (Cx) the process of verifying and documenting that a building and all of its systems and
assemblies are planned, designed, installed, tested, operated, and maintained to meet the owners project
requirements commissioning authority (CxA) the individual designated to organize, lead, and review the
completion of commissioning process activities. The CxA facilitates communication among the owner,
designer, and contractor to ensure that complex systems are installed and function in accordance with the
owners project requirements.

district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does not
include central energy systems that provide only electricity.

downstream equipment the heating and cooling systems, equipment, and controls located in the project
building or on the project site and associated with transporting the thermal energy of the district energy system
(DES) into heated and cooled spaces. Downstream equipment includes the thermal connection or interface with
the DES, secondary distribution systems in the building, and terminal units.

operations and maintenance (O&M) plan a plan that specifies major system operating parameters and limits,
maintenance procedures and schedules, and documentation methods necessary to demonstrate proper operation
and maintenance of an approved emissions control device or system

owners project requirements (OPR) a written document that details the ideas, concepts, and criteria
determined by the owner to be important to the success of the project

systems manual provides the information needed to understand, operate, and maintain the systems and
assemblies within a building. It expands the scope of the traditional operating and maintenance documentation
and is compiled of multiple documents developed during the commissioning process, such as the owners
project requirements, operation and maintenance manuals, and sequences of operation.

upstream equipment a heating or cooling system or control associated with the district energy system (DES)
but not part of the thermal connection or interface with the DES. Upstream equipment includes the thermal
energy conversion plant and all the transmission and distribution equipment associated with transporting the
thermal energy to the project building or site.
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enerGy and aTMosPhere PrerequisiTe

Minimum Energy
Performance
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to reduce the environmental and economic harms of excessive energy use by achieving a
minimum level of energy efficiency for the building and its systems.

requireMenTs

neW ConsTruCTion, Core and shell, sChools, reTail, healThCare, Warehouses and disTribuTion CenTers, hosPiTaliTy oPTion

1. Whole-buildinG enerGy siMulaTion

Demonstrate an improvement of 5% for new construction, 3% for major renovations, or 2% for core and shell
projects in the proposed building performance rating compared with the baseline building performance rating.
Calculate the baseline building performance according to ANSI/ASHRAE/IESNA Standard 90.12010,
Appendix G, with errata (or a USGBC-approved equivalent standard for projects outside the U.S.), using a
simulation model.
Projects must meet the minimum percentage savings before taking credit for renewable energy systems.
The proposed design must meet the following criteria:
compliance with the mandatory provisions of ANSI/ASHRAE/IESNA Standard 90.12010, with errata
(or a
USGBC-approved equivalent standard for projects outside the U.S.);
inclusion of all energy consumption and costs within and associated with the building project; and
comparison against a baseline building that complies with Standard 90.12010, Appendix G, with errata
(or a USGBC-approved equivalent standard for projects outside the U.S.).

Document the energy modeling input assumptions for unregulated loads. Unregulated loads should be modeled
accurately to reflect the actual expected energy consumption of the building.
If unregulated loads are not identical for both the baseline and the proposed building performance rating, and
the simulation program cannot accurately model the savings, follow the exceptional calculation method (ANSI/
ASHRAE/IESNA Standard 90.12010, G2.5). Alternatively, use the COMNET Modeling Guidelines and
Procedures to document measures that reduce unregulated loads.

reTail only

For Option 1, Whole-Building Energy Simulation, process loads for retail may include refrigeration equipment,
cooking and food preparation, clothes washing, and other major support appliances. Many of the industry
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standard baseline conditions for commercial kitchen equipment and refrigeration are defined in Appendix 3,
Tables 14. No additional documentation is necessary to substantiate these predefined baseline systems as
industry standard.

or

oPTion 2. PresCriPTive CoMPlianCe: ashrae 50% advanCed enerGy desiGn Guide

Comply with the mandatory and prescriptive provisions of ANSI/ASHRAE/IESNA Standard 90.12010, with
errata (or a USGBC-approved equivalent standard for projects outside the U.S.).
Comply with the HVAC and service water heating requirements, including equipment efficiency,
economizers, ventilation, and ducts and dampers, in Chapter 4, Design Strategies and Recommendations by
Climate Zone, for the appropriate ASHRAE 50% Advanced Energy Design Guide and climate zone:
ASHRAE 50% Advanced Energy Design Guide for Small to Medium Office Buildings, for office
buildings smaller than 100,000 square feet (9 290 square meters);
ASHRAE 50% Advanced Energy Design Guide for Medium to Large Box Retail Buildings, for retail
buildings with 20,000 to 100,000 square feet (1 860 to 9 290 square meters);
ASHRAE 50% Advanced Energy Design Guide for K12 School Buildings; or
ASHRAE 50% Advanced Energy Design Guide for Large Hospitals. Over 100,000 square feet (9 290
square meters)

For projects outside the U.S., consult ASHRAE/ASHRAE/IESNA Standard 90.12010, Appendixes B and D, to
determine the appropriate climate zone.

oPTion 3. PresCriPTive CoMPlianCe: advanCed buildinGs Core PerforManCe Guide

Comply with the mandatory and prescriptive provisions of ANSI/ASHRAE/IESNA Standard 90.1-2010, with
errata (or USGBC approved equivalent standard for projects outside the U.S.).
Comply with Section 1: Design Process Strategies, Section 2: Core Performance Requirements, and the
following three strategies from Section 3: Enhanced Performance Strategies, as applicable. Where standards
conflict, follow the more stringent of the two. For projects outside the U.S., consult ASHRAE/ASHRAE/IESNA
Standard 90.1-2010, Appendixes B and D, to determine the appropriate climate zone.

3.5 Supply Air Temperature Reset (VAV)


3.9 Premium Economizer Performance
3.10 Variable Speed Control

To be eligible for Option 3, the project must be less than 100,000 square feet (9 290 square meters).

Note: Healthcare, Warehouse or Laboratory projects are ineligible for Option 3.


daTa CenTers

Whole-Building Energy Simulation


Demonstrate a 5% improvement in the proposed performance rating over the baseline performance rating. To
determine total energy cost savings, create two models, one for building energy cost and the other for IT
equipment energy cost. Calculate the baseline building performance according to ANSI/ASHRAE/IESNA
Standard 90.12010, Appendix G, with errata (or a USGBC-approved equivalent standard for projects outside
the U.S.), using a simulation model for the whole building and data center modeling guidelines.
Determine the power utilization effectiveness (PUE) value of the proposed design.

For this prerequisite, a minimum of 2% of the 5% energy savings must come from building power and cooling
infrastructure.
Projects must meet the minimum percentage savings before taking credit for renewable energy systems.
The proposed design must meet the following criteria:
compliance with the mandatory provisions of ANSI/ASHRAE/IESNA Standard 90.12010, with errata
(or a
344
USGBC-approved equivalent standard for projects outside the U.S.);
inclusion of all energy consumption and costs within and associated with the building project; and
comparison against a baseline building that complies with ANSI/ASHRAE/IESNA Standard 90.12010,
Appendix G, with errata (or a USGBC-approved equivalent standard for projects outside the U.S.), and
data center modeling guidelines.

For data centers, regulated energy includes cooling units for computer and data processing rooms, critical power
conditioning equipment, critical distribution equipment, heat rejection plants, and mechanical and electrical
support rooms.
Include in process loads both the unregulated load and the IT equipment load. The IT load comprises critical
systems and electrical power transformation, which may include servers, storage and networking power use, and
operations affecting monthly server CPU utilization percentages.
Develop two sets of IT load models using two scenarios, one at the maximum estimated IT load rating and
the second at the startup IT rating expected at the time of commissioning.
Document the energy modeling input assumptions for unregulated loads. Unregulated loads should be
modeled accurately to reflect the actual expected energy consumption of the building.
If unregulated loads are not identical for both the baseline and the proposed building performance rating, and
the simulation model cannot accurately model the savings, follow the exceptional calculation method
(ANSI/ASHRAE/ IESNA Standard 90.12010, G2.5) to document measures that reduce unregulated loads.
Behind the intent
An optimized building design can substantially reduce energy useoften for a modest initial cost with a short
payback periodwhen it includes load reduction, improved mechanical system efficiency, and smart
operational strategies. An integrated building design can lower operating and maintenance costs and improve
indoor air quality, thermal comfort, and access to daylight. Either a prescriptive or a performance approach may
be used to attain such results.
A simplified, prescriptive approachapplicable to smaller buildings and certain building types, such as
offices, retail stores, and schoolspresents a limited set of system choices with mandatory performance
characteristics. Best suited to projects with smaller budgets, straightforward design, and packaged equipment,
the prescriptive approach provides energy-saving guidance for many simple buildings with typical energy
systems. Not all projects will be eligible for a prescriptive approach, which can be inflexible, given that all listed
requirements must be achieved to attain the prerequisite. Two prescriptive options are available, depending on
building size and other factors.
Alternatively, the performance path offers a more flexible, tailored way to evaluate the interactive
effects of efficiency measures. This option uses energy modeling to simulate the energy performance of
the building as a whole. Design teams can then assess complex systems and make efficiency trade-offs
among systems and components that the prescriptive options do not allow.
Partnering with the design team, qualified energy modelers can interpret the results of these complicated
analyses to maximize the benefits to the project. When initiated early in the design process, an energy simulation
serves as a design tool instead of a compliance check. One of the greatest benefits of early energy modeling is
better integration of interrelated design issues, which encourages dialogue about assumptions concerning
building components and systems. Information on energy use and costs thereby plays a bigger role as design
decisions are made.
ASHRAE 90.12010 was chosen as the standard on which to base the requirements because it continues to
push building design toward greater energy efficiency. Specifically, a study by the U.S. Department of Energy
showed an average improvement of 18% across all building types 1 when ASHRAE 90.12010 was applied
instead of ASHRAE 90.12007.

SteP-BY-SteP GUidAnCe

SteP 1. determine ClimAte zone


345
Identify the projects climate zone according to ASHRAE 90.12010, Appendix B (see Further Explanation, Climate Zone
Determination).

sTeP 2. revieW and address ashrae MandaTory requireMenTs


Early in the design process, review the mandatory provisions of ansi/ashRaE/iEsna standard 90.1 2010, with errata (or a
usGBc-approved equivalent standard for projects outside the u.s.). Read through sections 5.4, 6.4, 7.4, 8.4, 9.4, and 10.4 to
understand how the building design must respond to these requirements.
typically, the architect is responsible for section 5.4, Building Envelope; the mechanical engineer and plumbing designer are
responsible for sections 6.4, hVac, and 7.4, service water heating; and the electrical engineer is responsible for sections 8.4,
Power, and 9.4, Lighting. compliance with section 10.4 requires coordination across multiple disciplines.
Ensure that the project complies with the mandatory measures throughout the design, construction, and commissioning
process, particularly when major design decisions are implemented.
confirm that compliant components are included in the final construction documents.

1. DOE/PNNL study, ANSI/ASHRAE/IES 90.1-2010 Final Determination Quantitative Analysis, p.


29, http://www.energycodes.gov/ansiashraeies-standard-901-2010-final-determination-quantitative-analysis.
346
347
option 1 is available to all projects. consider this option if the project team wants to continually review the energy effects of
design decisions, or if the team is pursuing Ea credit optimize Energy Performance, since energy modeling makes the project
eligible to earn more points.
select option 1 if the building or building systems are complex and cannot comply with standard prescriptive requirements.
select option 1 if the project includes on-site renewable energy and intends to use the energy produced for additional
points in Ea credit optimize Energy Performance.
option 2 is for projects that have minimal opportunity or no need for unique designs and systems, beyond the simple
upgrades to mechanical, envelope, and lighting systems that are listed in the ashRaE prescriptive components. under this
option, project teams will use ashRaE 50% advanced Energy Design Guide (aEDG) for hVac and service water-heating
systems. Project teams may pursue a limited number of points under Ea credit optimize Energy Performance. the eligible
project types for option 2 include the following:
small to medium office buildings, less than 100,000 square feet (9 290 meters)
Medium to large box retail buildings, 20,000 to 100,000 square feet (1 860 to 9 290 square meters)
school buildings, any size
Large hospitals, more than 100,000 square feet (9 290 square meters)
option 3 uses the advanced Buildings core Performance Guide and offers an alternative for projects that are less than
100,000 square feet (9 290 square meters) and not a school, healthcare, warehouse, or laboratory. the core Performance
Guide requires that the project comply with prescriptive criteria and also demonstrate that a process is in place for
considering energy efficiency alternatives early in the design phase. Projects that use option 3 cannot achieve points under
Ea credit optimize Energy Performance.

option 1. Whole-building energy simulation


sTeP 1. revieW PrerequisiTe and CrediT requireMenTs
thoroughly review the criteria and referenced standards for both Ea Prerequisite Minimum Energy Performance and Ea credit
optimize Energy Performance before beginning the simulation.
the prerequisite and credit are integrally linked. teams that intend to pursue the credit should focus on the expanded
scope necessary for credit achievement.
Buildings that meet the requirements for earning points under the credit, including mandatory requirements and
excluding any credits from renewable energy, automatically achieve the prerequisite.
Review the integrative Process credit to identify the requirements for concept-level energy modeling.

sTeP 2. idenTify enerGy Modeler


Engage an energy modeler to perform the energy analysis.
it is recommended that the qualifications of the energy modeler be carefully reviewed to ensure that the simulation will
be performed accurately and according to the prerequisite requirements.
Qualified energy modelers who have experience with numerous simulations for a variety of building types can help the
design team interpret the results to develop an efficient building design (see Further Explanation, Energy Modeler
Qualifications).

sTeP 3. develoP PreliMinary enerGy Model


consider creating preliminary energy models to analyze building design configuration and heating and cooling load reduction
strategies. the preliminary models use information from the design to create a rough projection of energy usage in various
scenarios (see Further Explanation, Developing a Preliminary Energy Model).
a preliminary energy model is not required; however, developing an early model of the proposed design will help the
design team explore the energy consequences of design options and will provide an early estimate of energy
performance.
an analysis of various efficiency measures, which may take the form of a preliminary model, is necessary for the
achievement of the related credit.
when evaluating energy usage in different scenarios, consider strategies for lighting and daylighting, envelope, orientation,
and passive conditioning and ventilating systems, in terms of projected energy savings and capital costs as they relate to
all building systems. if pursuing the integrative Process credit, evaluate these parameters at a concept level early in
design.

sTeP 4. Model PoTenTial hvaC sysTeM TyPes


after building design configuration and load reduction strategies have been assessed and implemented, use the energy model
to analyze the performance of hVac system alternatives for the project (see Further Explanation, Modeling Potential HVAC
Systems).
348
for best hVac system performance, ensure that the system is properly sized. More effective system types, such as radiant
heating and cooling or displacement ventilation, may be feasible when the loads are smaller, so begin the analysis by
exploring ways to reduce the load.
analysis of hVac systems in early design is optional for this prerequisite but is required for achievement of the related
credit.

sTeP 5. develoP enerGy Model for ProPosed desiGn


once the hVac system and other design parameters are established, build or update the proposed building energy model to
reflect the anticipated design (see Further Explanation, Building the Proposed Energy Model).
update the proposed model to reflect changes that occur throughout the design process to optimize energy performance
and assist with design decisions.
Ensure that all efficiency strategies are analyzed well before design documents are finalized.

sTeP 6. CreaTe baseline enerGy Model


Build a baseline model that reflects the minimum requirements according to ashRaE 90.12010, appendix G (see Further
Explanation, Building the Baseline Energy Model).
when modifications are made to the proposed energy model, update the baseline accordingly.
consider constructing the baseline model early in the design process so that the design team can see the effect of
design changes on the percentage savings relative to ashRaE 90.1. this will contribute toward achieving more points
under the related credit.
use the energy modeling inputs and quality control checklists spreadsheet (appendix G) to help create the baseline model.
this tool was designed to help project teams create a baseline model in alignment with appendix G requirements.

sTeP 7. uPdaTe baseline and ProPosed Models based on final desiGn


update the proposed energy model to reflect final construction details and specifications and make any necessary
corresponding updates to the baseline model (see Further Explanation, Finalizing the Energy Models).
for elements or systems that cannot be readily modeled by the software, use the exceptional calculation method or
coMnEt modeling guidelines for unregulated loads (see Further Explanation, Exceptional Calculation Method and
Common Issues with Energy Modeling).

sTeP 8. deTerMine enerGy CosT savinGs


compare the proposed model with the baseline model to determine the anticipated energy cost savings (see Further
Explanation, Energy Cost Savings).
Ensure compliance with the prerequisite criteria for energy savings based on the building type (i.e., new construction,
major renovation, or core and shell).
Energy costs offset by on-site renewable energy systems do not count toward energy savings for compliance with the
prerequisite. Renewable energy may be included in the model for achievement of points under the related credit.

option 2. Prescriptive Compliance: ashrae 50% advanced energy design Guide

sTeP 1. seleCT aPProPriaTe Guide and ensure area requireMenTs are MeT
choose the appropriate building type (office, retail, school, or hospital) from the ashRaE 50% advanced
342
Energy Design Guides (aEDG) and review the area requirements. if the project does not meet both building type and size criteria,
the team must select option 1 or option 3.

sTeP 2. assess ashrae PresCriPTive requireMenTs


work with the architect and engineers to assess the prescriptive requirements of ansi/ashRaE/iEsna standard 90.12010, with errata (or a
usGBc-approved equivalent standard for projects outside the
u.s.) and ensure that the design will comply with envelope, hVac, service water-heating, and lighting requirements, per sections 5.5, 6.5, 7.5,
and 9.2.2.
the ashRaE 90.12010 prescriptive requirements should not be confused with the requirements of the aEDGs. although projects
must meet only the hVac and service water-heating prescriptive requirements of the applicable aEDG to earn this prerequisite, all
the ashRaE 90.12010 prescriptive requirements must be met, including building envelope, hVac, service water heating, and
lighting.
Ensure that the lighting calculations include all task lighting except where specifically exempted by ashRaE 90.1, and
appropriately account for the total luminaire wattage for each fixture consistent with ashRaE 90.1 requirements. note that
the luminaire wattage is not necessarily the sum of the lamp wattages but accounts for the ballast factor (standard
luminaires) and the total circuit power or current-limited power (track lighting).

sTeP 3. assess hvaC and serviCe WaTer heaTinG equiPMenT PresCriPTive requireMenTs
work with the mechanical and plumbing engineer to ensure that the projects hVac and service waterheating equipment will meet all
the prescriptive requirements of the applicable aEDG. specify qualifying equipment in the construction documents.
the hVac scope includes equipment efficiency, economizers, ventilation, and ducts and dampers as discussed in aEDG, chapter 4, Design
strategies and Recommendations by climate Zone.
consider the capacity needs for the project and identify potential equipment that will meet those requirements. aEDG does
not address some types and sizes of equipment, and these constraints may make certain equipment inappropriate for the
project.
as a best practice, use the aEDG compliance checklists to track the requirements, review this list with the project team, and
include these requirements in the oPR (see Ea Prerequisite fundamental commissioning and Verification).
once the design is complete, a project that cannot meet all aEDG requirements will find it difficult to switch to option 1 or
option 3; therefore, these requirements should be established early in design.
350

sTeP 4. ConfirM ThaT CrediT CriTeria Will be MeT, if aPPliCable


if the project team is planning to achieve points under the related credit, consider the appropriate additional aEDG requirements.
Points are available for complying with additional requirements not included in this prerequisite (see Ea credit optimize Energy
Performance, option 2).

option 3. Prescriptive Compliance: advanced buildings Core Performance Guide


sTeP 1. assess ashrae PresCriPTive requireMenTs
work with the design team to understand the prescriptive requirements of ansi/ashRaE/iEsna standard 90.12010 to ensure that
the design will comply. this also includes sections 5.5 (envelope), 6.5 (hVac), 7.5 (service water heating), and 9.2.2 (lighting).

sTeP 2. revieW requireMenTs in seCTion 1, desiGn ProCess sTraTeGies


Develop an implementation strategy for achieving the requirements for section 1, Design Process strategies, as outlined in the core
Performance Guide (cPG).
consider the scheduling necessary to accommodate additional meetings and design time during the design process.
consider the scheduling and resource implications of postconstruction activities, such as system verification, operator training and
documentation, and ongoing measurement.
Projects that select option 3 must meet all criteria listed in section 1 of the cPG. Many of these criteria are components of
other credits and prerequisites. sections 1.2, 1.3, 1.5, and 1.6, for example, are addressed elsewhere in the rating system
and are therefore not described here.
for sections 1.2, 1.5, and 1.6, see Ea Prerequisite fundamental commissioning and Verification and Ea credit Enhanced 343
commissioning.
for section 1.3, see the integrative Process credit.

sTeP 3. disCuss CPG requireMenTs and iMPleMenTaTion in desiGn TeaM MeeTinGs


Engage the design team in discussions about meeting the requirements of all three sections of the cPG, implementing strategies
for achieving the EnERGy staR target finder goal, and documenting the process to ensure that the design intent is clearly
communicated.

sTeP 4. revieW PresCriPTive requireMenTs


starting early in the design process, review the required prescriptive elements outlined in section 2, core Performance Requirements,
and the three required elements from section 3, Enhanced Performance strategies. consider alternatives for lighting, hVac, envelope,
and water-heating systems
Engage appropriate design team members to confirm compliance with each prescriptive criterion. Projects must meet all
prescriptive requirements.
consider the effects of continuous air barriers, below-grade exterior insulation, and enhanced economizer operation as well
as common upgrades, such as improved insulation for walls, roofs, and windows.
in addition to meeting the requirements of the cPG, projects must meet all local energy code requirements or the prescriptive
requirements of ashRaE 90.12010, whichever is more stringent.

sTeP 5. analyZe Passive and aCTive enerGy load reduCTion oPPorTuniTies


as described in section 1 of the cPG, as part of design development, analyze at least three alternative building configurations to
maximize passive reduction of building energy loads. when a preferred configuration has been selected, perform an analysis of the
mechanical systems.
undertake and document load calculations. consider referencing ashRaE 55 to identify thermal comfort design conditions.
in the first iteration of load calculations, include fan-sizing calculations based on zone-by-zone loads.
Perform a second set of load calculations using part-load conditions. Describe features of the design that will enable
efficient operation at these conditions.
Document the passive and active analyses and calculations according to sections 1.3 and 1.4 of the cPG. teams pursuing the
integrative Process credit do not need to document section 1.3 separately.
352

sTeP 6. desiGn To MeeT seCTion 2, Core PerforManCe requireMenTs


select the optimal design indicated by the load calculations and confirm that each of the requirements listed in section 2 of the
cPG are met or exceeded. if any design revisions require upgrades to envelope or lighting components, redo hVac load
calculations.
confirm with the architect that envelope-related efficiency measures included in the plans and specifications meet or exceed the cPG
requirements.
confirm with the mechanical engineer that the specifications of the mechanical system meet or exceed the cPG requirements.
confirm with the electrical engineer or lighting designer that lighting power densities calculations do not exceed the cPG
requirements.
sections 2.3, 2.7, 2.9, and 2.11 are addressed elsewhere in the rating system and are therefore not covered here. however,
teams must demonstrate compliance with each section and meet the LEED requirements as well if they are more stringent
than the cPG.
for sections 2.3 and 2.11, see EQ Prerequisite Minimum indoor air Quality Performance and EQ credit Enhanced indoor air
Quality strategies.
sections 2.7 and 2.9 are already mandated through the prescriptive requirements of ashRaE
90.12010, as indicated in the criteria for option 3 of this prerequisite.

sTeP 7. desiGn for CoMPlianCe WiTh seCTion 3, enhanCed PerforManCe sTraTeGies


work with the mechanical engineer to include the following three strategies from the cPG section 3, Enhanced Performance strategies,
in the plans and specifications, as applicable:
3.5 supply air temperature Reset (VaV). confirm that the selected air-handling units can reset temperature and that the
building automation system (Bas) can process inputs that allow proper reset operation, such as humidity, outdoor air
temperature, and VaV damper position.
3.9 Premium Economizer Performance. confirm that the controls can accommodate a dedicated
thermostat stage, that appropriate sensors are installed in the correct location within the air streams, and that the Bas can
adequately implement the requirements.
3.10 Variable speed control. confirm that pumps serving variable flow systems and VaV fans having a motor of 5
horsepower (3.73 kw) or larger can be upgraded to VfD with performance characteristics matching those listed in the
standard.

sTeP 8. inClude desiGn CriTeria in oWners ProjeCT requireMenTs


Develop a checklist of all the requirements needed to comply with the cPG, review this list with the project team, and
include these requirements in the oPR (see Ea Prerequisite fundamental commissioning and Verification).

furTher exPlanaTion

CalCulaTions
If a project consists of both an existing building renovation and new construction, use Equation 1 to determine
the appropriate target percentage savings for meeting the prerequisite or achieving a specific point goal:
Equation 1. Target energy savings for additions to existing buildings

target percentage = { existing floor area target percentage of savings for } {+ target percentage }
new floor area of savings for new
total floor area existing building total floor area building

CliMaTe Zone deTerMinaTion


Determining the right climate zone for the project is essential, since the requirements are specific to each climate
zone. ASHRAE 90.12010 defines eight climate zones (Miami is in climate zone 1; Anchorage is in climate
zone 8) and three climate types: A (moist), B (dry), and C (marine).
To find the projects climate zone and type, consult ASHRAE 90.12010, Appendix B, for the appropriate
state and county. If the projects county is not listed, use the climate zone listed for the state as a whole. For
projects outside the U.S., see Further Explanation, International Tips.

seleCTinG an oPTion
Determining which option is most appropriate for the project requires knowing the extent of energy performance
feedback desired during the design process.
If detailed feedback is important during the design process, then the performance option (1) may be
appropriate. Energy modeling generates information on the potential savings associated with various
efficiency measures, both in isolation and in combination with other measures. Often this includes
estimates of overall energy use or cost savings for the project, which can help gauge progress toward an
energy savings goal or achievement of points under the related credit.
If the owner or design team requires only limited feedback, then one of the prescriptive options (2 or 3)
may be more appropriate. These options are best suited for projects with standard systems and provide only
limited feedback, in that all efficiency measures must be incorporated to achieve the prescribed threshold
for energy performance.

Performance path
The following factors could indicate that Option 1 would be advantageous to the project:
Neither of the prescriptive pathways is available to the project because of the buildings type or size.
The project has an HVAC system that is not covered by one of the prescriptive options.
The project team wants to explore the energy performance and load reduction effects of several envelope and
lighting designs and mechanical systems.
The project team is planning to maximize the number of points available through EA Credit Optimize Energy
Performance.
The project team wants to achieve efficiency trade-offs between systems, offsetting the lower efficiency of one
system by the improved efficiency of another.
The owner is interested in commercial building federal tax credits or state, local, or utility incentives that require
energy modeling. The modeling requirements for such incentive programs may be different from the ASHRAE
90.12010 requirements, however.
The owner wants an estimate of the carbon reductions or lower operating costs (energy savings, demand charge
savings) from energy strategies, beyond a simple calculation for individual energy conservation measures.

Before undertaking energy modeling as part of the performance path, consider the timing of the simulation
preparation and presentation, and understand the costs and benefits of energy modeling as it relates to the project.
When energy modeling is conducted late in design, its value is very limited, except as a compliance tool: the model
can only estimate the energy savings of the design.
In contrast, if initiated early and updated throughout the design process, energy modeling can be a decisionmaking
tool, giving feedback as part of the larger analysis of building systems and components. The best value will be seen
when energy modeling is used as a tool in an integrated design process because it enables a more informed, cost-
effective selection of efficiency strategies.
Develop clear expectations for the presentations of modeling results and their integration into the project schedule.
Ideally, iterations of the model will be presented to the team during each stage of design, beginning as early as
possible, when the project goals are incorporated into preliminary plans. Updates should be presented as the design is
developed further to incorporate engineering and architectural details, and again when the construction documents are
being prepared.
Regardless of the project design phases, energy modeling can still be performed as the design progresses.
However, the potential benefit of energy modeling decreases as the design becomes finalized and opportunities for
incorporating changes are lost (see Further Explanation, Energy Modeling Process Overview). Ask
the projects energy modeler to provide a schedule that integrates energy modeling into the design process, with
appropriate milestones.
To develop an accurate and compliant energy model, it is important that the energy modeler read and understand
ASHRAE 90.12010 (Appendix G in particular) in its entirety, not just the portions that apply to the project. This will
enable a more complete understanding of the energy modeling protocols and methodologies required for LEED
projects (see Further Explanation, ASHRAE 90.1, 2010 versus 2007). The energy modeler should
also consider reading the ASHRAE 90.12010 Users Manual, which expands on the Appendix G requirements.

Prescriptive paths
The following factors could indicate that Option 2 or Option 3 would be advantageous to the project:
The project type is covered under one or both prescriptive options and incorporates conventional systems and
energy efficiency strategies.
The project budget and timeline would benefit from simplified decision making and analysis during the project
design.
The additional cost of energy modeling would not be warranted.

Although the prescriptive paths are applicable to some large projects, such as schools and hospitals, they were
designed primarily for smaller projects, for which the cost of energy modeling would represent a high percentage of
the project budget.
The prescriptive paths are available only for projects that meet certain criteria. Review the projects eligibility
for the ASHRAE 50% Advanced Energy Design Guides and/or the Advanced Buildings Core Performance Guide. If
neither prescriptive option fits the project type, the team must pursue Option 1.
355
If the project is eligible for both of the prescriptive options, determine which is more appropriate based on the
specific option requirements as well as future credit goals. The building type, for example, may not match those in the
AEDGs, or the CPG prescriptive requirements may align better with the projects goals and design.
Option 2, ASHRAE 50% AEDG, delivers a 50% savings over ASHRAE 90.12004 when all requirements in
all categories are met. A project must meet all the HVAC and service water-heating requirements to earn the
prerequisite under Option 2.
Option 3, Advanced Buildings CPG, achieves 20% to 30% savings over ASHRAE 90.12004, depending on
climate zone and building type. Have the mechanical engineer review the applicable AEDG requirements for the
project type. If the project is expected to have unique systems, potential equipment is not listed, or the system capacity
is not likely to not fall within the ranges in the AEDG, then the project team cannot pursue Option 2, and must pursue
Option 1 or Option 3.

enerGy Modeler qualifiCaTions


The energy modeler should have the following competences:
Comprehensive understanding of all the building systems related to energy performance and the information
needed to construct a model using the selected software
Ability to understand and explain capabilities and limitations of modeling software in regards to the strategies
the team would like to pursue
Awareness of how much time the design team needs to provide information, feedback, and responses to the
modeling exercise
Experience with design phase modeling
Ability to demonstrate how energy modeling can be used to perform cost benefit analysis
Experience in modeling projects using ASHRAE 90.1, Appendix G, performance rating method, or a thorough
understanding of this approach
Ability to perform quality control to ensure that the modeling inputs accurately reflect the proposed design and
Appendix G baseline
Ability to evaluate the simulation results for reasonableness in relation to the energy modeling inputs, including
energy consumption by end-use, cost, and the performance savings claimed
Ability to validate the model through review of the actual utility bills during the occupancy phase

develoPinG a PreliMinary enerGy Model


Although not required for this prerequisite, preparation of a preliminary model can facilitate achievement of the
related credit, which requires analysis of efficiency measures. Past analyses of similar buildings or published data,
such as the AEDGs, may also be used to guide decision making, though the results will be less project-specific. A
preliminary model includes design elements identified during schematic design and design development and
generates a preliminary estimate of energy consumption and an end-use profile.
Evaluate how changes to the following elements affect HVAC sizing, energy consumption, lighting, renewable
energy opportunities, and other aspects of energy performance:
Program and operations (multifunctioning spaces, operating schedules, space allotment per person, teleworking,
reduction of building area, operations and maintenance)
Site conditions (shading, exterior lighting, hardscape, landscaping, adjacent site conditions)
Massing and orientation
Envelope (insulation values, window-to-wall ratios, glazing characteristics, shading, and window operability)
Lighting levels and interior surface reflectance
Thermal comfort range options
Passive conditioning and natural ventilation strategies

When examining alternative strategies, also consider the effect on human performance. For example, increasing
daylighting may cause glare.

Typical steps in preliminary energy modeling are as follows:


1. Gather information about building loads and systems. Investigate case studies of similar building in similar
climates and contact local utilities for energy rates and demand charges. Determine applicable building energy
codes, including any local variations. For existing buildings, review drawings, specifications, operations and
maintenance manuals, commissioning reports, energy audit reports, and utility bills. The AEDGs may provide
useful information regarding design practices specific to building types and climate zones.
2. Engage the design team early to investigate opportunities for load reduction. Coordinate with the architect to
identify options for envelope insulation values, building orientation, and shadingvariables that can affect load,
especially on externally load-dominated buildings. Some strategies, such as building massing and orientation,
are most effectively evaluated during the concept phase of design, before the preliminary energy model, and is
not required for this prerequisite. However, a concept-level mass model is a component of the Integrative
Process Credit.
3. Analyze several design alternatives to investigate the combined load reduction potential of multiple strategies.
How strategies alter energy consumption varies by building type and climate zone. Examine energy use by end
use and heating and cooling load distribution to identify effective load reduction and energy efficiency
opportunities.
4. Investigate interconnected strategies. The additional costs of high-performance envelope elements may be offset
by smaller, less costly HVAC systems. For example, energy modeling could evaluate the effect of a fenestration
and shading configuration, with daylight harvesting controls, on cooling, heating and fan loads, HVAC system
capacities, and total building energy consumption and cost. A life-cycle cost analysis for this scenario would
indicate the net increase or decrease in capital costs and the potential savings over multiple years. When
evaluating the capital cost, consider trade-offs between the higher capital cost for the shading and daylight
harvesting controls and the lower capital costs for a smaller HVAC system.
5. Use the model to compare potential performance with the projects energy goals.

ModelinG hvaC sysTeMs


Although not required for this prerequisite, an evaluation of HVAC system alternatives can help the design team
optimize energy consumption. This exercise is a requirement for achievement of points under the related credit.
The modeler should analyze the performance of several efficient HVAC systems to understand the potential
energy savings associated with each one. This information enables the design team to compare life-cycle costs, rather
than just first costs. The life-cycle cost analysis should follow the analysis of load reductions, which may affect the
life-cycle cost.
The chosen HVAC system can then be further optimized through additional energy modeling that
analyzes the potential efficiency gains of the system components and/or assigns different systems to
different zones. Typical steps for HVAC system type modeling include the following:
1. Coordinate with the mechanical engineer, since decreased loads may affect mechanical system sizing or
potential system types. Compare high-efficiency HVAC systems with typical systems for reductions in operating
costs (energy, maintenance). Weigh this against the higher first costs of more efficient equipment. Evaluate the
potential for reducing the first cost of HVAC equipment by reducing the loads. Include not only the smaller
equipment but also the infrastructure related to HVACductwork, piping, controls, and in some cases, building
volume or floor area for these components.
2. For the selected system, analyze and optimize additional HVAC energy efficiency measures, including
equipment efficiency, energy recovery, economizers, and demand-controlled ventilation.
3. Coordinate with the architect and structural engineer, since different system types may influence space, height,
or structural requirements. For example, under-floor air-conditioning may influence the exterior envelope design
and could increase or decrease the height of the building.

buildinG The ProPosed enerGy Model

An energy model of the proposed design is required for prerequisite compliance under Option 1. A team that has
already prepared a preliminary model may update it to reflect the newest design information throughout the project.
Create or update proposed building characteristics based on the latest information and specifications on systems,
assemblies, and equipment in the current design. This can be accomplished as early as design development to estimate
projected savings, and later updated when the construction documents are complete. Then analyze remaining
efficiency strategies that the team would like to consider before the design documents are finalized. For example, the
proposed energy model could be used to evaluate the performance and cost implications of value engineering
decisions.
357
buildinG The baseline enerGy Model

Developing a baseline energy model is a detailed process that requires a good working knowledge of ASHRAE 90.1
2010, Appendix G, and familiarity with the relevant sections of the standard. The baseline model represents a typical
design for a building of the same size and use as the proposed building. It meets but does not exceed the performance
requirements of ASHRAE 90.12010 and is used as a comparison to calculate the percentage energy cost savings for
the project design.
In general, baseline development begins by changing the inputs for all the components, assemblies, and systems of
the proposed design energy model to minimally compliant input values, in accordance with 90.12010 Appendix G.
Determine or update baseline values for each system, assembly, and piece of equipment for the appropriate climate
zone, building type, and fuel type(s).
If the energy simulation software automates some or all the baseline generation, review the automated baseline
model inputs against the expected baseline values and confirm consistency (see Further Explanation,
Common Issues with Energy Modeling).
Preparation of the initial baseline model is best undertaken during the design development phase, after major
design decisions have been made, so that modeling can evaluate whether the project is likely to meet energy savings
targets (or achieve points under the related credit). The baseline model will typically need to be updated based on the
final project design.

finaliZinG The enerGy Models


Update the proposed model based on the information and specifications for systems, assemblies, and equipment in
the final construction documents. Confirm that all efficiency measures claimed have been incorporated into the
design. Include all energy consumption and costs within and associated with the building project.
Ensure that assumptions used in earlier versions of the model are replaced with actual data from the construction
documents. For example, if proposed chiller control sequences were assumed in the preliminary model, use the actual
control sequences from the construction documents for the final version. Update the baseline model as necessary
based on the projects final construction documents, including changes in occupant density, required outdoor airflow,
thermostat setpoints, and system or fuel types. The model will have to be updated again if any changes during
construction affect efficiency measures.
Schedules must be modeled correctly for both the proposed and baseline models (see Further Explanation,
Schedules).
Perform a quality control check to verify that all Appendix G and LEED modeling guidelines have been followed.
Record both the proposed and baseline values in the Appendix G energy modeling inputs and quality control
checklists spreadsheet. This record of energy conservation measures is a good tool for confirming that proposed
building characteristics and baseline values have been selected properly.
Document the input assumptions for receptacle and process loads. These loads should be modeled accurately to
reflect the actual expected energy consumption of the building. Per ASHRAE 90.12010, Table G3.1-12, receptacle
and process loads must be modeled identically in both the proposed and baseline models, unless there are specific
efficiency requirements listed in Sections 5 through 10 that allow a less stringent baseline requirement (e.g., motor
efficiency).
If the project claims savings for variations in power requirements, schedules, or control sequences, the burden
of proof is on the project team to document that the design represents a significant departure from conventional
practice. If an energy efficiency measure cannot be explicitly modeled, the team may use Section G2.5, Exceptional
Calculation Method (see Further Explanation, Exceptional Calculation Method).
Verify the final energy cost savings. Evaluate the energy savings by end use for reasonableness based on the
differences in the modeling inputs between the baseline and proposed models (see Further Explanation,
Energy Cost Savings). Use Figure 2 to help verify proposed energy savings.

ProJEct & contEnt

Check Space Summary for Check for simulation program, the building size, space types, climate zone, weather file, Check
total points Check narratives are
conditioned vs. unconditioned reference standard used, heating attempted and Target included describing spaces.
Check the number of source and whether the project finder score special conditions stories includes existing
renovation.

inPuts

Check Building Check Lighting Check Process Check HVAC and DNW system special casesEvaluate

Envelope input input Energy input input (DES & CHP)

outPuts

Check unmet load hours and Check simulation output to verify Verify if the results of 4 orientations simulation
output reports consistency were reported

End-usE consistEncy

use demand and consistent with energy use are inputs


Verify that end- and demand differences between proposed and energy consumption
Evaluate whether
baseline cases are justifiedmajor end usesconsumption is Verify whether reasonable for energy for the measures with if
savings are justified measures and verify Identify efficiency highest absolute savingsdemand savings are consistent between Evaluate
whether consumption and linked end-uses

building lEvEl consistEncy sPEcial outPuts

Cross-check For each fuel type, if cost and enery savings Review Verify
with benchmark differ significantly, verify that virtual utility rates exceptional renewable energy consumption are
justified based on utility rate schedule calculations calculations

Figure 2. Steps to verify proposed energy savings Model Inputs Model Outputs Consistency

sChedules
For optimal results, ensure that the schedule inputs into the model accurately reflect the project buildings operation.
If anticipated operating schedules are unknown, helpful guidance for determining model inputs for occupancy,
lighting, HVAC system, receptacle power, and service hot water consumption values can be found in the ASHRAE
90.12010 Users Manual, Appendix G.
Schedules must be identical in both the baseline and the proposed cases unless documented in an exceptional
calculation or specifically allowed by ASHRAE 90.12010 Appendix G (see Further Explanation,
Exceptional Calculation Method).
Certain space types may require specific schedules based on anticipated operation and may vary by space type.
For example, a server room may have different temperature schedules than an occupied space.
Exceptions to Section G3.1.1 may require modeling of a different baseline HVAC system type in spaces with
schedules that vary significantly from the rest of the building.
Different lighting schedules may be used for a project with both office and retail occupancy when the space-
byspace method is used or when the building area method is used with multiple building type classifications. Different
schedules cannot be used, however, if an average lighting power density is applied to the whole project.
359
Ventilation and infiltration schedules should also be adjusted to ensure the same amount of outside air delivery

and infiltration between baseline and proposed cases, except for specific exceptions allowed by Appendix G. enerGy

CosT savinGs

For EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance, modeled energy
savings must be reported on an energy cost basis using actual utility rates or the states average energy prices.
Using energy cost savings as a metric for overall building energy efficiency is important for several reasons. It
aligns with the energy modeling procedures in ASHRAE 90.12010, Appendix G, and provides a uniform metric for
all fuel types. It captures the relative effects of various efficiency measures on energy demand and long-term
operating costsvaluable metrics for the owner in determining the overall cost-effectiveness of selected efficiency
strategies. And finally, the energy cost savings metric can help designers understand energy consumption because in
many cases, cost and carbon emissions of each fuel source are closely correlated.

exCePTional CalCulaTion MeThod


In ASHRAE 90.12010, Appendix G, Section G2.5, an exceptional calculation method (ECM) is used when the
simulation program that is generating the energy model is incapable of modeling a certain design, material, or device
of the proposed design. LEED has adopted and slightly expanded use of exceptional calculations to cover any savings
claimed for a nonregulated load, defined as any building load, end use, or control without an Appendix G baseline
modeling requirement that allows the load, end use, or control to be modeled differently in the proposed and baseline
buildings.

Energy savings limitations


Section G2.5 indicates that exceptional calculation methods cannot constitute more than half of the difference (i.e.,
savings) between the proposed and baseline buildings. This will be enforced for the ASHRAE definition of an ECM.
However, in LEED, this rule will not be applied to savings attempted on nonregulated loads unless the nonregulated
load cannot be modeled in the simulation program.

Elements that cannot be simulated by modeling program


One type of ECM is creating a representation of an element that cannot be modeled directly by the chosen energy
modeling software. Examples include innovative external shading devices, under-floor air systems, and the heat
recovery performance of a variable refrigerant flow system. Whether a particular strategy is considered an ECM may
depend on the modeling program and whether the energy modeler can simulate an approximation of the system in the
software. If the methodology for approximation has not been previously published by ASHRAE or USGBC as an
acceptable modeling path, it is the responsibility of the energy modeler to submit a narrative explanation describing
the simulation and providing the calculations for the energy savings if necessary.
Documentation for nonregulated loads
Examples of nonregulated load savings include manufacturing equipment not regulated by 90.12010, a unique
manufacturing process, or any refrigeration or kitchen equipment (including operation) not specifically covered in
the LEED Appendix 3. Retail Process Load Baselines, Tables 14. Energy savings for nonregulated loads require
additional documentation. ASHRAE 90.12010, Table G3.1-12, indicates that variations of the power
requirements, schedules, or control sequences are allowed by the rating authority, provided the proposed design
represents a significant verifiable departure from documented conventional practice. Project teams must document
the following information to prove that the savings represent a departure from conventional practice and are not
required by local code:
A narrative describing all baseline and proposed assumptions
The calculation methodology used to determine the savings
A document verifying that the efficiency measure is not conventional practice. This is generally accomplished
either by documenting the baseline comparison system/schedule/control as standard practice, or by showing that
the savings claimed for the efficiency measure are incentivized by a local utility program. Examples of
documents used to verify that the efficiency measure is not conventional practice may include the following:
A recent study with researched tabulations or monitored data establishing standard practice for the given
application in similar newly constructed facilities
A new-construction utility or government program that provides incentives for the measure
A document showing the systems used to perform the same function in similar facilities built within the past
five years; these systems are treated as the baseline system in the analysis, and evidence must show how the
energy use for the baseline and proposed buildings is determined

Alternatively, the project team may use any of the prescriptive requirements from ASHRAE 90.12010 as the baseline
requirement without further justification to substantiate conventional practice, but only for the specific component.

Additional guidance
Sources of typical efficiency measures include the COMNET manual, which has a calculation methodology for
determining savings for process or receptacle loads, especially savings from ENERGY STAR equipment. These are
offered in Section 6.4.5, Receptacle and Process Loads, and Appendix B.
Always provide a narrative explanation of the methodology used to calculate savings for exceptional calculation
methods. Separate calculations are not necessary when the energy saving are found easily in the modeling results.

Changes from earlier versions of ASHRAE and LEED


Some efficiency measures that no longer need to be modeled using an exceptional calculation method include garage
fan demand-controlled ventilation, low-flow water fixtures, kitchen equipment, and kitchen ventilation.
Enclosed parking garage ventilation. Modulating fan airflow rates based on contaminant levels are now required
to be installed, unless certain exceptions apply, per Section 6.4.3.4.5. Any design that goes beyond these
minimum baseline requirements may be counted. Two factors can affect the energy consumption:
The baseline fan power (in energy per flow) must be consistent with the proposed installed fan power at full-
load conditions. The project team may count higher fan motor efficiencies in the proposed building.
The ventilation rate, and thus fan power, can also be reduced if the project teams design allows the fans to
reduce the ventilation rate below 50%. The baseline ventilation rate must be set at the minimum
requirements of ASHRAE 62.12010, which is 0.75 cfm per square foot (3.8 L/s per square meter). This
must be the baseline ventilation rate, regardless of any local code.

The same requirements apply to demand-controlled ventilation for outdoor air control sequences that provide
ventilation for building occupants.
Low-flow service water-heating fixtures. The flow rates given in WE Prerequisite Indoor Water Use Reduction
set the allowable baseline values. Provide sufficient information to justify energy savings from efficient fixtures
and appliances that use hot water.
Kitchen equipment. All project types may count energy savings from efficient refrigeration equipment, cooking
and food preparation, clothes washing, and other major support appliances. LEED Appendix 3. Retail Process
Load Baselines Tables 14, defines the baseline conditions. Provide sufficient information to justify all the
savings. Savings for a piece of equipment (or its operation) not covered in Appendix 3 must be modeled using
the ECM described above.
Kitchen ventilation. ASHRAE 90.12010 now addresses kitchen ventilation, so it is no longer considered a
nonregulated load. Section G3.1.1, exception (d) requires a kitchen with more than 5,000 cfm (2360 L/s) of total exhaust
airflow to be modeled with its own separate system. Include demand ventilation on 75% of the exhaust air, and reduce
exhaust and replacement air by 50% for half the kitchen occupied hours in the baseline design. Additionally, the maximum
exhaust flow rates for hoods must meet the requirements of Section 6.5.7.1.3. The exhaust flow rate must be modeled
identically in the baseline and proposed case at design conditions unless Appendix G indicates otherwise. Any design that
goes beyond these minimum baseline requirements may be counted. Provide sufficient information to justify all kitchen
ventilation savings, with consistent assumptions and operating schedules. Project teams that count kitchen ventilation
savings must separate the savings from each end use (e.g., fan, heating, cooling) when reporting the energy outputs.
ashrae 90.1-2010 versus 2007
The referenced standard for building the baseline model for this prerequisite has been updated to ASHRAE 90.1
2010, which represents a substantial increase in efficiency from the previous version, ASHRAE 90.12007. The
major changes are described in Tables 1 and 2.
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tablE 1. Comparison of ASHRAE 90.1 mandatory requirements, 2007 and 2010

building envelope requirement ashraE 90.12007 ashraE 90.12010

Air barriers
5.4.3.1.2 NA Continuous on entire building envelope

hvac requirement ashraE 90.12007 ashraE 90.12010

Garage fans Auto-adjust fan speed with contaminant levels


6.4.3.4.5 NA to 50% or less of capacity

Chiller efficiencies
6.4.1.1 NA Increased for all chiller types

Required to have VFD or two-speed motors for


Single-zone VAV DX >9.2 tons (32.3 kW), and chilled water AHUs
NA
6.4.3.10 >5 hp (3.7 kW) fan motors

Water and evaporatively cooled unitary


AC units and heat pump efficiency Table NA 35% more stringent
6.8.1A and B

PTAC and PTHP efficiency increased


6.4.1.1; Table 6.8.1D 12 EER (3.52 COP) 13.8 EER (4.05 COP)

Water to water heat pump, CRAC, and


VRF
Table 6.8.1B; Table 6.8.1K; Table 6.8.1J Not covered Now covered by 90.1
respectively

Power requirement ashraE 90.12007 ashraE 90.12010

Automatic receptacle control At least 50% of all receptacles installed in


8.4.2 private offices, open offices, and computer
NA classrooms must be controlled by automatic
control device

lighting requirement ashraE 90.12007 ashraE 90.12010

Alterations that involve less than 50% of


connected lighting load in space or area need
Threshold for retrofit compliance not comply with lighting power density or
Less than 10% of connected load
9.1.2 auto-shutoff requirements, provided that such
alterations do not increase installed LPD

Lighting power density Reduced; average 17% in space types, more for
9.4.5; 9.4.6 NA retail display lighting

Automatic shutoff 9.4.1.1


Required in buildings >5,000 ft2 (465 m2) Required in all spaces

All spaces are required to have vacancy sensors


Additional control All spaces to have general lighting controls, or occupancy sensors to 50% or
9.4.1 manual or automatic less of lighting power

Classrooms, conference rooms, and break rooms More space types added, including offices,
Space controls must have occupancy sensor or time switch that restrooms, dressing rooms, and training,
9.4.1.2 turns light off within 30 minutes copy, and storage rooms

Spaces must have controls that reduce power


Light level reduction level by 3070% of connected load in addition
None
9.4.1.2 to off mode.
Automatic, multilevel daylighting controls
Lighting in daylit zones installed in sidelit areas >250 ft2 (23 m2) and
None
9.4.1.4 toplit areas >900 ft2 (84 m2)

Auto-shutoff, power must be reduced by


Parking garage lighting 30% when no motion for 30 minutes, auto-
None
9.4.1.3 daylight control on perimeter

Exterior lighting Lighting must be controlled by photosensor At night light must either be off or operated at
9.4.1.7 or time switch reduced level

Functional testing 9.4.4


None All installed controls must be tested

tablE 2. Comparison of ASHRAE 90.1 prescriptive requirements, 2007 and 2010

requirement ashraE 90.12007 ashraE 90.12010

For all HVAC system types, must meet


Economizer exemptions Table Only for unitary equipment, EER/SEER (COP/ % efficiency improvement, now
6.3.2 SCOP) rating required in most climate zones

Lighting power density 9.2.1 Reduced, average 17% in space types, more
NA for retail display lighting

CoMMon issues WiTh enerGy ModelinG


Thoroughly review both ASHRAE 90.12010 and the 90.12010 Users Manual. The manual presents extended
explanations and also includes examples of the concepts and requirements within the standard. Table 3 addresses
many of the most common issues but is not a comprehensive list.
tablE 3. Common issues with energy modeling, by ASHRAE 90.1 section

scope

inclusion of Unfinished spaces must be included in the energy model if they are part of the project scope of work. In core and shell
unfinished spaces projects, a large portion of the space may be unfinished; in new construction and major renovation projects these spaces
in project scope must not make up more than 40% of the total space. In addition, all projects other than core and shell that have incomplete
spaces must submit a letter of commitment, signed by the owner, confirming that the remaining incomplete spaces will
satisfy the requirements of each prerequisite and credit achieved by this project if and when completed by the owner.

Modeling hvac, Refer to ASHRAE 90.12010, Tables G3.1.6(c), G3.1.10(c) and (d), and G3.1.11(c), for unfinished space modeling
lighting, hot water requirements. If a lighting, HVAC, or service hot water system has not yet been designed, the system required in the baseline
systems for building for that unfinished space must also be modeled in the proposed building. Refer to Table G3.1.8 on how to model
unfinished spaces thermal zones for such space.
Example 1. A two-story office building has a ground-floor retail area that is entirely unfinished. The building contains a chase
for future ductwork and a location on the roof for the mechanical equipment for the future tenant, but no system exists or
has been specified.
In this case, the proposed HVAC system for that space must be modeled using the same HVAC system type, capacity ratios,
efficiencies, and controls as those modeled for the baseline building.
Example 2. The same hypothetical two-story office building now includes chilled and hot water connections for the future
unfinished retail space. A portion of the HVAC system has been designed.
The proposed building may be modeled as a system that uses the chilled and heating hot water (e.g., 4-pipe fan coil unit).
However, because the air-handling units and terminal distribution have not yet been designed, the cooling and heating
capacities, design fan volume, minimum volume, fan power, fan controls, etc., must be modeled identically in both the
baseline and proposed model, and equal to the requirements of the baseline model.

additions to Project teams wishing to certify an addition to an existing building must follow the Appendix G requirements in Table G3.1.2,
existing buildings the most important of which is (b). If the existing building will be excluded, then the HVAC system serving the addition to the
building must be entirely separate from the systems serving the existing building. Refer to the table for all requirements.

building envelope

baseline building Construction type and maximum U-factors for baseline walls, roofs, and floors are specified by Table G3.1-5 Baseline (b). The
envelope constructions for walls, roofs, and floors are specified by the standard and do not depend on the proposed design. For
example, if a building will have concrete masonry walls, the baseline model will still have steel-framed walls.
363

Existing building For an existing building that was conditioned before major renovation and will be conditioned postrenovation, the baseline
envelope building envelope should reflect the existing conditions, before the scope of work (Table G3.1-5 Baseline (f)).
However, for an existing building (or spaces in the building) that was previously unconditioned and is being renovated to
include conditioning, the baseline building envelope (or the envelope for any previously unconditioned spaces in the building)
must be modeled as if the building is new construction (i.e., according to Table 5.5).

Proposed model u- The proposed model must reflect the building as designed or built. To the extent possible, construction assemblies need to
values match the dimension and U-value inputs in the model.
Apply Appendix A to the proposed envelope. Provide the assembly U-value, rather than a point U-value, by determining the
overall construction assembly U-value that takes into account for thermal bridging as shown in Appendix A.
Ensure that window U-values are input as the assembly U-value, which takes into account the U-value of the framing system.
The center-of-glass value is not acceptable.

baseline model u- For the baseline envelope properties, use the semiheated requirements to model surfaces that adjoin unconditioned spaces
values, to conditioned spaces (e.g., a wall separating a semiheated warehouse from a conditioned office) or semiheated space to
semiexterior conditioned space (e.g., the slab separating an unconditioned parking garage from the conditioned ground floor of the
surfaces building). Figure 5.1 in 90.12010 illustrates this requirement.

tablE 3 (continuEd). Common issues with energy modeling, by ASHRAE 90.1 section

hvac

baseline hvac The HVAC system for the baseline model must be selected based on requirements in ASHRAE 90.12010, Section G3.1.1.
system selection The system selected will depend on the proposed building type, size, and heat source. Building type must be based on
predominant conditions (i.e., those that account for the majority or plurality of the building area), and no space types
can be excluded from the model. Building size is determined from conditioned area. Once the floor area of the
predominant condition is known, consult Table G3.1.1A to determine the predominant baseline HVAC system.
Section G3.1.1 also specifies whether HVAC systems must be modeled with a system per floor or a system per thermal
block. Systems 14 are modeled with one system per thermal block and systems 510 with one system per floor, using
systems 9 and 10 where applicable.
When multiple floors have identical thermal blocks, those floors may be combined in the energy model.
Note that a floor with a roof and a floor without a roof do not have identical thermal blocks and cannot be combined. A
multistory building with identical thermal blocks would need to be modeled with no fewer than three floors: a ground
floor, a middle floor with appropriate multiplier, and a top floor.
There are six exceptions to the baseline HVAC system determination. These exceptions are mandatory and must be taken
if they are applicable to the project.
G3.1.1 exception (a). Check for nonpredominant conditions, such as nonresidential in a primarily residential building, or
where a portion of a building is supplied by electric heat but the rest is from fossil fuels. The area of nonpredominant
conditions can be deducted from the total area when determining the baseline HVAC system. If nonpredominant
conditions apply to more than 20,000 ft2 (1860 m2), use exception (a) and select an additional baseline HVAC system type
to serve those spaces.
Example. A 210,000 ft2 (19 510 m2) multifamily high-rise has 23,000 ft2 (2140 m2) of ground-floor retail space. The
residential units are served by heat pump units with supplemental electric heat, and the retail areas are served by a split
DX unit with fossil fuel furnace. The required baseline HVAC system for the residential spaces would be System 2PTHP,
but for the retail areas it would be System 3Packaged DX with fossil fuel furnace, since the nonresidential spaces meet
the 20,000 ft2 (1860 m2) exception (a) in G3.1.1.
G3.1.1 exception (b). If using systems 5, 6, 7, 8, 9 or 10, individual zones with atypical thermal loads or occupancy profiles
must be modeled with individual single-zone systems of type 3 or 4, according to exception (b). Examples for this include
computer server rooms, natatoriums, and school gymnasiums.
If this exception is not properly incorporated into the baseline model, the model results may show an unusually high
number of unmet load hours or significantly oversize the baseline case systems. A good practice is to check the baseline
output reports and verify that the thermal loads for each thermal block do not vary by more than 10 Btuh/ft 2 (31.5 W/m2)
from the average of the other thermal zones on the floor, and adjust the baseline model as necessary to include this
exception.

baseline hvac G3.1.1 exception (c). If laboratory spaces in the building have a total laboratory exhaust rate greater than 5,000 cfm (2360
system selection L/s), a single system of type 5 or 7 must be modeled to serve only those spaces. Section G3.1.2.11 requires exhaust air
(laboratory spaces) energy recovery in accordance with Section 6.5.6.1, which is likely to include laboratories.

baseline hvac G3.1.1 exception (d). If kitchens in the building have a total exhaust hood airflow rate greater than 5,000 cfm (2360 L/s),
system selection system type 5 or 7 must be modeled and must include demand-controlled ventilation.
(kitchens)

baseline hvac G3.1.1 exception (e). Heating-only systems serving rooms not exhausting or transferring air from mechanically cooled
system selection: spaces, such as storage rooms, stairwells, or mechanical rooms, should be modeled as system 9 or 10.
heated-only storage G3.1.1 exception (f). When the predominant system is type 9 or 10, any fully conditioned spaces (such as an small, fully
or circulation spaces conditioned office in a heated-only warehouse) should be modeled using the appropriate system type for the size,
number of floors, occupancy type, and heating type for the nonpredominant area of the building.
baseline hvac Any project with a combination of fossil fuel and electric heat serving the same space must use the fossil fuel baseline
system fuel type HVAC system (systems 1, 3, 5, and 7) unless it meets one of the exceptions to G3.1.1.
Example. A building has been designed with electric water-source heat pumps for the space loads. A 100% outdoor air
gas-fired rooftop unit provides ventilation. The spaces are served by both electric heating from the heat pumps and
ventilation air from the gas-fired unit; therefore, the spaces are considered hybrid heating and must model the baseline
HVAC system type as Fossil Fuel, Fossil/Electric Hybrid, and Purchased Heat (from Table G3.1.1a).
In the case of electric heating equipment designed with a fossil fuel preheat coil, or a backup fossil fuel boiler, the intent is
that the equipment will be used; thus it is considered hybrid heating, and the team must use the fossil fuel baseline
heating system.
365

tablE 3 (continuEd). Common issues with energy modeling, by ASHRAE 90.1 section

hvac (continued)

baseline fan power The baseline fan power is calculated according to Section G3.1.2.10, which indicates that the system fan power is based
on the supply airflow and distributed to supply, return, exhaust, and relief fans. If the proposed system has additional
return, exhaust, and/or relief fans, the team may not adjust the baseline model to account for the additional fan power.
Section G3.1.2.10 also includes Table G3.1.2.9, whose value A is calculated according to Section
6.5.3.1.1 using pressure drop adjustments. Pressure drop adjustments may not be taken for system types 1, 2, 9, or 10.
The calculations are straightforward, but a common issue involves pressure credits. Table G3.1.2.9 allows pressure drop
adjustments for evaporative coolers or heat recovery devices only when they are required in the baseline building system.
Also, the pressure drop adjustment is applicable only to the design airflow through each device. For example, if only the
ventilation air is filtered with a MERV 13 filter, then only the ventilation airflow rate may apply the 0.9 in. w.c. (224.2 Pa)
adjustment, not the entire supply airflow rate.
Pressure credit may be taken only for those systems present in the proposed building.
For fully ducted return or exhaust air systems, the credit for fan power allowance cannot be based on plenum return. The
credit can be applied only when the return is fully ducted; systems that have a combination of ducted and nonducted may
not use this pressure credit.
For return or exhaust airflow control devices (which maintain a specific pressurization relative to other spaces), a
project team claiming this credit in spaces other than a laboratory, hospital, or similar space type must provide
evidence of this control device. The credit may be applied only for the amount of airflow passing through the control
device.
A project team using the modeling software to automatically determine the baseline building fan power must ensure that
the correct allowance has been calculated. Publicly available fan power calculators can be used to verify and determine
the correct fan power.

Proposed hvac Table G3.1.1(a) requires that the proposed building be consistent with the design documents, including envelope, lighting,
system sizing HVAC, and service hot water systems. Additionally, all end-use load components within and associated with the building
must be modeled.
Table G3.1.10(b) requires that the HVAC model be consistent with the design documents. All modeled HVAC system
parameters (e.g., fan volumes, fan powers, efficiencies, heating and cooling capacities) must be consistent with the
mechanical schedules and drawings. The simulation should never be allowed to automatically size the HVAC system for the
proposed case model when there is a complete design.

heat pumps Section G3.1.3.1 describes the operation of baseline building heat pumps. The heat pump and auxiliary heat should
(operation) operate together at low-temperature conditions, with the compressor as the lead machine. The outside air cutoff
temperature for the compressor must be no greater than the temperature associated with the low-temperature heating
efficiency requirements of Table 6.8.1B (17F) (8.3C). The HSPF rating for packaged heat pump units smaller than
65,000 Btu/h (19 kW) and packaged terminal heat pumps accounts for electric auxiliary operation and includes test
conditions at 17 degrees F (8.3C). The heat pump efficiency curves in the model should reflect the heat pump ratings
that account for simultaneous operation of the electric resistance and heat pump elements below 40F (4.4C).

unitary heating and Use the correct Table 6.8.1 to determine equipment efficiencies:
cooling efficiencies Table 6.8.1A for system types 3, 5 and 6
Table 6.8.1B (with electric resistance heating section) for system Type 4
Table 6.8.1D for system types 1 and 2
These efficiencies are based on the capacity of each system individually, not a sum of all units. It is important to
correctly adjust efficiencies of each piece of equipment to separate fan power at AHRI rating conditions, per Section
G3.1.2.1. Most simulation software programs can perform this step automatically.

humidity controls Humidification must be modeled identically in the baseline and the proposed models, since it is not addressed in Appendix
G. Use the exceptional calculation method if claiming savings.
If the proposed design includes dehumidification controls, they must be modeled as designed. Dehumidification controls
may be modeled in the baseline only if one of the exceptions to Section 6.5.2.3 applies. Exception (d) for process
dehumidification does not apply to computer rooms.
Table G3.1.4 requires that identical schedules be used in both models, and this includes humidity setpoints. A problem
may arise if the proposed building has a dedicated outdoor air system (DOAS) that maintains proper humidity. PTAC or
small DX systems in the baseline design may not be able to maintain both temperature and humidity simultaneously in the
same way that the proposed system can. The project team may then incur a penalty for higher humidity levels in the
baseline building.
In this situation, model a DOAS in the baseline design using the same volume of outdoor air as for the proposed design,
but with the same efficiency and efficiency curves as the baseline HVAC systems. Additionally, the baseline fan power
allowance would be separated between the DOAS and the baseline system using the same ratio as the proposed system.
tablE 3 (continuEd). Common issues with energy modeling, by ASHRAE 90.1 section

ventilation

ventilation rate Table G3.1.10(b) requires that the proposed building ventilation rate be consistent with the rate indicated on the
inputs mechanical schedule. Section G3.1.2.6 requires that the ventilation rate be identical between the proposed and baseline
buildings and states that reduced ventilation is not considered an opportunity for energy savings under the Performance
Rating Method; ventilation is energy neutral, per the Users Manual. However, there are exceptions to this requirement.

ventilation (above Exception (c) penalizes projects for providing more ventilation air to the space than is required by ASHRAE 62.1 2010 or
minimum required) a local code, whichever requires more ventilation air. If the proposed project provides outdoor air in excess of the
amount required, the baseline must be modeled with the required ventilation rates, which will be lower than the
proposed ventilation rate. This creates an energy penalty for the additional fan and conditioning energy. For various
reasons, however, it is common practice to specify slightly more ventilation air than required. A project team that has
specified up to 5% more total ventilation air than required may model identical ventilation rates.
If exhaust requirements dictate the amount of ventilation air that must be provided to the building, as indicated in Section
5.9.2 of ASHRAE 62.12010, provide an explanation, documentation, and calculations as necessary to show that exhaust
requirements exceed the minimum ventilation flows, and model the ventilation rate identically in both buildings.

demand-control Exception (a) allows credit for demand-control ventilation when it is not required by Sections 6.3.2(p) or 6.4.3.9. If
ventilation and demand-control ventilation is being modeled for credit, Table G3.1.4 (baseline) indicates that schedules may be
nighttime modified and allowed to differ to take it into account, provided the schedules are approved by the rating authority. In
ventilation this instance, project teams must submit both proposed and baseline ventilation schedules.
requirements ASHRAE 90.1, Section 6.4.3.4.3, requires shutoff dampers that automatically shut during unoccupied periods when the
HVAC system cycles on and off to meet loads except when ventilation reduces energy costs (e.g., night purge), or when
ventilation must be supplied to meet local requirements (such as minimum flow requirements for hospital or chemical
storage rooms during unoccupied periods).
Therefore, the demand-control ventilation schedules presented for both the baseline and proposed cases should show
zero outside airflow during unoccupied periods unless the supplemental documentation supports that ventilation during
unoccupied periods reduces energy cost or is required by local code, in which case the baseline and proposed ventilation
rates during unoccupied periods must be modeled with identical flow rates. Additionally, the baseline ventilation flow
must be modeling using minimum required rates.

ventilation (zone air Exception (b) allows for lower ventilation rates in the proposed building for efficient ventilation system designs that have
distribution high zone air distribution effectiveness (Ez >1.0), as determined by ASHRAE 62.12010.
effectiveness) In this case, the baseline ventilation levels can be based on the proposed calculations, only with reduced zone air
distribution effectiveness (Ez = 1.0). This makes the baseline outdoor airflow rates higher than the proposed outdoor
airflow rates, so ventilation calculations must be submitted to claim the exception for a higher E z in the proposed case.
If a lower ventilation flow rate is an aspect of the design, the project team must provide ventilation rate procedure
calculations for both the proposed and baseline designs, with the proposed design using the actual E z value and the
baseline design using an Ez value of 1.0 in each zone where the Ez value is greater than 1.0, but equal to the proposed
building for all other zones where the Ez value is not greater than 1.0.
If ASHRAE 62.1, Section 6.2, Ventilation Rate Procedure, is not used for the ventilation design, then this exception may not
be used.
Credit may not be taken, via ventilation flows, for any other ventilation design, such as a 100% outdoor air unit.
Additionally, credit may not be taken for increased system ventilation efficiency, E v, of a proposed ventilation system
compared with a baseline ventilation system; Appendix G does not allow this. The only exception would be a different E v
value due to an Ez greater than 1.0, as described above.

natural ventilation The ASHRAE Users Manual indicates that an exceptional calculation method is not required for natural ventilation and
gives some further examples.
Perform sufficient analysis to document that loads can be met when credit is taken for passive cooling and natural
ventilation using a simulation tool capable of ensuring thermal conditions are met with natural ventilation. A simple load
calculation is not sufficient.
367
CoMMon issues WiTh enerGy ModelinG (ConTinued)

tablE 3 (continuEd). Common issues with energy modeling, by ASHRAE 90.1 section

service water heating

hot water demand Hot water demand savings from low-flow fixtures must be derived from WE Prerequisite or Credit Indoor Water Use
Reduction calculations.

lighting

lighting power Lighting power must be determined using the same categorization procedure (building area or space-by-space method) in
density, method both the proposed and baseline designs.

lighting power ASHRAE 90.12010 does not allow credit for lighting within dwelling units. Therefore, the lighting within these units must
density, multifamily be modeled identically in both cases unless an exceptional calculation method is pursued. If credit is attempted, the
lighting must meet prescribed illuminance levels. Refer to the ENERGY STARs Multifamily High Rise Program Simulation
Guidelines for examples.

lighting power Table G3.1.6 requires that the proposed lighting power include all components shown on the plans and be determined in
density, luminaire accordance with Sections 9.1.3 and 9.1.4. Ensure that the lighting calculations include all task lighting except where
wattage specifically exempted by ASHRAE 90.1 and that all power used by the luminaires, including lamps, ballasts, transformers,
and controls, is taken into account. For track and other flexible lighting systems, use the specified wattage of the
transformer supplying the system. The sum of lamp wattages will not necessarily meet the requirements of G3.1.6.

lighting power ASHRAE 90.1, Section 9.6.2, addresses the use of additional lighting power for decorative lighting, in retail areas, or when
density, additional additional controls have been installed.
lighting power Additional lighting is allowed only when using the space-by-space method and if it is installed and automatically
controlled, separately from the general lighting, to be turned off during nonbusiness hours.
Therefore, the general lighting system must be separate and capable of providing general illumination to the space, and
the additional lighting must have automated controls that shut it off during nonbusiness hours even when the general
lighting remains on.
In retail applications, a common mistake is that the lighting may not be used for any purpose other than to highlight the
merchandise.
Project teams can model the additional lighting power up to what has actually been designed, and no more; the baseline
building must be modeled equal to what has been designed or up to the lighting allowance from ASHRAE 90.1, Section
9.6.2, whichever is less (i.e., credit may not be taken for unclaimed additional lighting power).
Note that only the sales area can be used in the lighting power allowance. For example, do not use the entire project floor
area (which may include space with other purposes, such as checkout areas, corridors, or dressing rooms) to determine
the allowance.
ASHRAE 90.12010 now allows an additional lighting power allowance based on the application of additional controls and
using the control factors found in Table 9.6.2. This additional allowance may be used anywhere in the building and is based
on the total wattage in the given space to which the control method is being applied.
Unlike the retail allowance, this allowance is earned with the application of the control methods and may be added to the
baseline whether or not the project designs up to the full allowance.

automatic lighting ASHRAE 90.1, Table G3.1(g), indicates that only automatic lighting controls, such as occupancy sensors, that are in addition
controls to the required minimum control (Section 9.4.1) may be taken for credit.
One of the most common errors is taking credit for an occupancy sensor located in a conference room; this is already a
requirement of the baseline building. ASHRAE 90.12010 lists additional spaces that must have occupant sensors or timer
switches that automatically turn off lighting.
ASHRAE 90.12010 has added requirements for the lighting system and controls for buildings. Project teams are
encouraged to read the standard, the Users Manual, and the lighting compliance forms to ensure that all mandatory
measures have been met; these are prerequisites to LEED certification.

Exterior lighting Exterior lighting is divided into allowances for tradable and nontradable surfaces. No credit may be taken for lighting
reductions on nontradable surfaces. A lighting power allowance cannot be claimed in the baseline building for surfaces
that are not provided with lighting in the actual design, and lighting fixtures cannot be double-counted for different
exterior surfaces.

Energy rates

Energy rates Project teams must consistently use either actual utility rates or their states average energy prices, published by the U.S.
Department of Energys Energy Information Administration for commercial building customers. The sources may not be
mixed.

raTinG sysTeM variaTions


Core and Shell
Energy cost savings are based on a buildings total annual energy consumption, rather than on the owners scope of
work, so the owner of a core and shell project may have only a limited opportunity to improve energy
savings. The thresholds for the prerequisite are therefore adjusted from 5% to 2%.
In a typical core and shell building, the owner provides base-building HVAC, whereas the tenant often installs
light fixtures and other equipment. If the energy use of the base-building HVAC accounts for only a third of the
overall building energy use, the building owner must find sufficient savings within that third needed to meet the
prerequisite or require additional savings of the tenant in the lease agreement (see Further Explanation,
Common Issues in Energy Modeling).
Because the owner cannot control the effect of future improvements on the total energy consumption of the core
and shell project, for LEED energy modeling, items such as lighting or equipment loads for areas that are under the
tenants control must be identical in the proposed building and in the baseline, as specified by Appendix G. However,
projects can claim credit for energy reductions in tenant spaces if those reductions (such as lighting power density
reductions or improved HVAC efficiency) are required through a tenant lease agreement or other legally binding
document. For example, if a 20% reduction in lighting power density is required by the tenant lease agreement, those
savings can be claimed in the proposed model.
Zoning must be identical between the baseline and the proposed models. If HVAC zones are not defined in a
tenant space, energy modelers should follow ASHRAE 90.12010, Table G.3.1.8:
A typical rectangular floor plate must be composed of at least five zones: one perimeter zone for each
orientation and one interior zone.
Separately zone spaces such as mechanical rooms or bathrooms that can be confidently identified as differing
from typical tenant use.
To easily distinguish between energy use from owner and tenant spaces, projects must model separate electric
meters for tenant lighting and plug loads.

Retail
Option 1. For projects using whole-building energy simulation, include all relevant process loads in the
energy model and ensure that they are modeled accurately. Typical retail process loads include refrigeration
equipment, cooking and food preparation, ice machines, display lighting for merchandise, clothes washing, and other
major support appliances. Compare the energy consumption of each piece of equipment with the value indicated in
Appendix 3, Tables 14. If the item is not included and the project team wishes to take credit, the exceptional
calculation method must be followed.
For hard-wired refrigeration, the modeling software may be used if the system can be modeled explicitly.
Otherwise, a thermodynamically similar component model must be used, in accordance with Table G3.1.13. An
example of this would be an analysis prepared using 8760 hourly weather data.
For commercial kitchen equipment and refrigeration defined in Appendix 3, Tables 14, no additional
documentation is necessary to substantiate these predefined baseline systems as industry standard. Supporting
documentation is still needed to verify that the proposed equipment includes the claimed energy-efficient features.

Option 2. If the project team is using prescriptive compliance, ASHRAE 50% AEDG, and intends to earn points
under EA Credit Optimize Energy Performance, also comply with the prescriptive measures in Appendix 3, Tables 1
4, for 90% of total energy consumption for all process equipment.

Data Centers
The guidance in this section is geared toward dedicated data centers and is not applicable to server closets or other
small computer rooms. Mixed-use data centers, in which the data center takes up only a portion of the building space,
may use this information as the basis of an exceptional calculation method.
The power requirements and energy use of the IT equipment in a data center typically dwarf the energy use of the
cooling system and must be considered for optimizing energy use. The energy consumption of a data centers cooling
system typically ranges from 15% to 25% of its total energy use, whereas in other commercial buildings, the HVAC
energy consumption approaches 50% of the total energy consumption. 1

1. U.S. Department of Energy, 2011 Buildings Energy Data Book,


March 2012.
Data centers use special systems and equipment, such as large uninterruptible power supply (UPS), whose energy
efficiency requirements are not defined by ASHRAE 90.1. Some of these systems will cause inefficiencies that can
369
cascade through the power delivery chain, leading to increased energy usage in systems beyond those that support IT
and, in most cases, creating additional cooling loads.
Stipulations for equipment reliability and maintenance often result in redundant equipment and systems. And the
typical phased installation schedule for IT equipment (e.g., servers, storage, and networking gear) results in power and
cooling systems that operate at a fraction of the design load. To gain a more accurate understanding of energy usage,
teams should demonstrate the effects of partial-load conditions on the overall energy efficiency of the data center.

Modeling requirements
Energy modeling is required for all data center projects. As with other building types, projects must meet the
minimum percentage savings before taking credit for renewable energy systems. The energy models are used to
determine the data centers predicted power usage effectiveness (PUE) (see Power Usage Effectiveness,
below).
The PUE must be reported for two operating conditions: one assuming a fully fit-out data center with all
anticipated IT equipment, and one assuming the initial IT equipment loads in the project. This requires the project
team to submit the results of one additional energy model beyond the two required by ASHRAE 90.1, Appendix
G, for all data center projects.

IT equipment energy and electrical infrastructure energy savings


Because of the high process loads associated with IT equipment and its electrical infrastructure, many project
teams look to these traditionally unregulated energy end uses for energy savings. Though not required, if the
project team is attempting to claim energy savings from these end uses, the data center calculator may provide a
simplified method (see Data Center Calculator, below).
The reduced energy consumption of the IT and electrical equipment can help reduce HVAC energy usage.
Project teams have the option of claiming the process load savings in isolation or creating an additional energy
model based on the adjusted loads to capture the associated HVAC energy savings.
To determine total energy cost savings, it may be necessary to create more than just the three energy models
required. Below is a list of the models that may need to be created. The specific requirements of each model are
detailed below.
1. Proposed model with full IT loading (normal performance rating method, PRM, model)
2. Proposed model with initial IT loading
3. ASHRAE model with full IT loading (normal PRM model)
4. ASHRAE model with initial IT loading (optional)
5. ASHRAE model with baseline IT loading (optional)
Although 5% energy savings is still required to meet the prerequisite requirements, a minimum of 2% energy cost
savings must come from building systems, independent of IT equipment, and need to be demonstrated between
models 1 and 3 (model 2 is used for the initial loading PUE condition).
If the project team is claiming energy savings related to the IT systems, the total energy savings are calculated
between models 1 and 5. Alternatively, the project team may calculate the percentage savings based on the average
of the savings under full IT loading (model 1 and either model 3 or 5) and the savings under initial IT loading
(models 2 and 4). Although this is not required, it is intended to reward project teams for minimizing the losses
associated with operating redundant equipment at low partial loads during initial IT loading.

Proposed model with full IT loading (model 1)


The model of the buildings energy cost must include all regulated energy end uses as listed in the prerequisite
criteria, as well as any unregulated energy that is building-specific. The proposed design must use the IT loads
and schedule developed for the project. The IT loads should be at the values for the intended final buildout of the
facility. All electrical system componentsexamples include incoming transformers, switchgear, UPS systems,
and power distribution unitsmust be modeled. Power losses associated with this equipment should be assigned
to the spaces that house the equipment as an electrical load and as a thermal load input to the energy model.
Model the quantity of power and cooling equipment designed to run during normal operation to include the
effects of operating redundant equipment at partial loading on energy use.
In addition to the ASHRAE 90.1 mandatory compliance requirements, provide energy efficiency data for the
following items:
Generator block heaters (wattage required to keep the block at the design temperature)
Power distribution wiring
Battery charging
Submit documentation for the following items, showing efficiency data at initial and full system loading points
(loading values are a percentage of total IT load):
Service transformers
Switchgear
Uninterruptible power systems
Power distribution units

Proposed model with initial IT loading (model 2)


This model represents the proposed data center operating at its intended initial buildout. The proposed model with
initial IT loading should contain everything that is in the proposed model with full IT loading, with the following
modifications:
The proposed model with initial IT loading must use the IT loads and schedule as developed for the project, at
the expected initial loading of the data center.
All electrical system components that will be installed in the first phase of the data center must be modeled.
The losses associated with this equipment should be calculated based on their partial loading while taking into
account any redundant equipment. Use the USGBC data center calculator to help with the calculation of the
electrical losses for this equipment based on the partial loading conditions.
Model the quantity of power and cooling equipment designed to run during normal operation to include the effects
of operating redundant equipment at partial loading on energy use.

ASHRAE model with full IT loading (model 3)


For the baseline models, the air temperature at the inlet of the server should be within ASHRAEs recommended
values, from 80.6F (27C) dry bulb and 59.0 F (15C) dew point to 64.4F (18C) dry bulb and 41.9F (5.5C)
dew point, unless justification can be provided for an alternative minimum supply air temperature at the server
inlet. The baseline system airflow must be sized based on a 20F (approximately 11C) difference between the
supply air and the return air.

ASHRAE model with initial IT loading (model 4)


This model is necessary only if the project team is claiming savings for the efficiency of the electrical support
infrastructure when operating at low partial loads, as is common during initial startup. This model should be
very similar to the ASHRAE model with baseline IT loading (model 5), except that the IT loads are reduced
by the same percentage as in the proposed model with initial IT loading, and the losses due to the electrical
infrastructure are calculated based on this IT loading. The USGBC data center calculator can help with the
calculation of the electrical losses for this equipment based on the partial-load conditions.

ASHRAE model with baseline IT loading (model 5)


This model is used to calculate IT energy savings due to low-energy servers, virtualization, and efficient electrical
system design. In contrast to the standard application of exceptional calculation methods to the proposed model,
for data center projects, the exceptional calculation is applied to the baseline (model 3). Rather than reducing the
energy used in the proposed design, the baseline is increased to reflect the energy usage typical of a data center.
For IT equipment, the USGBC data center calculator provides baseline documentation; if used, additional
justification for the baseline IT loads is not necessary. IT equipment input is defined as the IT load as measured at
the point of connection of the IT device to the electrical power system. IT equipment input captures the actual
power load of the IT device exclusive of any power distribution losses and loads beyond IT devices, such as
rackmounted fans.
The losses associated with all UPS equipment, including that which serves mechanical equipment to achieve
continuous cooling during a loss of power (e.g., pumps, air-handling units, and compressors), is considered not
part of the IT energy usage but part of the energy consumption required to operate the data center.
If a hydronic cooling system is used for IT cabinets or computers, the energy consumed by the fans built into
the cabinet and coolant distribution pumps should be considered HVAC energy use, not IT energy use.

Data center calculator


371
The data center calculator provided by USGBC creates a representative IT energy baseline based on the proposed
design. The calculator consists of two main modules: one for the efficiency of the server equipment that comprises
the IT system and one for the efficiency of the electrical system that delivers power to the IT system.
The calculator provides values that can be used as inputs for the electrical system energy consumption and
heat loss for the proposed model with initial IT loading to calculate the initial PUE. The calculator generates the
following two sets of values that may be used to determine energy savings:
Annual energy consumption savings values, which can then be claimed directly, in isolation of any effects the
reduced electrical load would have on the HVAC system
Input values for the ASHRAE model with baseline IT loading and the ASHRAE model with initial IT
loading that can then be used during simulation
The calculators IT systems module compares energy use of a proposed IT equipment design with a predefined
baseline. The current calculator analyzes energy use of computer servers only. Mainframes, storage, and
networking equipment are not included in the overall energy demand calculation (as it relates to the reduction in
energy). To claim savings from other types of IT equipment, the exceptional calculation method must be used.
Based on the entered values for total IT load and percentage breakdowns, the calculator generates kilowatt
(kW) values for servers, storage, and networking equipment. The kW number for the servers, combined with the
server utilization and the average power draw of the server, is used to calculate the number of physical servers that
will be in the data center. Server power is based on ENERGY STARs Computer Server Qualified Product List. If
the number of physical servers and their power draw are known, enter these values.
Next, enter the percentage of servers that will host virtual machines in the data center and the average
consolidation ratio. This rate of virtualization is used to calculate the server utilization percentage and then
compared with a typical virtualization rate, which is used to calculate the number of servers in the baseline case.
Finally, indicate whether a power management strategy will be used. This input takes the percentage of
servers that can go into sleep mode and the percentage of the time those servers can be in sleep mode. With these
inputs, the calculator determines the energy demand for the IT system in kW and also generates the annual energy
use in kWh of both the baseline case and the proposed case.
If desired, the calculated server demand value for the baseline IT load can be entered into the ASHRAE
model, with baseline IT loading as the server demand in the data center. The baseline model should use the same
schedules as the proposed model.
The data center calculators electrical systems module uses the peak demand of the IT system to determine the
size and power draw of the equipment. Peak IT demand values are automatically imported from the IT systems
module. For the purposes of the calculator, the electrical system comprises the following elements:
Incoming utility service transformer
Uninterruptible power supply
Power distribution unit
Based on the topology selected by the user, some of the energy that flows through the component is lost as heat,
which must be included in the building energy model.
The heat loss differs at varying loads. Although it is important to benchmark operation at 100% load, it may
be more important to benchmark at partial loads because electrical and cooling equipment, especially legacy
equipment, will have much lower efficiencies at partial loads.
After determining the efficiency of the baseline electrical system, the calculator provides annual energy
consumption in kWh. If desired, the losses associated with the system can be assigned to the supporting
infrastructure rooms of the appropriate energy models.
Power usage effectiveness
PUE is the metric for characterizing and reporting the overall infrastructure efficiency of a building. Determine the
PUE value of the proposed design using Equation 2.2 This calculation should be performed twice: once for the
proposed initial loading model and once for the proposed model with full IT loading.

Equation 2. Power usage effectiveness


total data center energy consumption or
poweror power
PUE =

IT energy consumption

For example, if a facility uses 2,000,000 kWh of total energy, of which 1,600,000 kWh is attributable to IT
equipment, its PUE is as follows:

2,000,000 kWh

PUE = = 1.25
1,600,000 kWh

ProjeCT TyPe variaTions


Healthcare, Warehouses, and Laboratories
These projects are not eligible to pursue Option 3.

District Energy Systems


Projects that are served by district energy systems (DES) may demonstrate compliance with EA Prerequisite
Minimum Energy Performance and EA Credit Optimize Energy Performance by following one of the following
methods.
Option 1, Whole-Building Energy Simulation. The project team may choose Path 1 ASHRAE 90.1-10 Appendix
G, Path 2 Full DES performance accounting, or Path 3 Streamlined DES modeling. The modeling path chosen
by the project team may depend on the relative efficiency of the DES to which the project is connected, how
much DES information is available, or whether an energy model already exists for the system.
Option 2 Prescriptive Compliance: ASHRAE 50% AEDG, and Option 3 Prescriptive Compliance: Advanced
Buildings Core Performance Guide. The project team must include or exclude effects of upstream DES
equipment as specified in the applicable referenced standard for the selected option. If the referenced standard
does not specify either approach, the upstream effects must be excluded.

Scope of DES equipment inclusion


All downstream equipment must be included in the scope of EA Prerequisite Minimum Energy Performance and
EA Credit Optimize Energy Performance. Downstream equipment includes heat exchangers, steam pressure
reduction stations, pumps, valves, pipes, building electrical services, and controls. Upstream equipment is included
or excluded depending on the chosen option and path.

Energy simulation versus postprocessing


Whenever possible, incorporate system and equipment performance parameters directly into the energy simulation.
Potential methods include developing efficiency curves and scheduling equipment operation and curves.
Postprocessing of DES performance is acceptable if reasonable simulation methods are not available or are too
onerous. All postprocessing methodologies must be fully documented.
Option 1, Path 1. ASHRAE 90.12010, Appendix G
Model the proposed and baseline designs using purchased energy according to ASHRAE 90.12010, Appendix G.

2. Recommendations for Measuring and Reporting Overall Data Center


Efficiency, Version 2, Measuring PUE at Data Centers.
373
Energy rates
All virtual DES energy rates must be identical in the baseline and proposed cases. If tariffs or rates are not
available from the district plant serving the project, such as for campus or military plants, calculate the rates based
on the virtual electric and fossil fuel rates from the model.
If a flat rate structure, in which the cost per unit of energy is the same throughout the year and there are no
demand charges, is being used for all energy sources, then those flat rates become the virtual energy rates for the
project.
If all energy rate structures are not flat, a preliminary run of the Option 1 baseline case energy model must
first be completed to identify the virtual electric and fossil fuel rates for the project. For this preliminary run only,
the rate for the DES-supplied energy may be left blank or entered as any value.
Once all the virtual energy rates are known for electricity and fossil fuel, calculate the virtual DES rates for
both the baseline and proposed case per the values in the minimum energy performance calculator.
Exception: to obtain the virtual fuel rate when the connected building does not use fossil fuel but the DES
central plant does, use a flat rate consistent with the central plant rates or the historical average local market
rates. No preliminary model run is needed. Input the virtual DES rates into the modeling software for each DES
source and use for the remainder of the process. Alternatively, calculate the DES energy costs directly by
multiplying the DES energy consumption for each DES source by its virtual DES rate.
Option 1, Path 2. Full DES Performance Accounting
Path 2 is available to projects connected to DES that wish to account for average efficiency across a smaller time
step. The energy model scope accounts for both downstream equipment and upstream equipment and requires
calculation of the district energy average efficiencies using either modeling or monitoring.

Energy rates
All DES energy rates must be identical in both the baseline and the proposed cases. Use local rates as they would
normally apply to the building for the energy sources under consideration. For energy sources used by the DES but
not normally available to the building, such as diesel fuel, use the rates charged to the DES. If this information is
not available, use representative market rates.
Exception: For DES plants that operate under specific and atypical rate structures and actively take advantage
of those rates through strategies such as load management or energy storage, use the rate structures as they apply to
the DES.

Baseline building plant


Model the baseline case with an on-site plant that is compliant with ASHRAE 90.12010, Appendix G, baseline
requirements for site-generated thermal energy. Model the baseline building plant with conventional equipment
using performance parameters and efficiencies per ASHRAE 90.12010, using energy sources corresponding to
the DES.

Proposed building plant


Model the proposed case with a virtual DES-equivalent plant. Model a virtual plant with the same efficiencies as
the entire upstream DES heating, cooling, and combined heat and power (CHP) systems, including all distribution
losses and energy use. Equipment efficiencies, distribution losses, and distribution pumping energy may be
determined using any of the following methods:
Monitored data
Engineering analysis
Default values
Efficiencies and losses may be determined and modeled at any level of time resolution, from hourly to annual.
However, the time resolution must be sufficiently granular to capture and reasonably represent any significant
time- or load-dependent interactions between systems, such as thermal storage or CHP.
Monitoring and analytical methods may be combined as necessary and appropriate.
Monitoring data for heating, cooling, pumping, and cogeneration may be used only if the thermal loads
that are monitored represent at least 90% of the load on the campus or district plant predicted after building
occupancy.
Whether using monitoring or an analytical method, the methodologies must be fully documented. The
following specific requirements apply.
Heating and cooling plants
Efficiencies, whether determined through monitoring or analytically, must include all operational effects, such as
standby, equipment cycling, partial-load operation, internal pumping, and thermal losses.

Thermal distribution losses


Use monitored data or an engineering analysis.
Monitored data determine the distribution losses for the DES by measuring the total thermal energy leaving
the plant and comparing it with the total thermal energy used by the buildings connected to the DES. Rate the plant
efficiency accordingly in the energy model:


% plant efficiency { 100% - % distribution loss
An engineering analysis takes into consideration all distribution losses between the DES and the building. For
distribution main losses, use a prorated amount based on load. For dedicated branch losses, use the total losses of
the branch that feeds the building, including heat losses and steam trap losses. Compare the total losses with the
total load of the building to get a percentage distribution loss relative to load and downgrade the plants efficiency
accordingly in the energy model.

Pumping energy
Whether through monitored data or engineering analysis, determine pumping energy for the project by prorating
the total pump energy of the DES by the ratio of the annual thermal load of the building to the total annual DES
thermal load. Model the pump energy as auxiliary electrical load. Pumping energy must be determined or
estimated where it applies (i.e., there is no default value).

Default efficiencies and losses


Actual efficiency performance data on the DES serving the project building is preferred. If the project team cannot
obtain or determine the actual performance data, use the following default values. These values are conservative
and are intended to represent a DES with relatively low efficiency; a well-designed, well-operated DES generally
performs better.
DES heating plant: 70% (higher heating value, HHV) for the total boiler plant average efficiency
DES cooling plant: coefficient of performance (COP) of 4.4 for the total cooling plant average efficiency
(including cooling towers and primary pumps)
Thermal distribution losses including minor leaks or condensate losses:
Chilled water district cooling, 5%
Hot water district heating, 10%
Closed-loop steam systems, 15%
Open-loop steam systems, 25%
For steam systems that are partially open and partially closed, prorate between the above 15% and 25% losses
in accordance with the fraction of expected or actual condensate loss.
The above guidance assumes that DES-generated heat is used for heat in the connected building, and DES-
generated cooling is used for cooling in the connected building. If the DES produces heating that is then converted
to cooling for the connected building using absorption chillers or other similar technology, this guidance must be
modified (see CHP Modeling Guidance).
Option 1, Path 3. Streamlined DES Modeling
Path 3 is applicable for simple district energy systems. The energy model scope accounts for both downstream
equipment and upstream equipment and also requires calculation of the district energy average efficiencies using
either modeling or monitoring.
Energy rates
Use the streamlined DES modeling in the calculator provided by USGBC to allocate the energy costs to the results
of the model for each district energy source, in lieu of the purchased energy rates, to determine the baseline and
proposed case energy costs.

Baseline building plant


375
Calculate the average annual efficiency values for each district energy fuel source used to generate and distribute
the thermal energy based on ASHRAE 90.12010, Appendix G, baseline case requirements. These values depend
on the ASHRAE 90.12010 system type that would be selected for the building if the baseline case were modeled
with on-site equipment. The calculations for baseline cost per district energy source are the same as those for the
proposed case model, except that the average efficiency is constant.

Proposed building plant


Determine a single value for average annual efficiency, including thermal losses and distribution energy, for each
district fuel energy source used to generate and distribute the thermal energy. For example, for chilled water:

where
COST(CHW) = proposed case cost of chilled water
building

CHWbuilding = building energy model metered data for chilled water consumption
i = each fuel source used at the district plant to generate or distribute chilled water (e.g.
electricity, diesel oil)
= virtual energy rate for each fuel source (in $/unit energy). this should match the proposed case virtual
Cost i
energy rate for fuel sources present in the building, and should be supported by local energy tariffs for
fuel sources not present in the building.

= average efficiency calculated for each fuel source

COST(CHW)building = CHWbuilding ( Cost i i )

CHP Modeling Guidance


The baseline case is modeled as described in ASHRAE 90.1, Appendix G, and as summarized in the steps for each
path. The baseline model assumes separate production of electricity and thermal energy. Although not modeled as
CHP, the baseline case is charged with extra energy use for CHP energy accounting purposes in some situations.
The proposed case may be modeled in various ways.
The average electricity generation, fuel input, and heat recovery of the CHP must be determined, or the
defaults for electric and thermal efficiency (below) must be used in conjunction with capacity ratings of the
equipment.
Calculate annual electricity generation using one of the following methods:
Monitor the total annual gross electricity generation. Also monitor the total annual parasitic loads, such as
the annual electricity used for cooling the intake air for a turbine. Calculate the net annual electricity
generation by subtracting all parasitic loads from the annual gross electricity generated.
Model the generators in energy simulation software per Appendix G. Use peak electricity efficiencies and
generator curves that match the installed generators. Apply measured or estimated load profiles as process
loads to reflect the estimated total electric and thermal loads on the district energy CHP system. Use the
total energy generated and total fuel input from this analysis. Any parasitic loads must be included in the
analysis and subtracted from the annual electricity generation.
Calculate annual fuel input using one of the following methods:
Monitor the total annual fuel input to the generators.
Model the generators in energy simulation software per Appendix G. Use peak electricity efficiencies and
generator curves that match the installed generators.
Calculate waste heat recovery using one of the following methods:
Monitor the total waste heat recovered.
Model the generators in energy simulation software per Appendix G. Use peak electricity efficiencies and
generator curves that match the installed generators. Model the thermal equipment served by the CHP waste
heat, such as boilers and absorption chillers, using the installed equipment capacities, efficiencies, and
efficiency curves, and reflecting the total heating and cooling loads on the plant as a process load. Use the
energy modeling outputs to identify the total heat recovered.
For baseline CHP electricity output, follow the general procedures described in this section for the proposed
case, and adjust the results as follows depending on the results of the DES electricity allocation and the total
modeled electricity use of the building in the Path 2 or Path 3 proposed case, including the electricity
consumption of district plant equipment serving the building:
Scenario A. If the buildings allocation of CHP-generated electricity is less than or equal to its modeled
electricity consumption, no adjustment is necessary. The baseline building is charged with the energy used by
its (non-CHP) systems at market rates using standard procedures.
Scenario B. If the buildings allocation of CHP-generated electricity exceeds its modeled electricity
consumption, the amount of excess CHP electricity allocated to the building is considered process energy in
the energy model. Adjust the input fuel associated with this excess CHP electricity in the baseline case as
described in CHP fuel input.
For the proposed designs CHP electricity output, allocate the electricity generation to the building based on the
fraction of thermal loads to the building for the DES sources that use recovered waste heat. For each DES source
supplied to the building, determine the fraction of the recovered waste heat applied to that source as well as the
amount serving the project building. For relatively simple DES systems, in which the recovered waste heat is
used directly in the DES, and for which waste heat serves only heating loads in the connected buildings, use the
formula for simple systems:

CHP_ELECbldg(simple systems) = (Xheat BLDGheat) CHP_ELECtotal


where
CHP_ELECbldg =
= chP electricity generation allocated to building fraction of chP plants total production of waste heat
Xheat applied to the DEs directly fraction of total district heat provided to building total chP electricity
= generated at DEs plant
BLDGheat
=
CHP_ELECtotal
For CHP plants in which a portion of the recovered heat is used to drive absorption chillers that provide cooling
through a DES chilled-water loop, or a portion of the recovered heat is used for a third, separate district energy
source (e.g., if the building connects to both a steam loop and a hot-water loop), calculate the electricity generation
assigned to each building using the formula for heat recovery-driven chillers.

CHP_ELECbldg (heat recovery-driven chillers) = ( X BLDG ) + ( Y


heat heat ChW BLDGChW ) + (Z SouRCe BLDGSouRCe ) CHP_ELECtotal
where
CHP_ELECbldg = chP electricity generation allocated to building
Xheat = fraction of chP plants total production of waste heat applied to the DEs directly

BLDGheat = fraction of total district heat provided to building

YChW = fraction of chP plants total production of waste heat applied to producing
377
chilled water in DEs
fraction of total district chilled water provided to building fraction of third
BLDGChW = district energy source provided to building fraction of third district energy
= source provided to building total chP electricity generated at DEs plant
ZSouRCe
=
BLDGSouRCe
CHP_ELECtotal =
When modeling CHP fuel input, allocate the CHP input fuel to the project building based on a proration and
assignment of the total input fuel according to the results of the CHP electricity allocation described above for
CHP electricity output. Use the prevailing energy rates as they apply to the project. Any additional energy used by
the proposed design is also charged at market rates.
For the proposed case (all projects), calculate the CHP input fuel allocated to the building as follows:

fuel ( CHP_ELEC bldg )


Proposed BLDG = CHPfuel
CHP_ELECtotal

where

Proposed CHP_ELECbldg = proposed case chP input fuel allocated to building


CHP_ELECtotal = chP electricity generation allocated to building (from previous calculations)
CHPfuel = total chP electricity generated at DEs plant
CHP_ELECtotal = total chP fuel input for electricity generation at DEs plant
For the baseline (scenario B in CHP electricity output only): calculate the CHP input fuel allocated to the building
as follows:

fuel ( PROCESS_ELEC bldg )


Baseline BLDG = CHPfuel
CHP_ELECtotal

with

PROCESS_ELECbldg = CHP_ELECbldg - PROPOSED_ELEC bldg

where
Baseline BLDGfuel = baseline case chP input fuel charged to building

PROCESS_ELECbldg = amount of allocated chP electricity in excess of buildings modeled annual electricity
consumption (treated as process energy in model)
CHP_ELECtotal = total chP electricity generated at DEs plant
CHPfuel = total chP fuel input for electricity generation at DEs plant
CHP_ELECbldg = chP electricity generation allocated to building (from previous calculations)
PROPOSED_ = modeled electricity consumption for building from proposed case
ELECbldg
The model must include CHP generator default efficiencies. Actual efficiency performance data on the CHP
serving the project building is preferred, based on either ongoing operations (existing CHP) or design
specifications (new CHP). If the project team cannot obtain the actual performance data, use the following
default seasonal performance values. These values are conservative, intended to represent a CHP system with
relatively low efficiency. A well designed, maintained, and operating CHP system will generally offer better
performance than the defaults listed below.
Generator electrical efficiency, 22%
Generator thermal efficiency, 25%
Single-effect absorption chillers, 0.60 COP
Double-effect absorption chillers, 0.90 COP
Absorption cooling plant electrical efficiency, including cooling towers and primary pumps, 40 COP

Special Situations for DES Energy Models

Service water heating


If service water is heated in full or in part by DES-supplied heat, consider modeling the energy source as
purchased energy to hold the DES cost-neutral for service water heating. If desired, project teams using Path 2 or
Path 3 may use an exceptional calculation method to document DES-related savings from service water heating.
Project teams that elect to document savings must fully justify and support the annual energy consumption and
cost in both the baseline and the proposed models. Use a reasonable, well-founded purchased energy rate in the
models, such as the actual rate paid to the DES supplier or a virtual rate.

Heating converted to cooling


Sometimes the district or campus system heating energy supply is converted to chilled water using absorption
chillers or other similar technologies to serve cooling loads. In this circumstance, the equipment that converts
heating to cooling may reside within the DES itself, (i.e., DES provides cooling to the building) or within the
connected buildings (i.e., DES provides heating to the building; building converts heating to cooling). When the
equipment that converts DES-supplied heat into cooling is part of the LEED projects scope of work, the DES
guidance is modified for Option 1, Whole Building Simulation, as follows:
Model the district heating source servicing the chilled water generation equipment as follows:
For Path 1, use purchased heat in both the baseline and proposed cases.
For Path 2 or 3, use a virtual upstream DES plant for the proposed case and compare it with codecompliant
on-site equipment for the baseline case.
For Path 1, model absorption chillers in the baseline case as follows:
When the purchased heating is hot water with average supply temperatures below 300F (148.9C), the
chillers must be modeled as single-effect absorption chillers (0.7 COP).
When the purchased heating is steam or hot water with average temperatures greater than or equal to 300F
(148.9C), the chillers must be modeled as double-effect absorption chillers (1.0 COP).
If the building peak cooling load is less than 300 tons (1050 kW), model one water-cooled absorption
chiller.
If the building peak cooling load is between 300 tons (1050 kW) and 600 tons (2100 kW), model two
water-cooled absorption chillers, sized equally.
If the building peak cooling load is more than 600 tons (2100 kW), model a minimum of two water-cooled
absorption chillers, with chillers added such that no chiller is larger than 800 tons (2800 kW), all sized
equally.
For a project with both absorption chillers driven by purchased hot water and electric chillers on site, the
type and quantity of absorption chillers must be as identified above, and the type and quantity of electric
chillers must be as in Table G3.1.3.7 (or DX equipment as specified), but the total capacity ratio of electric
to absorption cooling must be identical to that of the proposed design.
For a project including both district chilled water and absorption chillers on-site driven by purchased
heating, the type and quantity of absorption chillers must be as identified above, and purchased cooling
must also be modeled in accordance with the district energy modeling guidance. However, the total
capacity ratio of the on-site cooling to purchased cooling must be identical to that of the proposed design.
Model the baseline case cooling towers, pumps, chilled water loop configurations, and loop temperature
controls as indicated in Appendix G.
379
Model the absorption chillers in the proposed case based on the as-designed type and capacity of chillers.

Other atypical systems


DES also often incorporate unconventional features, such as thermal storage, ground or surface water cooling, and
waste heat recovery. These features should be incorporated into the proposed virtual plant to the greatest extent
practical using the general principles presented in this guidance.

inTernaTional TiPs
Option 1. Whole-Building Energy Simulation. If ASHRAE 90.1 is not applicable, Option 1 requirements can be met
with a USGBC-approved equivalent standard.

All options. Consult ASHRAE/ASHRAE/IESNA Standard 90.12010, Appendices B and D, tofind the projects
climate zone. Use Table B-2 (Canada) or Table B-3 (International) if the location is listed. For locations not listed in
Table B-3, use Table B-4, along with the climate type definitions in Section B2, plus Appendix D to determine
climate zone. For example, a team working on a project in Beijing consults ANSI/ASHRAE/IESNA Standard 90.1
2010, Appendix B, to determine the appropriate climate zone. Table B-3 does not give a climate zone for Beijing.
The project team finds Beijing in Table D-3, which lists the values for heating degree-days to base 65F or 18C
(HDD65 or HDD18) as 5252, and cooling degree-days to base 50F or 10C (CDD50 or CDD10) as 4115. The team
uses these values to determine Beijings climate zone as defined in Appendix B, Section B2 and Table B-4.
Beijing is in a moist climate because its warmest month has a mean temperature higher than 72F (22.2C) and
is therefore too warm to be a marine climate, and annual rainfall data indicate that the city is not in a dry climate.
Finally, the project team uses the values found in Table D-2 for HDD65 (5252) and CDD50 (4115) in Table B-4
and determines that Beijing is in Zone 4A (mixed-humid) because the CDD50 value is 4500 or less, and the HDD65
value is between 3600 and 5400.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation option 1 option 2 option 3

Appendix G energy modeling inputs X

Input-output reports from modeling software X

Exceptional calculations (if applicable) X

Energy consumption and demand for each building end use and fuel type X

Fuels rates X

AEDG compliance tables X

Target Finder results, summary X

Confirmation that all aspects of CPG Sections 1 and 2 were met X


Building configuration analysis X

Building loads and mechanical system design capacity X

Insulation installation details X

Building envelope details X

Domestic hot water efficiency X

Narrative or calculations for CPG enhanced performance strategies X

Data center calculator (if applicable) X

Retail process energy calculator (if applicable) X

relaTed CrediT TiPs


EA Credit Optimize Energy Performance. Only Options 1 and 2 of this prerequisite allow the project team to
pursue the related credit. Developing an energy model that reduces load and establishes an energy savings goal in an
early phase will ensure that the project is eligible to earn points under the related credit for any energy cost savings
beyond this prerequisites minimum threshold. Consider the requirements for the related credit before initiating the
energy model to ensure that the project will meet the criteria for both this prerequisite and the related credit.
Integrative Process Credit. Project teams intending to pursue the related credit must create a concept model during
predesign to understand how various load reduction strategies affect a buildings energy use. The model will inform
the project teams approach to achieving this prerequisite through Option 1. The concept model should be prepared
during the schematic design phase, while the building orientation and form is still in early development, and before
undertaking a preliminary energy model.

EA Credit Demand Response. If the team is pursuing Option 1 of this prerequisite, the energy model can be used to
project the peak energy demand and timing. This will provide some insight into the potential energy demands and cost
savings when demand response is implemented.

EA Credit Renewable Energy Production. Consider renewable energy production for the project during early
design. Although renewables cannot be counted toward this prerequisite, they are a viable energy cost savings
measure that can achieve points for two related EA credits, Renewable Energy Production and Optimize Energy
Performance.

EA Credit Green Power and Carbon Offsets. If the team is pursuing Option 1 of this prerequisite, the energy model
output will be used to calculate the amount of green power required to meet the related credit requirements.

WE Prerequisite Indoor Water Use Reduction. For projects pursuing Option 1 of this prerequisite, hot water
demand savings from low-flow fixtures must be derived from the related prerequisites calculations.

EQ Prerequisite Minimum Indoor Air Quality Performance. For projects pursuing Option 1 of this prerequisite,
as-designed ventilation flow rates reported in the related prerequisite must correspond to the inputs in the proposed
energy model.

ChanGes froM leed 2009


Option 1. Whole Building Energy Simulation
ASHRAE 90.12010 replaces ASHRAE 90.1
2007.
381

Process energy is no longer required to make up 25% of overall building energy for the baseline and proposed
models.
Prerequisite compliance must now be achieved without accounting for the cost offset by site-generated
renewable energy.
For data centers, 2% of the required 5% energy cost reductions must come from building power and cooling
infrastructure energy use.

Option 2. ASHRAE 50% Advanced Energy Design Guide, and Option 3. Advanced Buildings Core
Performance Guide
For Option 2, the standard for compliance with the prerequisite has been changed from the 30% savings version
of the AEDG to the 50% savings version. This represents 50% expected savings over ASHRAE 90.1 2004.
For Options 2 and 3, the project must now comply with mandatory and prescriptive requirements of ASHRAE
90.12010 to achieve the prerequisite.

referenCed sTandards
ASHRAE 90.12010 and ASHRAE 90.12010 Users Manual: ashrae.org

ASHRAE 50% Advanced Energy Design Guides: ashrae.org

Advanced Buildings Core Performance Guide: advancedbuildings.net/core-performance

COMNET Commercial Buildings Energy Modeling Guidelines: comnet.org/mgp-manual


exeMPlary PerforManCe
Not available.

definiTions
baseline building performance the annual energy cost for a building design, used as a baseline for comparison with
above-standard design

combined heat and power an integrated system that captures the heat, otherwise unused, generated by a single fuel
source in the production of electrical power. Also known as cogeneration. (Adapted from U.S. Environmental
Protection Agency)

district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does not
include central energy systems that provide only electricity.

downstream equipment the heating and cooling systems, equipment, and controls located in the project building or
on the project site and associated with transporting the thermal energy of the district energy system (DES) into heated
and cooled spaces. Downstream equipment includes the thermal connection or interface with the DES, secondary
distribution systems in the building, and terminal units.

IT annual energy electricity consumption by information technology and telecom equipment which includes servers,
networking, and storage equipment over the course of a year

plug load or receptacle load the electrical current drawn by all equipment that is connected to the electrical system
via a wall outlet.

power distribution unit output the electrical power from a device that allocates power to and serves information
technology (IT) equipment. Power distribution unit (PDU) output does not include efficiency losses of any
transformation that occurs within the PDU, but it can include downstream non-IT ancillary devices installed in IT
racks, such as fans. If the PDU system supports non-IT equipment (e.g., computer room air-conditioning units,
computer room air handlers, in-row coolers), this equipment must be metered and subtracted from the PDU output
reading. The metering approach should be consistent with the metering required for the power usage efficiency (PUE)
category (e.g., continuous consumption metering for PUE categories 1, 2, and 3).

power utilization effectiveness (PUE) a measure of how efficiently a data center uses its power; specifically, how
much power is used by computing equipment rather than for cooling and other overhead

process energy power resources consumed in support of a manufacturing, industrial, or commercial process other
than conditioning spaces and maintaining comfort and amenities for building occupants of a building. It may include
refrigeration equipment, cooking and food preparation, clothes washing, and other major support appliances.
(ASHRAE)

process load or unregulated load the load on a building resulting from the consumption or release of process energy
(ASHRAE) regulated load any building end use that has either a mandatory or a prescriptive requirement in
ANSI/ASHRAE/IES Standard 90.12010

server input the information technology (IT) load as measured at the point of connection (e.g., power receptacle ) of
the IT device to the electrical power system. Server input captures the actual power load of the IT device exclusive of
any power distribution losses and non-IT loads (e.g., rack-mounted fans).
uninterruptible power supply (UPS) output the electricity provided by a unit that keeps information technology
(IT) equipment functioning during a power outage. UPS output does not include efficiency losses from the unit itself
but does include losses from downstream electrical distribution components, such as power distribution units, and it
may include non-IT ancillary devices installed in IT racks, such as fans. If the UPS system supports non-IT equipment
(e.g., computer room air-conditioning units, computer room air handlers, in-row coolers), this usage must be metered
and subtracted from the UPS output reading. The metering approach should be consistent with the metering required
for the power usage efficiency (PUE) category (e.g., continuous consumption metering for PUE categories 1, 2 and 3).

upstream equipment a heating or cooling system or control associated with the district energy system (DES) but not
part of the thermal connection or interface with the DES. Upstream equipment includes the thermal energy conversion
plant and all the transmission and distribution equipment associated with transporting the thermal energy to the
project building or site.
383
enerGy and aTMosPhere PrerequisiTe

Building-Level Energy
Metering
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to support energy management and identify opportunities for additional energy savings
by tracking building-level energy use.

requireMenTs
neW ConsTruCTion, sChools, reTail, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy, healThCare

Install new or use existing building-level energy meters, or submeters that can be aggregated to provide buildinglevel
data representing total building energy consumption (electricity, natural gas, chilled water, steam, fuel oil, propane,
biomass, etc). Utility-owned meters capable of aggregating building-level resource use are acceptable.
Commit to sharing with USGBC the resulting energy consumption data and electrical demand data (if metered)
for a five-year period beginning on the date the project accepts LEED certification. At a minimum, energy
consumption must be tracked at one-month intervals.
This commitment must carry forward for five years or until the building changes ownership or lessee.

Core and shell

Install new or use existing base building-level energy meters, or submeters that can be aggregated to provide base
building-level data representing total building energy consumption (electricity, natural gas, chilled water, steam, fuel
oil, propane, etc.). Utility-owned meters capable of aggregating base building-level resource use are acceptable.
Commit to sharing with USGBC the resulting energy consumption data and electrical demand data (if metered) for
a five-year period beginning on the date the project accepts LEED certification or typical occupancy, whichever
comes first. At a minimum, energy consumption must be tracked at one-month intervals.
This commitment must carry forward for five years or until the building changes ownership or lessee.
behind The inTenT
Whole-building metering lets building operators track energy consumption over time, illustrating variations in usage
patterns that can be used to develop energy conservation measures over the lifetime of the building. Once such
conservation measures are in place, metering then allows staff to track energy savings and used to justify additional
investments with calculable payback periods. Building operators gain detailed feedback, enabling them to precisely
calibrate operational parameters, depending on the needs of changing occupancy groups, while continuing to operate
building systems efficiently.
Disparities between how buildings are designed to operate and how they actually perform are common. Even
green buildings exhibit this gap between projected and actual performance. Numerous factors can explain the
incongruity: flaws with energy modeling, inadequate commissioning, inaccurate assumptions regarding occupants
behavior, lack of coordination during the transition from construction to operations, or the everyday operation of the
building systems. To reduce such disparities, USGBC collects and analyzes performance data, comparing building
385
performance across the LEED portfolio to identify common traits among high and low performers, then shares the
findings to help LEED registrants improve their buildings performance.

sTeP-by-sTeP GuidanCe

sTeP 1. idenTify all enerGy sourCes ThaT serve buildinG


identify all sources of energy delivered to the building. sources of energy that must be metered include all energy supplied by a utility
company or campus central plant, such as the following:
Electricity
natural gas, synthetic natural gas, propane, fuel oil, diesel fuel, other fossil fuels Biofuels
District chilled water, steam, and hot water this prerequisite does not require metering of locally generated sources of energy that
are dedicated to the project building, such as the following:
solar photovoltaicgenerated electricity
wind-generated electricity
solar hot water generation for domestic hot water or heating hot water

sTeP 2. deTerMine sCoPe of uTiliTy CoMPany MeTerinG


if all energy provided to the building is supplied by one or more utility companies and the utility meters provide monthly consumption
data, those meters meet the prerequisite requirements. however, the project team may have little influence on the location and
function of utility company meters, so the building owner should confirm the following with the utility company:
Location: where the meter will be located (e.g., inside the building, or under or above ground outside)
accessibility: how the building manager will reach the meter
Reporting: how the meter will be read (e.g., manually or via remote transmission) if the utility company restricts access to the
meter or uses proprietary remote reporting technology, the project team may meet the prerequisite requirements by tracking
energy usage through monthly billing. to collect more frequent or accurate data, the team may elect to install a private meter
downstream of the utility company meter.

sTeP 3. deTerMine nuMber, TyPe, and loCaTion of all MeTers


if the project is not served by a utility company, or if the project uses multiple sources of energy, additional meters may be required.
identify the location of primary building-level meters for each energy source. if the project shares utility meters with other buildings
or includes energy sources that are not metered by the supplier, install submeters that will provide the required data.
Projects may use a single meter at the utility entrance or multiple submeters that account for whole building energy use in aggregate
(see Further Explanation, Examples).
Example 1. An office building within an office park is directly served by the local electric utility, which has installed
a meter. The building receives monthly bills for the electricity consumed. The project meets the requirements for
electrical energy.

Example 2. The same office building receives chilled water from a central utility plant, which is owned and operated
by the office park management company. The office building pays a flat fee for chilled water, included as part of the
lease. The management company does not meter or invoice for actual chilled water consumption. To meet the
requirements for chilled water, the building must install a chilled water meter at each service point.
.

Example 3. A stand-alone data center building on a corporate campus receives electricity from a campus central
utility plant, and there are no meters at the electrical service entrances. The data center includes a sophisticated
realtime advanced energy monitoring and reporting system, comprising submeters on all end devices downstream of a
whole-building uninterruptable power supply (UPS) system backed up by diesel generators. The project meets the
requirements for electrical energy.

Example 4. An office building in the central business district of a large city shares a boiler system with another
building across the street. The building housing the boiler system sells steam to the other building, which pays for the
associated energy on a square-foot-prorated basis. To meet the requirements for steam, the building must install a
steam meter at each service point.
MeTer seleCTion
Utility-provided meters are typically regulated by code or law to establish their accuracy. Utility meters are often
called revenue-grade because their measurement results directly in a charge to the customer. However, the accuracy
of commercial meters and submeters available to building owners varies, and incorrect meter application or
installation can further affect measurement accuracy. Meter selection is an important component of this prerequisite
for owners to consider because of its implications for data quality.
Standards and regulations vary by location, and there is no single standard for revenue-grade accuracy (see
Referenced Standards). For building-level meters located at the fuel source point of entry, projects should aim to
provide meters that conform to one of the referenced resources or to a local law or regulation governing revenuegrade
387
metering, or are otherwise defensible as sufficiently accurate. For more information regarding system submeters, see
EA Credit Advanced Energy Metering.

MeTer loCaTion
For projects served by a utility, the utility generally owns the meter, so all energy required to power the building is
accounted for. If the meter is owned by the building, the best location for the purposes of determining building-level
energy consumption is generally at the point where energy enters the building.
The location of the meter affects whether conversion losses are included. Ideally, building-level measurement will
include losses from conversion and distribution of power within the building via transformer or heat exchangers. For
example, in a data center, the UPS is a point of power conversion, meaning the energy consumption metered at the
UPS output does not include conversion losses; therefore the meter should be located upstream of the UPS.

MeasureMenT inTervals
Projects with utility-owned energy meters may meet the monthly measurement requirement through one of two
strategies: either the utility provides monthly energy consumption data in the form of invoices or online reporting
tools, or building staff can read monthly cumulative energy usage directly from the meter.
Projects with owner-provided energy meters may meet the monthly measurement requirement through one of two
strategies: either data are collected through the building automation system or other energy-reporting software on a
monthly basis, or building staff can read monthly cumulative energy usage directly from the meter.

ProjeCT TyPe variaTions


District Energy Systems (DES)
This prerequisite is not applicable to upstream equipment. However, it is applicable to the energy source entering the
building produced by upstream equipment. Building-level metering does not need to account for inefficiencies of the
central plant or energy delivery methods.

Additions
If the original building has building-level meters and the additions energy use is fully covered by those meters, the
requirements of the prerequisite are met. If the original building is not metered, the project needs to install meters to
cover only the entirety of the additions energy use to meet the prerequisite requirements.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

documentation all projects

Confirmation of permanently installed meters X

Letter of commitment X

Confirmation of data sharing source X

relaTed CrediT TiPs


EA Credit Advanced Energy Metering. The advanced metering credit expands on the requirements of this
prerequisite by requiring building-level energy meters to have advanced capabilities; the credit also includes
additional submetering requirements. An early decision on whether to pursue the credit will help inform prerequisite
compliance.

EA Credit Enhanced Commissioning Option 1, Path 2. Data gathered from the metering system will help the
commissioning authority during the evaluation of energy and water performance.

ChanGes froM leed 2009


This prerequisite is new.
Minimum program requirements: The ongoing energy tracking and reporting components were previously
required under MPR 6 for all LEED 2009 projects.

referenCed sTandards
Electricity. American National Standards Institute, ANSI C12.20, Class 0.2 ( 0.2): ansi.org

Natural gas. American National Standards Institute, ANSI B109: ansi.org

Thermal energy (Btu meter or heat meter). EN Standard, EN-1434: cen.eu

exeMPlary PerforManCe
Not available.
definiTions
district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does not
include central energy systems that provide only electricity.

revenue-grade meter a measurement tool designed to meet strict accuracy standards required by code or law. Utility
meters are often called revenue grade because their measurement directly results in a charge to the customer.

upstream equipment a heating or cooling system or control associated with the district energy system (DES) but not
part of the thermal connection or interface with the DES. Upstream equipment includes the thermal energy conversion
plant and all the transmission and distribution equipment associated with transporting the thermal energy to the
project building or site.
389
enerGy and aTMosPhere PrerequisiTe

fundamental
Refrigerant Management
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT to reduce stratospheric ozone depletion.

requireMenTs
Do not use chlorofluorocarbon (CFC)-based refrigerants in new heating, ventilating, air-conditioning, and
refrigeration (HVAC&R) systems. When reusing existing HVAC&R equipment, complete a comprehensive CFC
phase-out conversion before project completion. Phase-out plans extending beyond the project completion date will
be considered on their merits.
Existing small HVAC&R units (defined as containing less than 0.5 pound [225 grams] of refrigerant) and other
equipment, such as standard refrigerators, small water coolers, and any other equipment that contains less than 0.5
pound (225 grams) of refrigerant, are exempt.
refrigeration. However, CFCs may still be used in previously installed HVAC equipment.

/
391

If all CFC-based equipment cannot be replaced or retrofitted before the projects completion, adopt a CFC phaseout
plan with a schedule. Develop a narrative that describes the circumstances that prevent CFC phaseout before the
project concludes. Consider obtaining preapproval for a postoccupancy phase-out plan before submission for
certification.

MiniMiZinG refriGeranT leakaGe


When CFC-containing equipment is retained, project teams must adhere to the U.S. Environmental Protection Agency
Clean Air Act, Title VI, Section 608 (or local equivalent for projects outside the U.S.) to minimize leakage in the
building. Apply the following best practices in addition to the requirements of Section 608 (or local equivalent):
Require that the maximum amount of ozone-depleting compounds (including both CFCs and HCFCs) are
recycled during the servicing and disposal of air-conditioning and refrigeration equipment.
Set certification requirements for recycling and recovery equipment and technicians, and prohibit the sale of
refrigerants to uncertified technicians.
Require those who service or dispose of air-conditioning and refrigeration equipment to confirm with EPA (or
the authority having jurisdiction for projects outside the U.S.) that they have acquired recycling or recovery
equipment and are complying with the requirements of the rule.
Require the repair of substantial leaks in air-conditioning and refrigeration equipment with a charge of greater
than 50 pounds (23 kilograms).
Establish safe disposal requirements to ensure removal of refrigerants from goods that enter the waste stream
with the charge intact (e.g., refrigerators, room air-conditioners).
Prohibit individuals from knowingly venting ozone-depleting compounds that are used as refrigerants (generally
CFCs and HCFCs) into the atmosphere while maintaining, servicing, repairing, or disposing of airconditioning
or refrigeration equipment (including appliances).

ProjeCT TyPe variaTions


District Energy Systems (DES)
All applicable downstream equipment must meet the prerequisite requirements. Either all applicable upstream
systems must be CFC-free, or a commitment must be in place to phase out CFC-based refrigerants with a firm
timeline of five years from substantial completion of the LEED project. Before phaseout, reduce annual leakage of
CFC-based refrigerants to 5% or less, following EPA Clean Air Act, Title VI, Rule 608 procedures governing
refrigerant management and reporting (or a local equivalent for projects outside the U.S.).

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Eligible.
required doCuMenTaTion
documentation all equipment Phaseout required

Equipment type X

Refrigerant type X

CFC conversion or replacement plan X


Refrigerant leakage rate, quantity X

X
Phase-out completion date
Confirmation that no new or existing equipment contains CFCs X

relaTed CrediT TiPs


EA Credit Enhanced Refrigerant Management. Selecting equipment that has low ozone depletion potential (ODP)
and global warming potential (GWP), as well as no CFCs, will help achieve the related credit.

EA Credit Optimize Energy Performance. Alternatives to CFC and HCFC refrigerants, such as HFC-410A, have
lower refrigerant impacts but may require higher levels of energy use. Some energy-efficient systems, like variable
refrigerant flow (VRF), may increase the overall refrigerant impact because of the relatively higher amount of
refrigerants their operation requires.

ChanGes froM leed 2009


None.

referenCed sTandards
U.S. EPA Clean Air Act, Title VI, Section 608, Refrigerant Recycling Rule: epa.gov/air/caa/

exeMPlary PerforManCe
Not available.

definiTions
chlorofluorocarbon (CFC)-based refrigerant a fluid, containing hydrocarbons, that absorbs heat from a reservoir at
low temperatures and rejects heat at higher temperatures. When emitted into the atmosphere, CFCs cause depletion of
the stratospheric ozone layer.

downstream equipment the heating and cooling systems, equipment, and controls located in the project building or
on the project site and associated with transporting the thermal energy of the district energy system (DES) into heated
and cooled spaces. Downstream equipment includes the thermal connection or interface with the DES, secondary
distribution systems in the building, and terminal units.
upstream equipment a heating or cooling system or control associated with the district energy system (DES) but not
part of the thermal connection or interface with the DES. Upstream equipment includes the thermal energy conversion
plant and all the transmission and distribution equipment associated with transporting the thermal energy to the
project building or site.
393
enerGy and aTMosPhere CrediT

Enhanced commissioning
this credit applies to:
new Construction (2-6 points) data Centers (2-6 points)
Core and shell (2-6 points) Warehouses and distribution Centers (2-6 points) schools (2-6 points)
hospitality (2-6 points) retail (2-6 points) healthcare (2-6 points)

inTenT

to further support the design, construction, and eventual operation of a project that
meets the owners project requirements for energy, water, indoor environmental quality,
and durability.

requireMenTs
Implement, or have in place a contract to implement, the following commissioning process activities in addition to
those required under EA Prerequisite Fundamental Commissioning and Verification.

Commissioning authority
The CxA must have documented commissioning process experience on at least two building projects
with a similar scope of work. The experience must extend from early design phase through at least 10
months of occupancy;
The CxA may be a qualified employee of the owner, an independent consultant, or a disinterested
subcontractor of the design team.

oPTion 1. enhanCed sysTeMs CoMMissioninG (3-4 PoinTs)

Path 1: Enhanced Commissioning (3 points)


Complete the following commissioning process (CxP) activities for mechanical, electrical, plumbing, and renewable
energy systems and assemblies in accordance with ASHRAE Guideline 02005 and ASHRAE Guideline 1.12007
for HVAC&R systems, as they relate to energy, water, indoor environmental quality, and durability.
The commissioning authority must do the following:
Review contractor submittals.
Verify inclusion of systems manual requirements in construction documents.
Verify inclusion of operator and occupant training requirements in construction documents.
Verify systems manual updates and delivery.
Verify operator and occupant training delivery and effectiveness.
Verify seasonal testing.
Review building operations 10 months after substantial completion.
Develop an on-going commissioning plan.

Include all enhanced commissioning tasks in the OPR and BOD.


or
395
Path 2: Enhanced and Monitoring-Based Commissioning (4 points) Achieve

Path 1.

and

Develop monitoring-based procedures and identify points to be measured and evaluated to assess performance of
energy- and water-consuming systems.

Include the procedures and measurement points in the commissioning plan. Address the following:
roles and responsibilities;
measurement requirements (meters, points, metering systems, data access);
the points to be tracked, with frequency and duration for trend monitoring;
the limits of acceptable values for tracked points and metered values (where appropriate, predictive algorithms
may be used to compare ideal values with actual values);
the elements used to evaluate performance, including conflict between systems, out-of-sequence operation of
systems components, and energy and water usage profiles;
an action plan for identifying and correcting operational errors and deficiencies;
training to prevent errors;
planning for repairs needed to maintain performance; and
the frequency of analyses in the first year of occupancy (at least quarterly).

Update the systems manual with any modifications or new settings, and give the reason for any modifications from
the original design.
and/or

oPTion 2. enveloPe CoMMissioninG (2 PoinTs)

Fulfill the requirements in EA Prerequisite Fundamental Commissioning and Verification as they apply to the
buildings thermal envelope in addition to mechanical and electrical systems and assemblies.
Complete the following commissioning process (CxP) activities for the buildings thermal envelope in accordance
with ASHRAE Guideline 02005 and the National Institute of Building Sciences (NIBS) Guideline 32012, Exterior
Enclosure Technical Requirements for the Commissioning Process, as they relate to energy, water, indoor
environmental quality, and durability.

Commissioning authority must complete the following:


Review contractor submittals.
Verify inclusion of systems manual requirements in construction documents.
Verify inclusion of operator and occupant training requirements in construction documents.
Verify systems manual updates and delivery.
Verify operator and occupant training delivery and effectiveness.
Verify seasonal testing.
Review building operations 10 months after substantial completion.
Develop an on-going commissioning plan.
daTa CenTers only

Projects that select Option 1 must complete the following commissioning process.

For small projects with peak cooling loads less than 2,000,000 Btu/h (600 kW), or a total computer room peak
cooling load less than 600,000 Btu/h (175 kW), the CxA must perform the following activities:
conduct at least one commissioning verification review of the owners project requirements, basis of design,
and design documents before mid-construction documents development;
back-check the review comments in all subsequent design submissions; and
conduct an additional full verification review at 95% completion of the design documents and basis of design.

For projects with peak cooling loads 2,000,000 Btu/h (600 kW) or more, or a total computer room peak cooling load
600,000 Btu/h (175 kW) or more, the CxA must conduct at least three verification reviews of the basis of design:
one verification review of design documents before the start of design development;
one verification review of design documents before midconstruction documents; and
one final verification review of 100% complete design documents, verifying achievement of the owners project
requirements and adjudication of previous review comments.
390

behind The inTenT


Enhanced commissioning is a natural extension of the fundamental commissioning (Cx) process. It provides
owners, via the commissioning authority (CxA), further oversight and verification that the building will meet
their expectations and requirements beyond the first day of occupancy. Enhanced commissioning gives the CxA
the power to act as the owners advocate by conducting in-depth reviews of the basis of design, design
documents, and construction submittals. Training and a postconstruction verification visit are some of the
enhancements that contribute to ongoing quality building control and operations.
The CxA may make additions to the Cx plan to verify that the building operators will have the proper tools to
manage the buildings equipment efficiently and effectively. Monitoring-based commissioning (MBCx) gives the
building owner, operators, and the CxA a continual stream of information that helps them identify operational
issues as they occur, thereby saving time, money, and energy consumption over the lifetime of the building.
A second option in this prerequisite is building envelope commissioning (BECx) to test and verify the
buildings thermal envelope, achieving better building performance and less energy expenditure over its lifetime.
Adding envelope commissioning ensures not only that active energy-consuming systems are considered but also
that passive load-defining envelope systems are understood and verified. Early introduction of BECx helps meet
an owners requirements for envelope performance through the review of design documents and contractor
submittals. Such actions can help prevent problems with envelope design and construction that would be costly
or impossible to address after construction. Additional benefits of BECx include improving occupants comfort
through glare control, infiltration testing, and reduced solar heat gain.

sTeP-by-sTeP GuidanCe
398

sTeP 1. seleCT one or boTh oPTions


use input from the cxa and the project team and select one or both options. Review the building type, the assumed
occupancy type, and the project goals and scope. the team should be familiar with the credit requirements so that any gaps
in scope or skill can be addressed (see Further Explanation, Planning the Cx Process and Choosing an Appropriate
CxA). option 1 has two compliance paths.
Path 1, Enhanced commissioning
Path 2, Enhanced and Monitoring-Based commissioning. this is often appropriate for projects that are energy-intensive
and will benefit from real-time data and the ability to track trends. the additional first costs may be offset by
maintaining the proper energy usage over time.
option 2 is beneficial for most projects but especially for those that are envelope dominated, located in an extreme climate or
microclimate, or subject to potential leakage or infiltration of contaminants.

sTeP 2. uPdaTe doCuMenTs To inClude enhanCed Cx aCTiviTies


Project documents should reflect the enhanced commissioning activities included in the project scope.
update the owners project requirements (oPR), basis of design (BoD), and cx plan (see Further Explanation, Enhanced
Commissioning Plan).
the cxa must ensure that the oPR, the BoD, and the cx plan include all additional commissioning activities that will be conducted
throughout the design and construction phases of the project.

option 1, Path 1. enhanced systems Commissioning


sTeP 1. develoP sysTeMs Manual sCoPe and forMaT
During the design development phase, outline the scope and format for the project systems manual to include all the
information necessary to operate, maintain, and recommission all energy-consuming systems within the building.
399

.
400
training is required to ensure that the buildings operating staff is fully knowledgeable about operating the equipment and
systems. typically, it is provided by the equipment manufacturer, general contractor, or subcontractors.
a good training program covers all new hVac&R equipment and associated controls as well as monitoring equipment and
software (if option 1, Path 2 is pursued).
it is recommended that the training cover all operating scenarios to help the building engineering team understand the most
effective and efficient way to operate the building.
as outlined in ashRaE Guideline 02005, a robust training program will address the following:
Emergency instructions and procedures
operation instructions and procedures
troubleshooting procedures
Maintenance and inspection procedures
Repair procedures
upkeep of the systems manual and associated maintenance documentation logs

sTeP 6. deliver PosTConsTruCTion doCuMenTs


complete and deliver the necessary operating documents and reports to the owner before building occupancy to ensure a
smooth transition from construction to operation. the project cxa must confirm delivery, and the final package must include
the following:
up-to-date systems manual, including operations and maintenance manuals for all commissioned equipment
Documentation of operator training on all commissioned systems
completed functional performance test reports
up-to-date issues log detailing closed and open issues
updated cx plan that outlines commissioning completed to date, plan for seasonal testing, plan for 10-month operational
review, and plan for addressing open issues identified after the initial round of commissioning.

sTeP 7. PerforM seasonal TesTinG, if required


Determine whether seasonal testing will be necessary, based on the project schedule.
Both projects that reach substantial completion during peak heating or cooling months and projects that are occupied and
operational before all equipment has been installed must create cx plans and complete all necessary tests.
the project cxa must be involved in seasonal testing, even if it occurs after the project is completed.
the results of seasonal testing and the issues log must be included in the final commissioning report (preferred) or issued as an
addendum to the owner.

sTeP 8. revieW buildinG oPeraTions 10 MonThs afTer subsTanTial CoMPleTion


Perform the 10-month review of building operations after substantial completion to ensure that the building is being operated
according to the owners requirements. the 10-month review may include the following:
interviews with the operations and maintenance staff
interviews with occupants
status of outstanding commissioning-related issues
comparison of current operations with the operations and maintenance plan that was documented as part of Ea Prerequisite
fundamental commissioning
follow-up functional performance testing, when required
trends in building operations, as indicated by the building automation system, system submeters, or whole-building utility
meters

sTeP 9. develoP onGoinG Cx Plan


Before or as part of the 10-month review of building operations, the cxa must issue an ongoing commissioning plan. the plan
should provide the buildings operating staff with procedures, blank test scripts, and a schedule for ongoing cx activities. it
may be executed either by the building operators, in addition to their normal preventive maintenance activities, or by an
independent cxa (see Further Explanation, Ongoing Commissioning Basics).
the plan must include the following:
Definition of the ongoing commissioning process
393

Defined roles and responsibilities


Recommended schedule for recommissioning as-built systems
continuous documentation and updating of building operating plan and current facility requirements throughout the buildings lifetime
Blank testing materials, including functional performance tests for all commissioned as-built systems in the building, as well as an
issues log
Direction for testing new and retrofitted equipment

option 1, Path 2. enhanced and Monitoring-based Commissioning


sTeP 1. aChieve oPTion 1, PaTh 1
Ensure that the requirements for Path 1 have been met.

sTeP 2. uPdaTe Cx Plan To inClude MoniTorinG-based CoMMissioninG (MbCx) requireMenTs


During the design development phase, incorporate the MBcx requirements and activities into the projects cx plan
(see Further Explanation, Monitoring-Based Commissioning Basics).
Define analysis procedures, including frequency during year one.
outline the evaluation process and determine the procedure for handling system conflicts, usage profiles, and out-of-sequence
operations.
include preventive planning and maintenance procedures necessary to meet performance goals.
Determine measurement requirements and decide whether predictive algorithms can be used in conjunction with metered points.

sTeP 3. ConfirM ThaT MbCx is fully inCorPoraTed inTo enhanCed Cx


Ensure that requirements for MBcx are included in all commissioning documents. items to look for may include the following:
owners requirements, such as specific trends to track, reflected accurately in the engineers BoD
402

Metering and monitoring required for MBcx, included in the BoD


single-line or riser diagrams for location of building and system meters
controls sequences for specification of appropriate monitoring points
cx specifications for contractors and building operators
submittal reviews of meters, energy analysis software, and drawings of controls for compliance with the owners MBcx
metering and monitoring requirements
creation and completion of prefunctional tests for MBcx-related equipment, such as meters and energy analysis software
programs, by the cxa and contractors
MBcx operator education regarding measurement techniques, energy analysis software tools, fault detection and fault resolution, all
incorporated into training requirements

sTeP 4. iMPleMenT MbCx Plan


Execute, concurrently whenever possible, MBcx monitoring and analysis with the functional performance testing completed for Ea
Prerequisite fundamental commissioning.
the equipment and tools required for MBcx must be installed, and the electrical and controls contractor should submit
construction checklists for review by the cxa. the benefits of implementing MBcx functional testing after construction but before
occupancy include the following:
More robust documentation of functional performance tests
Verification that the energy meters and monitoring points have been properly installed and programmed
cxa oversight of monitoring procedures and energy analysis, to ensure that the owners requirements for ongoing monitoring are
executed correctly
Verification that energy analysis software tools, if installed, are appropriately identifying faults and producing the correct reports
it is recommended that the cxa confirm execution of the MBcx commissioning plan during the 10-month review. confirmation
of execution includes the following: Review of metering and trend logs
403

PlanninG The CoMMissioninG ProCess


Table 1 outlines the tasks required to meet the intent of EA Prerequisite Fundamental Commissioning and
404
Verification, EA Credit Enhanced Commissioning, Option 1 Path 1, Option 1 Path 2, and Option 2, as well as
suggested timing.
tablE 1. (continuEd) Commissioning activities

Enhanced
Phase cx task responsible party cx cx Mbcx bEcx

documents Prepare systems manual CxA, owner X X X


outline

Include monitoring CxA, owner X


requirements, equipment

Include envelope requirements CxA, owner X

Document training CxA, owner X X X


requirements

Update OPR and BOD as CxA, owner, design X X X X


necessary team

construction documents Issue Cx specifications for CxA X X X X


inclusion in bid/permit
documents

Include enhanced Cx CxA X X X


requirements

Include monitoring-based Cx CxA X


requirements

Include envelope based Cx CxA X


requirements

Update OPR and BOD as CxA, owner, design X X X X


necessary team

Conduct design review CxA, design team X X X X


(recommended)

construction Update OPR and BOD as CxA, owner, design X X X X


necessary team

Perform prefunctional CxA X X X X


inspections

Complete submittal reviews CxA X X X


concurrently with or before
acceptance by design team

Update OPR, BOD, Cx plan and CxA X X X X


systems manual as necessary

Issue owners training CxA to contractor X X X


requirements

Issue construction checklists CxA X X X X

Issue functional performance CxA, contractor X X X X


test scripts for contractor
review

Issue/review verified TAB Contractor, CxA X X X X


report
405
Issue/review completed Contractor, CxA X X X X
construction checklists

Execute functional CxA, contractor X X X X


performance tests

Document issues in issues log CxA X X X X

Compile final systems manual CxA X X X


406

tablE 1. (continuEd) Commissioning activities

Enhanced
Phase cx task responsible party cx cx Mbcx bEcx

construction Complete final commissioning CxA X X X X


report

Verify training plan has been CxA, contractor, X X X


implemented building operators

occupancy and operations Complete Cx report CxA X X X X

Compile operations and CxA X X X X


maintenance plan

Compile final systems manual CxA X X X

Perform seasonal testing CxA, contractor, X X X


building operators

Perform 10-month review CxA, contractor, X X X


building operators

Develop ongoing Cx plan CxA, building operators X X X

BECx = building envelope commissioning process


BOD = basis of design
Cx = commissioning process
CxA = commissioning authority
MBCx = monitoring-based commissioning process
OPR = owners project requirements

ChoosinG an aPProPriaTe Cxa


Review the guidance on qualifications for commissioning authorities in EA Prerequisite Fundamental
Commissioning, including Table 1, Who can be the CxA? The following points also apply:
Different CxAs can be engaged to complete the fundamental, enhanced, monitoring, or envelope
portions of the commissioning scope. However, one CxA must oversee and coordinate all activities and
deliverables provided by the commissioning team.
The CxAs can be employees of the same company or employees of separate firms, provided they all meet
the basic requirements for the task to which they are assigned.
Not all CxAs are qualified to perform all aspects and types of commissioning activities. For example,
HVAC&R commissioning specialists may not have the experience or equipment to commission building
envelopes in accordance with the NIBS guideline. The owner and the design team must carefully review
the qualifications of all potential CxAs.

enhanCed CoMMissioninG Plan


The CxA develops the commissioning plan with input from the project team. Updates during the design and
construction process are the primary responsibility of the CxA. A sample table of contents for the enhanced
commissioning plan is provided in ASHRAE Guideline 02005, Informative Annex G, Commissioning Plan.
The recommended components of the commissioning plan are the following:
Commissioning program overview
Goals and objectives
General project information
Scope of commissioning
Systems (Option 1, Path 1)
Monitoring, which may include points, meters, and trending logs (Option 1, Path 2)
407
Envelope (Option 2)
Commissioning team
Team members, roles, and responsibilities
Communication protocol, coordination, meetings, and management
Commissioning process activities
Reviewing the OPR
Reviewing the BOD
Documenting the systems commissioning review process (Option 1, Path 1)
Documenting the monitoring-based commissioning review process (Option 1, Path 2)
Documenting the envelope commissioning review process (Option 2)
Developing the systems manual
Developing systems functional test procedures documentation
Verifying system performance via functional performance testing
Reporting deficiencies and the resolution process: monitoring system analysis (Option 1, Path 2) must
be conducted at least quarterly on an ongoing basis during occupancy.
Verifying the training of operations personnel: monitoring system training (Option 1, Path 2) must be
conducted on an ongoing during building occupancy.
Reviewing building operation after 10 months of operations

onGoinG CoMMissioninG basiCs


Ongoing Cx, an extension of enhanced Cx process, is essentially a repetition of the functional performance
testing and reporting procedures that occurred immediately after construction, during the initial occupancy and
operations phase. Ongoing testing is required to ensure that the building continues to perform according to the
OPR, BOD, and approved design and construction documents. The commissioning activities should occur
approximately twice a year, to correspond with the summer and winter seasons. Those who conduct the Cx
activities should use the functional performance tests and issues log templates provided as part of the original
Cx report.
Ongoing Cx activities can be conducted either by in-house operating staff (in addition to their normal
preventive maintenance activities) or by a third-party CxA who is responsible for all testing and issues reporting.
Using the operating staff to perform the functional performance tests may be beneficial to their understanding of
the building operations. However, as the facility requirements change or as systems are retrofitted over the
lifetime of the building, a CxA may need to be retained to ensure all test scripts and procedures are up to date
and properly documented.

MoniTorinG-based CoMMissioninG basiCs


Monitoring-based commissioning is the integration of three components: permanent energy monitoring systems,
real-time energy analysis, and ongoing commissioning. Ongoing Cx is a component of MBCx but should not be
confused with it. When executed independently or without MBCx capabilities, ongoing Cx is a process of
discrete functional performance testing and reporting over the lifetime of a building. In comparison, MBCx is an
ongoing performance analysis of an operational building that provides real-time equipment performance
information to the building operators. In other words, MBCx allows the user to track energy consumption, detect
faulty equipment operations, and identify unusual energy or power consumption patterns as they occur.
MBCx can be accomplished via systems submetering, operational points trending, and real-time analyses,
such as fault detection and sequence verification. The real-time analyses can be performed by either a service
provider or an on-site energy manager who uses software to monitor data from building meters and the building
automation system.

Additions to the commissioning plan may include the following:


Roles and responsibilities for maintaining an MBCx plan throughout the first year of
occupancy Monitoring requirements
Meters and meter locations
Points to be tracked
408
Frequency and duration of trend monitoring
Software
Hardware
Data access
Limits of acceptable values for tracked points and metered values
Specification of fault diagnostics or predictive algorithms for tracked points and metered values, if
appropriate Elements used to evaluate performance, including the following:
Conflict between systems, such as simultaneous heating and cooling
Out-of-sequence operation of systems components
Unexpected energy and water usage profiles
Action plan for identifying and correcting operational errors and deficiencies, including the ongoing
documentation of an issues log
Ongoing operator and occupant training to prevent errors
Planning ongoing monitoring device calibration to maintain performance
Frequency of analyses in the first year of occupancy (at least quarterly)

MBCx is most cost-effective when the metering and energy analysis software are integrated into the initial
design of a building.

bridGinG The GaP beTWeen leed bd+C and leed o+M


Much of the documentation created for EA Prerequisite Fundamental Commissioning, EA Credit Enhanced
Commissioning, and the LEED certification process in general can be the basis for documenting compliance for
LEED O+M, particularly EA Prerequisite Existing Building Best Management Practices, EA Credit Existing
Building Commissioning, Analysis, EA Credit Existing Building Commissioning, Implementation, and EA
Credit Ongoing Commissioning.
Table 2 identifies which documents created during a buildings design and construction phases can be
adapted and integrated into an ongoing building management plan.

tablE 2. Comparison of LEED BD+C and LEED O+M documentation

lEEd bd+c document lEEd o+M document Example components

owners project requirements Current facility requirements Building occupancy schedule


Lighting level requirements
Space use requirements

systems manual Operations and maintenance plan Sequence of operation


Preventive maintenance plan
HVAC equipment setpoints
Equipment run-times
Operations and maintenance manuals

basis of design Systems narrative Descriptions of the mechanical, electrical, plumbing and
envelope systems and equipment

If MBCx is implemented during initial operations and occupancy, project teams that apply for LEED O+M
certification will find it easier to achieve the energy conservation tracking and measurement requirements of
EA Credit Existing Building Commissioning, Implementation, and EA Credit Ongoing Commissioning.

buildinG enveloPe CoMMissioninG basiCs


Building envelope commissioning (BECx) is used to validate that the design and performance of materials,
components, assemblies and systems achieve the objectives and requirements of the owner. The process
comprises modeling, observing, testing, documenting, and verifying materials, components, assemblies, and
systems to validate that both their use and installation meet the owners requirements. It uses performance-
oriented practices and procedures to verify that the project is achieving the owners project requirements.
409
To complete BECx, the CxA should have access to the equipment required for completing all envelope-
testing activities, including the following:
Infrared camera
Tracer smoke
Water bottle
Calibrated water hose
Moisture meter
Field mock-up
Blower door assembly

Examples of envelope systems tests include the following:


Air infiltration
Water infiltration
Exhaust reentrainment
Thermal performance
Building envelope pressure
Building envelope air
leakage Daylighting
glare control

Ideally, the CxA should have experience working with different envelope types and buildings of various sizes.
The type of envelope and size of building will determine what tests are conducted and the equipment required.
For example, performing a blower door test to determine the air-tightness of an envelope may be appropriate
for a 20,000-square-foot (1 860-square-meter) facility with brick faade and recessed windows. However, this
type of test would be impractical for a 500,000-square-foot (46 450-square meter) commercial building with a
curtain wall faade. For large structures, field mock-up or thermal imaging of the installed faade may better
prevent or detect envelope leaks.
See NIBS Guideline 32006 2012 Building Enclosure Commissioning Process BECx, Annex U for
additional guidance regarding envelope systems testing equipment and procedures.

exaMPles
tablE 3. Example training plan

hours training theory of hands-on


system, subsystem spec section per class date(s) operation demo remarks

rooftop unit 01783 - O&M 2 4/5/2011 YES YES Engage factory-authorized service
representative to train maintenance
personnel to adjust, operate, and maintain
rooftop units

Makeup air unit 01783 - O&M 1 4/5/2011 YES YES Engage factory-authorized service
representative to train maintenance
personnel to adjust, operate, and maintain
the makeup air unit

kitchen exhaust fans 01783 - O&M 0.5 4/5/2011 YES YES Engage factory-authorized service
representative to train maintenance
personnel to adjust, operate, and maintain
kitchen exhaust fans

general exhaust fans 01783 - O&M 0.5 4/5/2011 YES YES Engage factory-authorized service
representative to train maintenance
personnel to adjust, operate, and maintain
general in-line exhaust fans

Packaged booster 01783 - O&M 0.5 4/26/2011 YES YES Engage factory-authorized service
pumps representative to train maintenance
personnel to adjust, operate, and maintain
controls and pumps
410

tablE 4. Example submittal review log

design team
comments, Final review comment,
comment sheet comment
response status

1 M2-1 FF 1C and 2C call for 30 kBtu/h at 3 gpm with 180F entering Acceptable to Item closed
and 160F leaving and 300 cfm. Transmittal 312037-0031 engineer
states 34.8 kBtu/h at 3 gpm with 180F and 156.82F leaving,
and 320 cfm. Designer to comment if slight deviation in
parameters is acceptable.

2 M2-1 FC 1F and CU 1F specified as 12 mbh at 95F entering air Acceptable to Item closed
temperature to the condenser. Transmittal 312037-0026 engineer
shows 11.9 kBtu/h at AHRI standard conditions. Design to
comment if rating is acceptable.

3 M1-1C AV 1 minimum cfm specified as 600, heating as 4,000. Noted by engineer Final approved submittal
Transmittal 312037-0022 lists each as 800 cfm. Designer to on submittal needed
check cfm discrepancy.

4 M1-1C AV 2 minimum cfm specified as 360, heating as 2,400. Noted by engineer Final approved submittal
Transmittal 312037-0022 lists each as 800 cfm. Designer to on submittal needed
check cfm discrepancy.

5 M1-1C TB-CO3 minimum cooling cfm specified as 100 on M1-1c. Noted by engineer Final approved submittal
Transmittal 312037-0022 states as 250 cfm. Designer to on submittal needed
confirm fm discrepancy.

raTinG sysTeM variaTions


Core and Shell
Systems to be commissioned include only those that are included in the design teams scope of work.

Data Centers
For small projects with computer room peak cooling loads of less than 2,000,000 Btu/h (600 kW), or a total
computer room peak cooling load of less than 600,000 Btu/h (175 kW), the CxA must perform the following
activities:
During the design development or early construction documents phase, review the OPR, BOD, and design
documents.
Review the design documents and the BOD at 95% completion of the design documents.
From construction documents through construction, back-check the review comments to ensure that they
were addressed.

For projects with peak cooling loads of 2,000,000 Btu/h (600 kW) or more, or a total computer room peak
cooling load of 600,000 Btu/h (175 kW) or more, the CxA must conduct at least three verification reviews of the
BOD:
During schematic design, conduct one verification review of design documents.
During the design documents or early construction documents phase, complete one verification review of
design documents.
At the end of the construction documents phase, conduct one final verification review of 100% complete
design documents, verifying achievement of the OPR and adjudication of previous review comments.

Functional testing for data centers often includes rigorous failure mode testing, including prime power backup,
also known as mission-critical functional testing. The requirements of this type of commissioning often exceed
the requirements of this credit.
The CxA should work with the owner to ensure that the requirements of the mission critical testing are
appropriately addressed in the OPR. Additionally, the CxA should be aware of the mission-critical component of
commissioning a data center and account for those differences in the contract with the owner.
Mission-critical testing for a data center can be completed by a CxA other than the CxA who completes the
fundamental and enhanced commissioning.
411
Healthcare
Health care facilities may have additional testing requirements for life safety equipment, including prime power
backup that would not be addressed under the LEED fundamental and enhanced commissioning scope of work.
The CxA should work with the owner to ensure that the requirements of the life safety testing are
appropriately addressed in the OPR. Additionally, the CxA should be aware of the life safety component of
commissioning a health care facility and account for those differences in the contract with the owner.
Life safety testing for a health care facility can be completed by a CxA other than the CxA who completes
the fundamental and enhanced commissioning.

ProjeCT TyPe variaTions


District Energy Systems (DES)

All downstream equipment is included in the scope of this credit. Such equipment includes heat exchangers,
steam pressure reduction stations, pumps, valves, pipes, building electrical services, and controls.

All upstream equipment associated with serving the building is included in the scope if the project is taking
credit for the efficiency of the DES under EA Credit Optimize Energy Performance using Option 1 (Path 2 or
3); if not, upstream equipment is excluded from the scope of this credit.
Commissioning applies only to the DES services used by the project building. For example, if the building is
using only the heating services of a district heating and cooling plant, only the heating systems of the DES must
be included in the scope. However, commissioning of upstream equipment applies to that entire portion of the
DES, including both the central plant and the transmission and distribution systems.

All upstream DES equipment associated with serving the project building subject to EA Credit Enhanced
Commissioning requirements may show compliance using either of the following approaches, depending on
whether the DES is new or preexisting.

New DES. If the DES is new, being substantially upgraded, or has new additions, show that commissioning or
recommissioning of all relevant DES equipment has taken place within three years of the date of the project
buildings substantial completion.
A DES that is three years old or less at the date of the project buildings substantial completion is considered
new construction and should be commissioned in accordance with the requirements of EA Credit Enhanced
Commissioning. Similarly, any new equipment additions to an existing plant along with any controls or plant
distribution equipment that have changed as a result of the additions must be commissioned in accordance with
the requirements of EA Credit Enhanced Commissioning.

Preexisting DES. If the DES is in operation, show that preventive maintenance, corrective maintenance, and
efficiency monitoring programs have been in place for all relevant DES equipment, ensuring that its energy
efficiency meets or exceeds the DES design intent. Show that DES performance has been tested, recorded, and
improved as needed under those programs within the past three years. Any reasonable efficiency metric may be
used for this purpose, such as overall system coefficient of performance or kW/ton.
A DES more than three years old with no substantial new equipment additions is considered preexisting.
Show proof that it was commissioned in accordance with the requirements of LEED O+M EA Credit Existing
Building CommissioningImplementation within the past three years or that the requirements of LEED O+M
EA Credit Existing Building CommissioningOngoing Commissioning have been applied.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
412

required doCuMenTaTion

documentation option 1, Path 1 option 1, Path 2 option 2

List of all tasks completed as part of Cx activities X X X

Training outline and participation list X X X

Confirmation of systems manual delivery X X X

X X X
Ongoing Cx plan
Inclusion of monitoring and tracking in Cx plan X

Inclusion of envelope in Cx plan X

Verification of additional reviews per Data Center requirements


(data centers only) X X

relaTed CrediT TiPs


EA Prerequisite Fundamental Commissioning and Verification. Enhanced commissioning is an extension of
fundamental commissioning and cannot be completed if the scope of fundamental commissioning is not
fulfilled.

EA Credit Renewable Energy Production. Renewable energy systems installed on site must be commissioned
under this credit.

EA Credit Demand Response. Meeting the requirements for demand response will help project teams achieve
the ongoing commissioning portions of this credit.

EA Credit Advanced Energy Metering. Although not a requirement of this credit, achievement of the related
credit will ease the execution of the MBCx plan. Conversely, if a project is pursuing the related credit, MBCx is
a powerful tool for extracting additional value from the existing advanced metering system.

ChanGes froM leed 2009


This credit now includes monitoring-based commissioning and building envelope commissioning options.

referenCed sTandards
ASHRAE Guideline 02005, The Commissioning Process: ashrae.org

ASHRAE Guideline 1.12007, HVAC&R Technical Requirements for the Commissioning Process:
ashrae.org

NIBS Guideline 32012, Exterior Enclosure Technical Requirements for the Commissioning Process:
nibs.org
413

exeMPlary PerforManCe
Not available.
definiTions
basis of design (BOD) the information necessary to accomplish the owners project requirements, including
system descriptions, indoor environmental quality criteria, design assumptions, and references to applicable
codes, standards, regulations, and guidelines

commissioning (Cx) the process of verifying and documenting that a building and all of its systems and
assemblies are planned, designed, installed, tested, operated, and maintained to meet the owners project
requirements commissioning authority (CxA) the individual designated to organize, lead, and review the
completion of commissioning process activities. The CxA facilitates communication among the owner,
designer, and contractor to ensure that complex systems are installed and function in accordance with the
owners project requirements.

district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does
not include central energy systems that provide only electricity.

downstream equipment the heating and cooling systems, equipment, and controls located in the project
building or on the project site and associated with transporting the thermal energy of the district energy system
(DES) into heated and cooled spaces. Downstream equipment includes the thermal connection or interface with
the DES, secondary distribution systems in the building, and terminal units.

operations and maintenance (O&M) plan a plan that specifies major system operating parameters and limits,
maintenance procedures and schedules, and documentation methods necessary to demonstrate proper operation
and maintenance of an approved emissions control device or system

owners project requirements (OPR) a written document that details the ideas, concepts, and criteria
determined by the owner to be important to the success of the project

systems manual provides the information needed to understand, operate, and maintain the systems and
assemblies within a building. It expands the scope of the traditional operating and maintenance documentation
and is compiled of multiple documents developed during the commissioning process, such as the owners
project requirements, operation and maintenance manuals, and sequences of operation.

upstream equipment a heating or cooling system or control associated with the district energy system (DES)
but not part of the thermal connection or interface with the DES. Upstream equipment includes the thermal
energy conversion plant and all the transmission and distribution equipment associated with transporting the
thermal energy to the project building or site.
414

enerGy and aTMosPhere CrediT

optimize Energy
Performance
this credit applies to:
new Construction (118 points) data Centers (118 points)
Core and shell (118 points) Warehouses and distribution Centers (118 points) schools (116
points) hospitality (118 points) retail (118 points) healthcare (120 points)

inTenT

to achieve increasing levels of energy performance beyond the prerequisite standard to


reduce environmental and economic harms associated with excessive energy use.

requireMenTs
neW ConsTruCTion, Core and shell, sChools, reTail, Warehouses and disTribuTion CenTers, hosPiTaliTy, healThCare

Establish an energy performance target no later than the schematic design phase. The target must be
established as kBtu per square foot-year (kW per square meter-year) of source energy use.

Choose one of the options below.

oPTion 1. Whole-buildinG enerGy siMulaTion (118 PoinTs exCePT sChools and healThCare, 116 PoinTs sChools,
120 PoinTs healThCare)

Analyze efficiency measures during the design process and account for the results in design decision
making. Use energy simulation of efficiency opportunities, past energy simulation analyses for similar
buildings, or published data (e.g., Advanced Energy Design Guides) from analyses for similar buildings.
Analyze efficiency measures, focusing on load reduction and HVAC-related strategies (passive measures
are acceptable) appropriate for the facility. Project potential energy savings and holistic project cost
implications related to all affected systems.
Project teams pursuing the Integrative Process credit must complete the basic energy analysis for that credit
before conducting the energy simulation.
Follow the criteria in EA Prerequisite Minimum Energy Performance to demonstrate a percentage
improvement in the proposed building performance rating compared with the baseline. Points are awarded
according to Table 1.
tablE 1. Points for percentage improvement in energy performance

Points (except
schools, Points
new construction Major renovation core and shell Points (schools)
healthcare) (healthcare)
415

6% 4% 3% 1 3 1

8% 6% 5% 2 4 2

10% 8% 7% 3 5 3

12% 10% 9% 4 6 4

14% 12% 11% 5 7 5

16% 14% 13% 6 8 6

18% 16% 15% 7 9 7

20% 18% 17% 8 10 8

22% 20% 19% 9 11 9

24% 22% 21% 10 12 10

26% 24% 23% 11 13 11

29% 27% 26% 12 14 12

18% 16% 15% 7 9 7

20% 18% 17% 8 10 8

22% 20% 19% 9 11 9

24% 22% 21% 10 12 10

26% 24% 23% 11 13 11

29% 27% 26% 12 14 12

32% 30% 29% 13 15 13

35% 33% 32% 14 16 14

38% 36% 35% 15 17 15

42% 40% 39% 16 18 16

46% 44% 43% 17 19 -

50% 48% 47% 18 20 -


416

reTail only

For all process loads, define a clear baseline for comparison with the proposed improvements. The baselines in
Appendix 3, Tables 14, represent industry standards and may be used without additional documentation. Calculate
the baseline and design as follows:
Appliances and equipment. For appliances and equipment not covered in Tables 14, indicate hourly
energy use for proposed and budget equipment, along with estimated daily use hours. Use the total
estimated appliance/ equipment energy use in the energy simulation model as a plug load. Reduced use
time (schedule change) is not a category of energy improvement in this credit. ENERGY STAR ratings and
evaluations are a valid basis for performing this calculation.
Display lighting. For display lighting, use the space-by-space method of determining allowed lighting
power under ANSI/ASHRAE/IESNA Standard 90.12010, with errata (or a USGBC-approved equivalent
standard for projects outside the U.S.), to determine the appropriate baseline for both the general building
space and the display lighting.
Refrigeration. For hard-wired refrigeration loads, model the effect of energy performance improvements with
a simulation program designed to account for refrigeration equipment.


or
oPTion 2. PresCriPTive CoMPlianCe: ashrae advanCed enerGy desiGn Guide (16 PoinTs)

To be eligible for Option 2, projects must use Option 2 in EA Prerequisite Minimum Energy Performance.

Implement and document compliance with the applicable recommendations and standards in Chapter 4, Design
Strategies and Recommendations by Climate Zone, for the appropriate ASHRAE 50% Advanced Energy Design
Guide and climate zone. For projects outside the U.S., consult ASHRAE/ASHRAE/IESNA Standard 90.1
2010, Appendixes B and D, to determine the appropriate climate zone.

ASHRAE 50% Advanced Energy Design Guide for Small to Medium Office Buildings
Building envelope, opaque: roofs, walls, floors,
slabs, doors, and continuous air barriers (1 point)
Building envelope, glazing: vertical fenestration (1 point)
Interior lighting, including daylighting and interior finishes (1
point)
Exterior lighting (1 point)
Plug loads, including equipment and controls (1 point)

ASHRAE 50% Advanced Energy Design Guide for Medium to Large Box Retail Buildings
Building envelope, opaque: roofs, walls, floors, slabs,
doors, and vestibules (1 point)
Building envelope, glazing: fenestration - all orientations (1 point)
Interior lighting, excluding lighting power density for sales floor
(1 point)
Additional interior lighting for sales floor (1 point)
Exterior lighting (1 point)
Plug loads, including equipment choices and controls (1 point)

ASHRAE 50% Advanced Energy Design Guide for K12 School Buildings
Building envelope, opaque: roofs, walls, floors, slabs, and
doors (1 point)
417

Building envelope, glazing: vertical fenestration (1 point)


Interior lighting, including daylighting and interior finishes (1
point)
Exterior lighting (1 point)
Plug loads, including equipment choices, controls, and kitchen equipment (1 point)
ASHRAE 50% Advanced Energy Design Guide for Large Hospitals
Building envelope, opaque: roofs, walls, floors,
slabs, doors, vestibules, and continuous air barriers (1 point)
Building envelope, glazing: vertical fenestration (1 point)
Interior lighting, including daylighting (form or nonform driven) and interior finishes
(1 point) Exterior lighting (1 point)
Plug loads, including equipment choices, controls, and kitchen equipment (1 point)

reTail only

Meet the requirements of Option 2 and comply with the prescriptive measures in Appendix 3, Tables 14, for
90% of total energy consumption for all process equipment.

daTa CenTers
Whole-Building Energy Simulation
Analyze efficiency measures focused on IT load reduction and HVAC-related strategies (air-side economizers,
hot aislecold aisle, etc.). Project the potential energy savings and cost implications for all affected systems.
Follow the criteria in EA Prerequisite Minimum Energy Performance to demonstrate a percentage
improvement in the proposed performance rating compared with the baseline.
Use energy cost savings from both the building and IT to determine the total percentage reduction.
418

See EA Prerequisite Minimum Energy Performance,

,
419
sTeP 6. uPdaTe baseline and ProPosed enerGy Models based on final desiGn doCuMenTs
update the proposed and baseline energy models to reflect final construction details and specifications (see Further
Explanation, Finalizing the Energy Models for Credit Compliance) and review the table of common mistakes to avoid (see Ea
Prerequisite Minimum Energy Performance, Further Explanation, Common Issues with Energy Modeling).

sTeP 7. deTerMine enerGy CosT savinGs


compare the proposed model with the baseline model to determine the anticipated energy cost savings (see Ea Prerequisite
Minimum Energy Performance, Further Explanation, Energy Cost Savings). apply any savings from on-site renewable energy
systems after minimum compliance has been demonstrated (see Further Explanation, Applying Renewable Energy Savings).

option 2. ashrae 50% advanced energy design Guides (aedGs)


sTeP 1. ConfirM PrerequisiTe requireMenTs
Ensure that all hVac and service water-heating equipment meets the requirements of the appropriate aEDG, determined in Ea
Prerequisite Minimum Energy Performance.

sTeP 2. deTerMine WhiCh PoinTs To Pursue under aedGs consider the aEDG requirements for
additional points.
Points can be achieved for building glazing and envelope, including opaque elements such as roofs and walls, interior and
exterior lighting, and plug loads.
Retail projects are subject to the prescriptive retail criteria listed in appendix 3, tables 14, but have an additional point
opportunity addressing sales floor lighting.

furTher exPlanaTion

finaliZinG The enerGy Models for CrediT CoMPlianCe


Update the proposed model based on the information and specifications for systems, assemblies, and equipment
in the final construction documents (see EA Prerequisite Minimum Energy Performance, Further
Explanation, Finalizing the Energy Models). Ensure that all changes made to the
design have been captured in the model. If changes occur during construction that could affect efficiency
measures, the model information will have to be updated accordingly. Value engineering exercises may affect
building efficiency as well as credit achievement.
Document the energy modeling input assumptions for receptacle and process loads. These loads should be
modeled accurately to reflect the actual expected energy consumption of the building (see EA Prerequisite
Minimum Energy Performance, Further Explanation, Exceptional Calculation Method).
Verify the final energy cost savings. Evaluate the energy savings by end use for reasonableness based on the
differences in the modeling inputs between the baseline and proposed models. Ensure that renewable energy
savings have been properly credited (see Further Explanation, Applying Renewable Energy
Savings).

aPPlyinG reneWable enerGy savinGs


Only projects pursuing Option 1 of this credit may count savings from renewable energy systems.
Calculate the total amount of energy generated by the system and convert this value into the equivalent cost
using either utility rates or virtual energy rates (see EA Credit Renewable Energy Production). Apply the
equivalent cost directly to the energy model through the simulation software, or subtract it from the final energy
cost savings calculation.
raTinG sysTeM variaTions
420
Retail
Option 2 Prescriptive Compliance: ASHRAE 50% AEDG. Comply with the prescriptive measures in Appendix
3, Tables 14, for 90% of total energy consumption for all process equipment.

Data Centers
See EA Prerequisite Minimum Energy Performance, Further Explanation, Rating System
Variations.

ProjeCT TyPe variaTions


District Energy Systems
See EA Prerequisite Minimum Energy Performance, Further Explanation, Project Type
Variations.

inTernaTional TiPs
Option 1, Whole-Building Energy Simulation. If ASHRAE 90.1 is not applicable, Option 1 requirements can
be met with a USGBC-approved equivalent standard.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation option 1 option 2

Appendix G energy modeling inputs X

Input and output reports from modeling software X

X
Renewable energy (if applicable)
Exceptional calculations (if applicable) X

Target Finder results and summary X X

Energy consumption and demand for each building end use and fuel type X

Fuels rates X

AEDG compliance tables X

List of process equipment efficiencies (retail only) X

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance. See Related Credit Tips under the prerequisite.

EA Credit Renewable Energy Production. To receive credit for renewable energy systems savings, calculate
the equivalent cost of the energy generated using the methodology outlined in the related credit.
421

ChanGes froM leed 2009


See EA Prerequisite Minimum Energy Performance, Changes from LEED 2009.

referenCed sTandards
ASHRAE 90.12010 and ASHRAE 90.12010 Users Manual: ashrae.org

ASHRAE 50% Advanced Energy Design Guides: ashrae.org

COMNET Commercial Buildings Energy Modeling Guidelines: comnet.org/mgp-manual

exeMPlary PerforManCe
Option 1. New construction, major renovation, and core and shell projects: Achieve at least 54% energy savings.

definiTions
See EA Prerequisite Minimum Energy Performance.
422
enerGy and aTMosPhere CrediT

advanced Energy Metering


this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell Warehouses and distribution Centers (1 point) schools (1 point) hospitality
(1 point) retail (1 point) healthcare (1 point)

inTenT

to support energy management and identify opportunities for additional energy savings
by tracking building-level and system-level energy use.

requireMenTs

neW ConsTruCTion, sChools, reTail, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy, healThCare

Install advanced energy metering for the following:


all whole-building energy sources used by the building; and
any individual energy end uses that represent 10% or more of the total annual consumption of the
building.

The advanced energy metering must have the following characteristics.


Meters must be permanently installed, record at intervals of one hour or less, and transmit data to a remote
location.
Electricity meters must record both consumption and demand. Whole-building electricity meters should
record the power factor, if appropriate.
The data collection system must use a local area network, building automation system, wireless network,
or comparable communication infrastructure.
The system must be capable of storing all meter data for at least 36 months.
The data must be remotely accessible.
All meters in the system must be capable of reporting hourly, daily, monthly, and annual energy use.
Core and shell

Install meters for future tenant spaces so that tenants will be capable of independently metering energy
consumption (electricity, chilled water, etc.) for all systems dedicated to their space. Provide a sufficient number
of meters to capture total tenant energy use with a minimum of one meter per energy source per floor.

Install advanced energy metering for all base building energy sources used by the building.

The advanced energy metering must have the following characteristics.


Meters must be permanently installed, record at intervals of one hour or less, and transmit data to a remote
location.
Electricity meters must record both consumption and demand. Whole-building electricity meters should
record the power factor, if appropriate.
423
The data collection system must use a local area network, building automation system, wireless network,
or comparable communication infrastructure.
The system must be capable of storing all meter data for at least 36 months.
The data must be remotely accessible.
All meters in the system must be capable of reporting hourly, daily, monthly, and annual energy use.
424

Defining appropriate energy end uses is crucial to the success of an advanced energy metering program and
energy management plan. Low data granularity, such as with whole-building energy data, will not help a
building operator understand or identify sources of anomalies in energy consumption and does not meet the
intent of this credit.
Extreme granularity, achieved by metering every piece of equipment in a building, may be cost prohibitive
because of the quantity of equipment and the data storage capacity required. In addition, too much information
may overwhelm an energy manager and may hamper the effectiveness of an energy management program.
425
Identifying major energy end uses is the first step in choosing what to meter. Often, in large commercial or
industrial buildings, end uses are classified as systems composed of discrete pieces of equipment that can be
metered together. For example,
Chilled water system: chillers, chilled water pumps
Condenser water system: cooling tower, condenser water pumps
Hot water system (natural gas): boilers
Hot water system (electricity): hot water pumps
Air-handling system: supply fan, return fan, damper motors

Smaller buildings may not have large systems that are easily segregated by function. A common example is a
rooftop unit (RTU), a single packaged piece of equipment that can provide the cooling, heating, and air handling
but is cost and space prohibitive to submeter. Therefore, metering the entire RTU (or metering each fuel
supplying the RTU, if there is more than one) is an acceptable way to achieve this credit. Even though metering
the energy usage of each system component of a packaged system is not practical, the performance of each
system component should be monitored by the building automation system.
The metering strategy for systems that serve the same basic function, such as multiple built-up air-handling
units serving a 1,000,000-square-foot (92 900-square-meter) multitenant office building, or multiple RTUs
serving a 25,000-square-foot (2 325-square-meter) physicians office, is left to the discretion of the project team.
Examples of options for submetering these systems include the following:
Meter all similar systems together. This strategy is appropriate for multiple systems that serve the same
type of occupant and operate according to the same schedule.
Meter all similar systems separately. This strategy is appropriate if each system serves a different type of
occupancy group or has a different operating schedule.
Meter similar systems by grouped occupancy type or operating schedule. This strategy is a combination of
the above.

Choosing what equipment and components to group requires a balance between keeping the project costs on
budget while ensuring that robust data are available for future decision making.
Examples of typical end uses for a commercial office building that may require advanced metering include
the following:
Receptacle equipment
Interior lighting
Space
heating
Space
cooling
Fans
Pumps
Heat rejection
Exterior lighting
Service water heating

Energy modeling software that is acceptable for EA Credit Minimum Energy Performance produces a report of
energy consumption for a standard set of end uses. Some programs also allow the user to virtually meter
additional end uses. An energy model completed in the design phase of the project will enable the metering
system to be integrated into design drawings and project specifications. The engineer of record may enlist the
energy modeling professional to help identify and specify the number and location of meters.
If the project team does not conduct energy modeling to comply with EA Prerequisite Minimum Energy
Performance, the end uses to meter can be estimated by referencing the Commercial Building Energy
Consumption Survey (2003) End-Use Consumption Tables for Non-Mall Buildings or End-Use Consumption
Tables for All Buildings.
End uses can be grouped by occupancy type, building section, or building level. This type of consolidation
can be useful for buildings with different usage types, such as a commercial office with an industrial test
426
kitchen, since it allows building operators and energy managers to separately monitor different space types and
account for different energy usage patterns.
MeTer seleCTion
The accuracy of available commercial meters and submeters varies widely. Select meters based on the level of
accuracy required for energy management purposes. It is recommended that submeters that may be used for
revenue purposes conform to the applicable revenue-grade accuracy (see EA Prerequisite Building-Level
Metering, Further Explanation, Meter Selection).
When locating meters, consider any physical installation requirements (e.g., straight lengths of piping).
Incorrect application or installation of a meter can reduce measurement accuracy.
Ensure that staff responsible for installing and maintaining equipment and using the data have input into the
meter selection.
The owner is responsible for maintaining and calibrating meters according to the manufacturers
recommendations.

eleCTriCiTy-MeTerinG sTraTeGies

The number and location of electricity meters depend on the layout of a projects electrical panels.
If major energy-using systems are segregated by panel, energy consumption can be measured at the panel
level and fewer submeters will be required (Figure 1). Individual branch circuit meters can be avoided if more
than 90% of the panels power is directed to a single end use. For example, if a panel is shared by the air-
handling system and mechanical room but the lighting accounts for less than 10% of the power load of the panel,
then the individual lighting branch circuits do not need to be metered.
If multiple diverse end uses are connected to the same panel, individual branch circuits must be metered
to extract the individual energy consumption of each (Figure 2). Submetering individual branch circuits will
be an additional cost.
If the majority of a panel serves one system type, subtraction metering may be used. This strategy requires
metering of the entire panel as well the individual branch circuits for minority end uses. The energy
consumption of the majority end use is then determined by subtracting the minority end uses from the total
panel consumption (Equation 1, Figure 3).

Equation 1. Example subtraction metering

Lighting energy consumption


Conference room fan powered box
(Major panel end use) = Total panel energy (Panel meter) - (Branch circuit meter 2)
(Branch circuit meter Water heater energy 1) -

Figure 1. Power panel that serves single end use: single submeter
427

Figure 2. Panel that serves diverse end uses: one submeter for each branch circuit

Figure 3. Panel that serves one majority use: one meter for panel and one meter for branch circuits for minority uses

raTinG sysTeM variaTions


Core and Shell
Advanced energy metering must be installed for all energy sources used by the base building. Additionally, the
devices must enable independent metering of future tenants energy consumption.
Base building energy consumption includes all building systems and equipment in the core and shell scope of
work. Examples include central plants, elevators and escalators, interior and exterior lighting, receptacle
equipment, and HVAC equipment that serves core space, such as parking garages, lobbies, corridors, and
restrooms.
The number of meters required for tenant spaces depends on building configuration; a minimum of one meter
per energy source per floor is required. Advanced metering is not required to measure end-use consumption of
systems and equipment installed by tenants.

Data Centers
IT energy consumption, as measured from an uninterruptible power supply (UPS) output meter, should be
metered separately from non-IT equipment, such as HVAC, plug loads, and lighting. If the UPS system supports
non-IT loads that amount to more than 10% of its load, such as lighting or cooling, this non-IT load should also
be submetered. This guidance is derived from ENERGY STAR and applies to data center buildings as well as
commercial buildings that contain large data centers.
CaMPus
Group Approach
Submit separate documentation for each building.
428
Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation all projects

List of all advanced meters to be installed, including type, energy source metered X

Manufacturers cutsheets X

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance. Project teams following Option 1, Whole-Building Energy
Simulation, must use the results of the simulation to determine which end uses represent 10% or more of the
total annual consumption of the building. Project teams following the prescriptive options (Option 2, ASHRAE
50% Advanced Energy Design Guide or Option 3 Advanced Buildings Core Performance Guide) can estimate
energy consumption by referencing the Commercial Building Energy Consumption Survey (2003), End-Use
Consumption Tables for Non-Mall Buildings or End-Use Consumption Tables for All Buildings.

EA Prerequisite Building-Level Metering. If an advanced metering system is installed, additional whole-


building metering is not required for the related prerequisite.

EA Credit Demand Response. An advanced metering system facilitates participation in demand response
programs and provides an additional means to track building energy reduction levels.

EA Credit Renewable Energy Production. Renewable energy systems and net metering will affect the kind of
energy meters that are installed for this credit.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
None.
429
enerGy and aTMosPhere CrediT

Demand Response
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12
points) hospitality (12 points) retail (12 points) healthcare (12 points)

inTenT

to increase participation in demand response technologies and programs that make


energy generation and distribution systems more efficient, increase grid reliability, and
reduce greenhouse gas emissions.

requireMenTs
Design building and equipment for participation in demand response programs through load shedding or
shifting. On-site electricity generation does not meet the intent of this credit.

Case 1. demand response Program available (2 points)


Participate in an existing demand response (DR) program and complete the following activities. Design
a system with the capability for real-time, fully-automated DR based on external initiation by a DR
Program Provider. Semi-automated DR may be utilized in practice.
Enroll in a minimum one-year DR participation amount contractual commitment with a qualified DR
program provider, with the intention of multiyear renewal, for at least 10% of the estimated peak
electricity demand. Peak demand is determined under EA Prerequisite Minimum Energy Performance.
Develop a comprehensive plan for meeting the contractual commitment during a Demand Response
event.
Include the DR processes in the scope of work for the commissioning authority, including participation
in at least one full test of the DR plan.
Case 2. demand response Program not available (1 point)
Provide infrastructure to take advantage of future demand response programs or dynamic, real-time pricing
programs and complete the following activities.
Install interval recording meters with communications and ability for the building automation system to
accept an external price or control signal.
Develop a comprehensive plan for shedding at least 10% of building estimated peak electricity demand.
Peak demand is determined under EA Prerequisite Minimum Energy Performance.
Include the DR processes in the scope of work for the commissioning authority, including participation in
at least one full test of the DR plan.
Contact local utility representatives to discuss participation in future DR programs.
430

behind The inTenT


When temperatures rise or fall dramatically, use of air-conditioning or heating increases. The electricity grid
must respond quickly, especially in urban areas and places where commercial buildings or industrial operations
are clustered. Utilities work to keep the system operating in balance, reliably, and at reasonable cost.
Demand response (DR) strategies encourage electricity customers to reduce their usage during peak demand
times, helping utilities optimize their supply-side energy generation and delivery systems. One strategy is tiered
demand electricity pricing. Another is incentive programs that reward commercial consumers who agree to
change their usage patterns when the utility company sends an alert (to the buildings operator or the building
automation system) announcing a DR event (also known as a curtailment event). DR programs set a maximum
number of events that can be announced and specify the time frames in which they may occur.
By reducing overall demand for electricity, DR helps utilities avoid building additional power generation
facilities, transmission lines, and distribution stations, thereby avoiding some of the environmental effects of
energy infrastructure and consumption. DR also helps balance the contribution of renewable energy sources. For
example, on calm days or at night, when renewable sources such as wind and solar are less available, grid
operators must either find additional generation sources or persuade energy users to lower demand. DR achieves
the latter, balancing systemwide usage and reducing the need for nonrenewable backup generation.

sTeP-by-sTeP GuidanCe

sTeP 1. deTerMine aPPliCable Case


contact the utilities serving the project site to see whether demand response programs are available and determine the
appropriate case (see Further Explanation, Demand Response Program Availability).
case 1 Demand Response Program available is for projects in locations that have DR programs. Participation is required to
achieve the credit.
case 2 Demand Response Program not available requires the project team to design a system to accommodate future DR
programs.

sTeP 2. desiGn sysTeM To aCCePT exTernal siGnals


incorporate the capability for a demand response program into the design process as indicated in the credit requirements and
by the utility (if applicable). systems must be capable of acting on an external signal, but their actual operation may be either
fully or semi-automated (see Further Explanation, Demand Response Event Management).

sTeP 3. deTerMine Peak deMand reduCTion requireMenT


Establish the peak demand estimate. Projects that used modeling to achieve Ea Prerequisite Minimum Energy Performance
should take the estimated peak from the model. Projects that followed a prescriptive path may use space peak load
calculations to estimate overall building peak demand, or other methods or calculations based on information available. use
Equation 1 to determine the minimum peak demand reduction required.

Equation 1. Minimum reduction in peak electricity demand

peak demand reduction required.


Minimum reduction = 10% Peak demand

sTeP 4. develoP sTraTeGies for Peak deMand reduCTion


identify strategies that will allow the project to meet or exceed the minimum demand reduction target (see Further
Explanation, Strategies to Reduce Demand).
Project teams may wish to incorporate these strategies into the energy model to confirm that they will meet or exceed the
reduction target.
Many utilities and third-party energy providers can work with project teams to review local demand response options and
make design suggestions.
431

.
432

Energy supply and demand vary widely on a regional and national basis and are determined in part by local
market conditions and regulatory frameworks. Participation in demand response is often encouraged by state
regulatory agencies or state legislatures. Information on state demand response programs can often be found on
the public utility commissions website.
In the U.S., the Federal Energy Regulatory Commission has developed the National Action Plan on Demand
Response, with the goal of achieving greater demand response, consistent with the requirements of the Energy
Independence and Security Act of 2007.

deMand resPonse evenT ManaGeMenT


When a DR event is called, the DR program provider sends a signal as specified in the program enrollment
contract.
The signal may be based on price, reliability, or supply and demand.
Demand response signals are received and acted on manually or through an energy management control system,
which may include a building automation system (BAS), a building management system, and a programmable
load control.
tablE 1. Demand response management

level Energy management control system response to dr event Eligible for credit

Building operator or occupants manually turn


Manual demand response No off end-use systems (e.g., lights, HVAC, other No
equipment)

Semiautomated demand DR coordinator or other person initiates control


response Yes strategy programmed into BAS Yes

Fully automated demand BAS control sequence initiates strategy, without


response Yes human intervention Yes

Source: Used with permission from Lawrence Berkeley National Laboratory.


Figure 1. Demand response progression. Used with permission from Lawrence Berkeley National Laboratory.
433

1. DR Event
notice sent via text, 1. DR Event notice sent over the
e-mail or phone call e-mail or phone call Internet or private network
2. Decision to participate is 2. Decision to participate is 2. Pre-programmed DR
made by a person made by a person measures are initiiated
automatically
3. DR measures are initiated 3. Pre-programmed DR
by people on-site and limited to manu measures are initiated by a person at 3. In some cases the
ally adjustable components such as a workstation meter feedback is provided
light switches, thermostats, etc.
ISO = Independent System Operator CSP = Curtainment Service Provider L = Load

sTraTeGies To reduCe deMand


Project teams may reduce peak demand by modifying consumption from various end-use systems, such as
HVAC and lighting.
Global temperature adjustments increase cooling setpoints (or decrease heating setpoints) for an entire
facility for a given period. Facilities managers may find that some occupants prefer the temperatures under
DR events, indicating the possibility of making permanent changes to the setpoints.
Turning off decorative features, like fountains and video displays, reduces energy consumption without
affecting worker productivity.
Hospitality and health care facilities may be able to reschedule housekeeping activities, such as
dishwashing and laundry.
deMand resPonse oPeraTions TeaM
Participating in DR requires careful evaluation, planning, and execution of curtailment strategies. A project team
member may fill one or more of the following roles:
434
DR project coordinator
Facilities manager
DR action plan (curtailment) manager
DR credit project manager
DR integration service provider, or energy services company
DR provider account manager (e.g., utility, independent system operator, curtailment service provider
employee)

The demand response provider or curtailment service provider can recommend qualified outside contractors for
help with system analysis and demand response planning.

develoPinG The aCTion Plan


Projects must develop a comprehensive action plan to address roles, responsibilities, and expectations for a
demand response event. The plan should address at least the following:
Potential for demand response participation, such as curtailment of peak demand, and the elected demand
response value, or schedule of values, in kWs, to be registered with the DR provider
Event notification process for demand response events, such as a phone call, an alarm with countdown
clock, or a signal to a BAS console, depending on the degree of program automation (i.e., semi-
automated or automated).
Detailed procedures and responses to execute the program measures consistent with the demand response
contract
Contract and the registered demand response participation amount, including the notification method,
specific actions, order of execution, load-monitoring process, and postevent recovery process
Energy management team responsible for coordinating with the program provider, the facilities
department, and internal risk management, including event notification and response, revenue settlements,
contract administration, assessments, action fulfillment, employee awareness training, readiness drills, and
energy management reporting
Description of end-use systems that will be affected, such as HVAC or lighting, on a stand-alone or
integrated basis, during participation in demand response events.

deMand resPonse ProGraM TyPes


DR programs vary regionally in the number and timing of events called. One factor that affects the type and
number of DR programs is weather: regions with hot weather may have more summer-peaking programs, and
regions with cool weather may have more winter-peaking programs. Congestion (transmission constraints) is
another: regions that have congestion may have more interruptible load and emergency DR programs. Some
program types may be better suited to certain building use categories.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

documentation case 1 case 2

Proof of enrollment in DR program X

Evidence of ability to shed 10% of peak demand X X

Confirmation that system is capable of receiving and acting on external signal X X


435

Action plan for meeting reduction requirement during event X X

Inclusion of DR in CxA systems testing plan X X

relaTed CrediT TiPs


EA Prerequisite Fundamental Commissioning and Verification. Include DR in the Cx plan to ensure that the
building systems respond as anticipated during an event. Test the sequence before an event occurs to work out
any problems ahead of time.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
demand response (DR) a change in electricity use by demand-side resources from their normal
consumption patterns in response to changes in the price of electricity or to incentive payments designed to
induce lower electricity use at times of high wholesale market prices or when system reliability is
jeopardized demand response (DR) event a specific period of time when the utility or independent service
operator calls for a change in the pattern or level of use in grid-based electricity from its program
participants. Also known as a curtailment event.

load shedding an intentional action by a utility to reduce the load on the system. Load shedding is usually
conducted during emergency periods, such as capacity shortages, system instability, or voltage control. peak
demand the maximum electricity load at a specific point in time or over a period of time

permanent peak load shifting the transfer of energy consumption to off-peak hours, when demand for power is
lower and energy is therefore less expensive
enerGy and aTMosPhere CrediT

Renewable Energy
Production
this credit applies to:
436
new Construction (13 points) data Centers (13 points)
Core and shell (13 points) Warehouses and distribution Centers (13 points) schools (13
points) hospitality (13 points) retail (13 points) healthcare (13 points)

inTenT

to reduce the environmental and economic harms associated with fossil fuel energy by
increasing self-supply of renewable energy.

requireMenTs
Use renewable energy systems to offset building energy costs. Calculate the percentage of renewable energy
with the
Equivalent cost of usable energy produced by the renewable energy system following
equation:
% renewable energy =
Total building annual energy cost

Use the buildings annual energy cost, calculated in EA Prerequisite Minimum Energy Performance, if
Option 1 was pursued; otherwise use the U.S. Department of Energys Commercial Buildings Energy
Consumption Survey (CBECS) database to estimate energy use and cost.
The use of solar gardens or community renewable energy systems is allowed if both of the following
requirements are met.
The project owns the system or has signed a lease agreement for a period of at
least 10 years. The system is located with the same utility service area as the
facility claiming the use.

Credit is based on the percentage of ownership or percentage of use assigned in the lease agreement. Points are
awarded according to Table 1.
tablE 1. Points for renewable energy

Percentage renewable energy Points (all, except core and shell)) Points (core and shell)

1% 1 1

3% 2

5% 2 3

10% 3
437

behind The inTenT


Renewable energy generation can reduce carbon emissions and offer local environmental benefits by reducing
air pollution. Some renewable energy systems capture wind or sunlight; others usefully employ materials that
might otherwise be wasted. Renewable energy produced on-site protects projects from energy price volatility
and reliance on the grid while reducing wasted energy lost in transmission. Ultimately, renewable energy
production contributes to reducing a countrys demand for imported energy.

sTeP-by-sTeP GuidanCe

sTeP 1. exPlore oPPorTuniTies for reneWables


Determine the most abundant renewable resources on site, such as sunlight, wind, or water, and explore opportunities for
using renewable fuels, such as waste wood or biomass (see Further Explanation, Renewable Resource Considerations).

sTeP 2. CoMPare requireMenTs for reneWable enerGy sysTeMs


carefully evaluate the space requirements, costs, financial incentives, and efficiencies for each potential technology.
Local funding, financing, and incentives for renewable generation projects may be available for certain technologies and may
be a significant factor.
Excess energy, beyond the buildings energy demand at a given point, can be sold to the utility company (net metering). the
building owner receives the market rate, however, and cannot charge a premium for the renewable energy. in effect, the
grid serves as a storage system and frees the project from hosting a storage system on site.
tying into an existing community system or creating a community system may lower cost barriers through economies of scale,
because unit costs may decrease as system sizes increase. community systems can also take advantage of time-shifted
demand: one building that is occupied during the day and another building that is occupied at night could both take
advantage of the same biofuel-fired heating system.
Renewable energy may be available from a third-party system, or the project team may enter an arrangement in which a third
party owns a system that serves the project. in such cases, project teams must take additional steps to ensure that the
arrangement continues for a set period of time and that the renewable energy credits (REcs) are retained (see Further
Explanation, Renewable Energy Systems and Third Parties).
some systems that are commonly considered renewable do not qualify for this credit (see Further Explanation, Eligible
Renewable Energy Systems).

sTeP 3. seT reneWable enerGy TarGeT


to establish the target renewable energy system size for the project, estimate the annual energy cost for the project.
Projects that used modeling to achieve Ea Prerequisite Minimum Energy Performance (option 1) must base annual energy
cost on the whole-building simulation results (see Further Explanation, Example 1).
Projects that used a prescriptive path to achieve Ea Prerequisite Minimum Energy Performance (option 2 or 3) must use the
u.s. Department of Energys commercial Buildings Energy consumption survey (cBEcs) data to estimate annual energy use
and cost (see Further Explanation, Example 2).
use either the maximum building system size that can be accommodated in the project or the available budget as the starting
point to estimate the maximum number of points for this credit.
to qualify toward credit points, the environmental benefits associated with generated renewable energy must be retained or,
if sold, purchased in an equivalent amount (see Further Explanation, Renewable Energy Certificates [RECs] and Carbon
Offsets).
438

A project team should use web resources and other tools available to determine the feasibility of renewable
systems, given the project sites climate, context, and infrastructure. Consider the features of the site, such as
solar availability, wind patterns, and other renewable energy sources, and any seasonal or daily variations in its
supply. Certain project types may have special opportunities: office or university campuses typically have
available land, for example, and warehouse projects may have large roof areas.
Match the projects energy needs with renewable energy output when selecting a renewable system. For
example, a sunny site is a good candidate for solar thermal hot water, but this type of renewable resource is most
cost-effective if the building has a constant demand for hot water. Accordingly, a hotel or a multifamily project
may be a better match for a solar thermal hot water system than an office complex.
439
Daily and seasonal variations in loads also factor into the investigation of renewable energy. For example, a
residential project with low daytime electricity demand may require battery storage to benefit from a
photovoltaic (PV) array; an office building with high daytime demand may not.

reneWable enerGy sysTeMs and Third ParTies


Some renewable energy systems that use fuels produced off site (e.g., landfill gas) can still be eligible to receive
points under this credit. In such a case, the project team must provide documentation showing the following:
The project has a minimum 10-year contract with the fuel provider.
The contract with the fuel provider includes both the fuel and all associated RECs.
If the fuel provider does not also provide RECs, the project must purchase offsets for 100% of the
renewable energy produced in the form of RECs every year for at least 10 years.

In some cases, renewable energy may be available from equipment, such as a PV array or wind turbine, owned
by a third party, whether on or off site. Project teams wishing to receive credit for such an arrangement must
submit documentation, including the agreement between the project owner and the power producer. The power
purchase agreement must last for at least 10 years, and the project owner must retain all environmental benefits
from the renewable energy.
For example, if a PV array owner sells electricity to the project building and then sells RECs to a different
party, the project is not eligible for this credit unless RECs are purchased by the project in a sum equal to the
electricity being purchased, for a period of 10 years.
440

Figure 1. Renewable energy scenarios and requirements

eliGible reneWable enerGy sysTeMs


Allowable sources for renewable energy include the following:
Photovoltaic
Solar thermal
Wind
Biofuel (in some cases)
Low-impact hydroelectricity
Wave and tidal energy
Geothermal energy (in some cases)
441
Some renewable energy systems do not meet the intent of the credit and are not eligible. Strategies like
architectural features, passive solar, and daylighting, for example, reduce energy consumption but are not
eligible renewable energy systems.
Geothermal energy, such as electricity generated from subterranean steam or heat generated from
subterranean steam or hot water, is eligible. However, geothermal energy used in conjunction with vapor
compression cycles, as in a ground-source heat pump, is not.
If a biofuel is used in a cogeneration plant that produces both electricity and heat, both of these energy uses
count as renewable energy. A biofuel used in a boiler to produce heat also qualifies. However, not all biofuels
meet the intent of this credit. The following biofuels are ineligible:
Combustion of municipal solid waste
Forest biomass waste other than mill residue
Wood coated with paints, plastics, or laminate
Wood treated for preservation with materials containing halogens, chlorine compounds, halide compounds,
chromated copper arsenate, or arsenic; if more than 1% of the wood fuel has been treated with these
compounds, the energy system is ineligible

reneWable enerGy CerTifiCaTes and Carbon offseTs


The environmental benefits from renewable energy generation are certified and tracked through renewable
energy certificates (RECs). A third party ensures that a specific amount of power was generated by a
renewable source. By purchasing RECs, a project that is using nonrenewable energy can still stimulate demand
for green power.
Carbon offsets allow buildings or companies to fund activities that decrease carbon emissions or remove carbon
from the atmosphere. Carbon offset projects include reforestation, carbon sequestration, energy efficiency projects,
and land-use changes.
Generating renewable energy has both environmental and financial benefits, and projects must retain both
benefits to be eligible for this credit. Projects with ownership of renewable energy generation have the option
to sell the RECs associated with their renewable energy generation. Some utilities may grant a rebate to
projects that generate their own renewable energy and also require that they give up the rights to the RECs
associated with the generation. A project can still claim this credit by purchasing enough RECs or offsets to
make up for the RECs that were sold. In such cases, projects that are generating electricity are required to
purchase Green-ecertified RECs; projects that are generating heat or other nonelectric energy are required to
purchase Green-e Climatecertified carbon offsets.
Both RECs and carbon offsets are addressed in EA Credit Green Power and Carbon Offsets.

equivalenT CosT of reneWable enerGy


The equivalent cost of the usable energy system can be calculated in two ways, virtual rate or actual utility
tariff plus demand rates.
Virtual rate. The project team may use the virtual energy rate determined by the proposed building energy
model used for EA Credit Optimize Energy Performance. The virtual rate accounts for both consumption and
demand charges. Project teams that use the Energy Information Administrations average energy prices must use
the virtual rates to determine the renewable energy system cost.
Actual rate plus demand. Calculate the expected savings in both consumption and demand charges, based
on the rates charged by the utility that serves the project. If a project is served by a utility that uses time-
dependent valuation to set rates, the team may use those rates but must provide hourly calculations for the value
of generated energy. Some energy modeling software may calculate the savings from renewable energy systems
if the utility rates include consumption, demand, time-dependent valuation, time-of-use, ratchets, and other
factors.
For renewable energy sources priced on a basis other than per unit of energy, the project team must account
for all the costs associated with the source, such as delivery costs and annual fees. For example, a project that
uses heat generated from geothermal steam needs to account for all the equipment, maintenance, and labor costs
associated with the geothermal system throughout the year.
In addition to calculating the equivalent cost of the energy generated, project teams must also provide
calculations that show how much energy the renewable energy system will produce. With some technologies,
like a biofuel-fired boiler, energy modeling software can determine the amount of energy generated. In other
442
cases, such as PV or wind systems, the amount of energy generated may be determined by using an external
calculation program. In either case, provide all assumptions and outputs associated with the renewable energy
calculations.

exaMPles
Example 1. Project with complete energy modeling data
A proposed multifamily residential project has completed its energy model for EA Credit Optimize Energy
Performance and is sizing a PV array. The project anticipates using 562,457 kWh of electricity, with a virtual
energy rate of $0.082 per kWh. Gas consumption is calculated as 29,650 therms, at a utility rate of $0.675 per
therm of natural gas. The total building annual energy cost is as follows:

total cost = (Gas consumption x Gas rate) + (Electricity consumption x Electricity rate) total cost = (29,650

therms x $0.675/therm) + (562,457 kwh x $0.082/kwh) total cost = $20,013 + $46,121 = $66,134

The project has space on site for a 150-kW PV array. Based on calculations provided by the solar array installer,
the system will produce 218,789 kWh of electricity per year, after transmission and conversion losses. The
project team calculates the equivalent cost of the renewable energy generated:

Equivalent cost = (units of renewable energy generated x Project utility or virtual rate for type of energy generated)

Equivalent cost = (218,789 kwh x $0.082/kwh) = $17,941

Equivalent cost usable energy produced

by renewable energy system The project can now calculate its percentage of renewable energy:
443
% renewable energy =
Total building annual energy cost

$17,941

% renewable energy =
$66,134

% renewable energy = 27%

Example 2. Project without energy modeling data


A proposed 75,000-square-foot office project is complying with EA Prerequisite Minimum Energy Performance
through a prescriptive path but is also installing an on-site renewable energy system. To achieve this credit, the
team must determine its total building annual energy cost. The project will have gas and electricity service.
Local utility rates are $1.10 per therm of natural gas and $0.09 per kWh of electricity. Using data from CBECS
(Table 1), the project can estimate its annual energy consumption by fuel type.
Projects with multiple space types should calculate energy consumptions for each space type separately
based on Table 2.
tablE 2. CBECS building energy intensity data

total energy
444 consumption total electric energy
total nonelectric energy consumption
(cbEcs table c3) consumption (cbEcs table c14)
building type
kWh/ kWh/
kbtu/ft2 m2 kWh/ft2 kWh/m2 kbtu/ ft2 m2

Education 83.1 262.2 11 118.4 45.5 143.6

Food sales 199.7 630.1 49.4 531.8 194.6 614

Food service 258.3 814.9 38.4 413.3 127.4 401.9

health care inpatient 249.2 786.2 27.5 296.0 155.5 490.6

health care outpatient 94.6 298.5 16.1 173.3 39.6 124.9

lodging 100 315.5 13.5 145.3 53.9 170.1

retail (nonmall) 73.9 233.2 14.3 153.9 25.1 79.2

Enclosed and strip malls 102.2 322.4 22.3 240.0 26.2 82.7

office 92.9 293.1 17.3 186.2 34 107.3

Public assembly 93.9 296.3 12.5 134.6 51.3 161.9

Public order and safety 115.8 365.3 15.3 164.7 63.5 200.3

religious worship 43.5 137.2 4.9 52.7 26.9 84.9

service 77 242.9 11 118.4 39.5 124.6

Warehouse and storage 45.2 142.6 7.6 81.8 19.3 60.9

other 164.4 518.7 22.5 242.2 87.6 276.4

Source: This table is from the Energy Information Administration (EIA) website.

Electricity cost is estimated as follows:

Electricity cost = (Electricity kwh/ft2 for space type x Project area x Project electricity rate)

Electricity cost = (17.3 kwh/ft2 x 75,000 ft2 x $0.09/kwh)

Electricity cost = $116,775

The projects gas cost can be estimated in the same manner:

Gas cost = (nonelectric kBtu/ft2 for space type x Project area x (1 therm / 100 kBtu) x Project gas rate)

Gas cost = (34 kBtu/ft2 x 75,000 ft2 x (1 therm / 100 kBtu) x $1.10 / therm)

Gas cost = $28,050

The projects total annual building energy cost is the sum of the electricity and gas costs, or $144,573. The
building site has space for a 70-kW solar array, which is estimated to produce 92,254 kWh of electricity per
year, after transmission and conversion losses. The projects equivalent cost of usable energy is calculated as
follows:
445
Equivalent cost = (units of renewable energy generated x Project utility rate for type of energy generated)

Equivalent cost = (92,254 kwh x $0.09/kwh) = $8,303


Equivalent

cost usable energy produced by renewable energy system The project can now calculate its percentage of

renewable energy:

% renewable energy =
Total building annual energy cost

$8,303

% renewable energy = $144,825

% renewable energy = 5.7%

Example 3. Project connected to a DES


A university classroom building is connected to a central chilled-water plant that serves multiple campus
buildings. The central plant has a dedicated photovoltaic array that provides a portion of the energy to the chilled
water plant. The DES uses the equivalent of $100,000 of electricity generated from PV, and the project receives
25% of the chilled water output of the DES. The project calculates its equivalent cost of renewable energy as
follows:

Equivalent cost = ($ value of renewable energy used at DEs x % of DEs energy delivered to building)

Equivalent cost = ($100,000 x 25%)

Equivalent cost = $25,000

ProjeCT TyPe variaTions


District Energy Systems (DES)
For projects documenting EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy
Performance using Path 2 or 3 (full DES performance accounting or streamlined DES modeling), qualifying
renewable energy sources used in a DES may earn points in EA Credit Renewable Energy Production for a
connected building. That is, they count as on-site renewable energy for the connected building. Projects using
energy model Path 1 for renewable DES sources do not earn points in the energy performance prerequisite and
credit for a connected building.
The fraction of project costs offset by the renewable energy that the DES contributes depends on how much
of the buildings load the DES supplies and how much of the DES energy source is renewable. The total cost
offset is based on the product of these two factors. For each thermal energy source provided to the building by
the district plant, calculate the renewable contribution as follows.
1. Find the fraction of the annual DES thermal energy source provided by qualifying renewable sources. If
two fuel sources are required to generate the thermal energy source (e.g., electric pumps and natural gas
burners for boilers), the fraction of DES provided by the qualifying renewable source should be based on
the amount of Renewable fraction Renewable energy used to generate source, i energy contributed (e.g., kBtus) and
should account for all fuels used to generate the thermal energy source.
446

source (RS), i =
of thermal energy Total energy used to generate source, i

2. Find the fraction of the project buildings annual energy consumption that is supplied by the DES thermal
Fraction of building Building energy supplied by source, i energy source.

=
annual energy consumption supplied

by source (BS), i Total building energy consumed


3. Multiply these two factors together for each energy source provided by qualifying renewables.
4. Sum the renewable energy contribution from each district thermal energy source serving the building to
identify the total renewable energy contribution from the district plant.

Total renewable energy contribution from DES = RSi BSi i


If renewable energy contributions from the DES are applied to a connected building, submit a letter from the
DES owner or operator verifying all of the following:
That the quantity of renewable energy reported above is allocated to the DES itself (i.e., the upstream
generation or distribution equipment) and not directly to any building
That within the overall DES renewable energy allocation, no renewable energy assigned specifically to the
DES central plant building, if any (in a separate LEED application), is also being counted toward the
renewable energy contribution of the connected project building
That no renewable energy is being double-counted among any connected project buildings (in separate
LEED applications)
That either the DES owner or its operator maintains rights to the environmental benefits of the site-
generated renewable energy, or that RECs or offsets are being purchased in an amount equal to the benefits
being claimed

Projects that do not use energy modeling may not take credit for renewable energy sources used for the DES
upstream of the project.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

third-party
system community
documentation on-site system
ownership system

Renewable system rated capacity X X X

Calculations to determine energy generated X X X

Equivalent cost of renewable energy produced X X X


447

Documentation of annual energy costs X X X

Contract indicating duration X X

Documentation indicating percentage owned or leased of community system X

relaTed CrediT TiPs


EA Credit Advanced Energy Metering. All whole-building energy sources, including renewable energy
sources, must be submetered to comply with the related credit.

EA Credit Green Power and Carbon Offsets. Renewable energy certificates, green power, and carbon offsets
purchased from outside vendors are addressed in the related credit; additional points are available for projects
that purchase them.
ChanGes froM leed 2009
The credit now allows solar gardens and community systems.

referenCed sTandards
Center for Resource Solutions Green-e Program: green-e.org

Commercial Building Energy Consumption Survey (CBECS): eia.gov/consumption/commercial

exeMPlary PerforManCe
Renewable energy must account for 15% of total energy. For Core and Shell projects, the threshold is 10%.

definiTions
district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does not
include central energy systems that provide only electricity.

solar garden a shared solar array or other renewable energy system with grid-connected subscribers who
receive credit for the use of renewables using virtual net metering. Also known as a community renewable
energy system.
(Adapted from solargardens.org)
enerGy and aTMosPhere CrediT

Enhanced Refrigerant
Management
this credit applies to:
new Construction (1 point) data Centers (1 point)
448
Core and shell (1 point) Warehouses and distribution Centers (1 point) schools (1 point)
hospitality (1 point) retail (1 point) healthcare (1 point)

inTenT

to reduce ozone depletion and support early compliance with the Montreal Protocol while
minimizing direct contributions to climate change.

requireMenTs
neW ConsTruCTion, Core and shell, sChools, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy, healThCare

oPTion 1. no refriGeranTs or loW-iMPaCT refriGeranTs (1 PoinT)


Do not use refrigerants, or use only refrigerants (naturally occurring or synthetic) that have an ozone depletion
potential (ODP) of zero and a global warming potential (GWP) of less than 50.
or

oPTion 2. CalCulaTion of refriGeranT iMPaCT (1 PoinT)


Select refrigerants that are used in heating, ventilating, air-conditioning, and refrigeration (HVAC&R)
equipment to minimize or eliminate the emission of compounds that contribute to ozone depletion and climate
change. The combination of all new and existing base building and tenant HVAC&R equipment that serve the
project must comply with the following formula:
iP units si units

LCGWP + LCODP 105 100 LCGWP + LCODP 105 13

calculation definitions for lcgWP + lcodP 105 100 (iP calculation definitions for lcgWP + kg cFc 11/(kW/year) x 105 13 (si
units) units)

LCODP = [ODPr (Lr Life + Mr) Rc] / Life kg CFC 11/(kW/year) = [ODPr (Lr Life + Mr) Rc] / Life

LCGWP = [GWPr (Lr Life + Mr) Rc] / Life LCGWP = [GWPr (Lr Life + Mr) Rc] / Life

LCODP: Lifecycle Ozone Depletion Potential (lb kg CFC 11/(kW/year): Lifecycle Ozone Depletion Potential (lb
CFC 11/Ton-Year) CFC 11/Ton-Year)

LCGWP: Lifecycle Direct Global Warming Potential (lb LCGWP: Lifecycle Direct Global Warming Potential (kg
CO2 /Ton-Year) CO2/kW-year)

GWPr: Global Warming Potential of Refrigerant (0 to GWPr: Global Warming Potential of Refrigerant (0 to
12,000 lb CO2/lbr) 12,000 kg CO2/kg r)

ODPr: Ozone Depletion Potential of Refrigerant (0 to ODPr: Ozone Depletion Potential of Refrigerant (0 to
0.2 lb CFC 11/lbr) 0.2 kg CFC 11/kg r)

Lr: Refrigerant Leakage Rate (2.0%) Lr: Refrigerant Leakage Rate (2.0%)

Mr: End-of-life Refrigerant Loss (10%) Mr: End-of-life Refrigerant Loss (10%)

Rc: Refrigerant Charge (0.5 to 5.0 lbs of refrigerant per ton of Rc: Refrigerant Charge (0.065 to 0.65 kg of refrigerant per kW of AHRI rated or
gross AHRI rated cooling capacity) Eurovent Certified cooling capacity)
449

Life: Equipment Life (10 years; default based on equipment type, Life: Equipment Life (10 years; default based on equipment type, unless
unless otherwise demonstrated) otherwise demonstrated)

For multiple types of equipment, calculate a weighted average of all base building HVAC&R equipment, using
the
following formula: si units
iP units

[( LCGWP + LCODP 105 ) Qunit ] [( LCGWP + LCODP 10 5 ) ]


Qunit


13
100 Qtotal
Qtotal
calculation dEFinitions For (si units)
calculation dEFinitions For (iP units)

[(
LCGWP + LCODP 105 ) Qunit ] [( LCGWP + LCODP 105 ) ]
Qunit

100 13
Qtotal
Qtotal
Qunit = Gross AHRI rated cooling capacity of an individual HVAC or Qunit = Eurovent Certified cooling capacity of an individual HVAC or
refrigeration unit (Tons) refrigeration unit (kW)

Qtotal = Total gross AHRI rated cooling capacity of all HVAC or Qtotal = Total Eurovent Certified cooling capacity of all HVAC or
refrigeration refrigeration (kW)

reTail

Meet Option 1 or 2 for all HVAC systems.

Stores with commercial refrigeration systems must comply with the following.
Use only non-ozone-depleting refrigerants.
Select equipment with an average HFC refrigerant charge of no more than 1.75 pounds of refrigerant per 1,000
Btu/h (2.72 kg of refrigerant per kW) total evaporator cooling load.
Demonstrate a predicted store-wide annual refrigerant emissions rate of no more than 15%. Conduct leak testing
using the procedures in GreenChills best practices guideline for leak tightness at installation.

Alternatively, stores with commercial refrigeration systems may provide proof of attainment of EPA GreenChills silver-
level store certification for newly constructed stores.
444
behind The inTenT
This credit addresses the two main threats to the environment posed by refrigerants: their ozone depletion potential
(ODP) and global warming potential (GWP).
As is well known, chlorofluorocarbons (CFCs), hydrochlorofluorocarbons (HCFCs), and other ozone-depleting
substances commonly used in refrigerants contribute to the depletion of the stratospheric ozone layer. Yet
refrigerants released into the atmosphere also contribute to global climate change, having a disproportionately large
effect compared with other greenhouse gases. For example, HCFC-22 contributes to warming at 1,780 times the
potency of an equal amount of carbon dioxide.
However, trade-offs also exist between the above concerns and energy use. Alternatives to CFC and HCFC
refrigerants, such as HFC-410A, have a lower GWP when directly released, but their use may require more
energy which also affects climate. Conversely, variable refrigerant flow (VRF) systems may improve energy
efficiency but have a higher refrigerant charge.
Careful consideration of the refrigerant requirements of energy systems and appliances can improve
performance and reduce operating cost. Refrigerants vary in operating pressure, material compatibility,
flammability, and toxicity. Operating pressure and material compatibility are particularly critical factors to take
into account when refrigerants in existing equipment are replaced.
The refrigerant impact calculation addresses the overall effect of each refrigerants ODP and GWP combined by
accounting for these interrelated factors.

sTeP 1. GaTher inforMaTion on sysTeMs and refriGeranTs in ProjeCT


identify all hVac&R equipment that contains refrigerants and record the refrigerant charge and type for existing and new units.
Project teams may incorporate the credit requirements and equations into project specifications if needed. Projects that retain
cfcs past initial occupancy, even if using a phase-out plan to meet the requirements of Ea Prerequisite fundamental Refrigerant
management, are ineligible for this credit.
small systems with less than 0.5 pound (225 grams) of refrigerants, such as individual water fountains or stand-alone
refrigerators, do not need to be included in credit calculations.
unit charge information is often not available for new equipment until contractor submittals are provided (particularly for split
systems) because the charge depends on the length of refrigerant piping runs.
if a district energy system (DEs) serves the project, data for the refrigerant-using equipment in the DEs must be collected.

sTeP 2. seleCT one oPTion choose the appropriate option


for the project.
option 1 is for projects that have no refrigerants and projects with refrigerants that have an oDP of zero and a GwP of less than
50 (see Further Explanation, Designing for No Refrigerants or Low-Impact Refrigerant Use). these projects achieve the credit;
no additional steps are required.
option 2 is for projects whose refrigerants exceed the option 1 limit.

option 2. refrigerant impact Calculation


sTeP 1. CalCulaTe refriGeranT iMPaCT of ProPosed sysTeMs
to determine the environmental effects of hVac&R systems containing refrigerants, apply the following assumptions. assume the oDP and GwP
values listed in table 1.
452 445

tablE 1. Ozone depletion and global warming potentials of common refrigerants

refrigerant odPr gWPr common building application

chlorofluorocarbons

CFC-11 1.0 4,680 Centrifugal chiller

CFC-12 1.0 10,720 Refrigerators, chiller

CFC-114 0.94 9,800 Centrifugal chiller

CFC-500 0.605 7,900 Centrifugal chiller, humidifier

CFC-502 0.221 4,600 Low-temperature refrigeration

hydrochlorofluorocarbons

HCFC-22 0.04 1,780 Air-conditioning, chiller

HCFC-123 0.02 76 CFC-11 replacement

hydrofluorocarbons

HFC-23 ~0 12,240 Ultra-low-temperature refrigeration

HFC-134a ~0 1,320 CFC-12 or HCFC-22 replacement

HFC-245fa ~0 1,020 Insulation agent, centrifugal chiller


HFC-404A ~0 3,900 Low-temperature refrigeration

HFC-407C ~0 1,700 HCFC-22 replacement

HFC-410A ~0 1,890 Air-conditioning

HFC-507A ~0 3,900 Low-temperature refrigeration

natural refrigerants

Carbon dioxide (CO2) 0 1.0

Ammonia (NH3) 0 0

Propane 0 3

assume equipment life according to table 2. for any hVac&R equipment not listed, assume an equipment life of 10 years.
Different values for equipment life may be substituted, with manufacturers documentation.
for existing equipment, apply the default equipment life according to table 2. the equation is based on refrigerant impact spread
over the life of the equipment; estimated remaining equipment life should not be substituted because it would provide inaccurate
results.
tablE 2. Default equipment life

Equipment default equipment life

Window air-conditioner, heat pump 10 years

Unitary, split, packaged air-conditioner, package heat pump 15 years

Reciprocating and scroll compressor, reciprocating chiller 20 years

Absorption chiller 23 years

Water-cooled packaged air-conditioner 24 years

Centrifugal chiller 25 years


454

assume that refrigerant leakage rate (Lr) is 2% per year and end-of-life refrigerant loss (Mr) is 10%, for all equipment types.
no alternative values may be substituted for these percentages (see Further Explanation, Examples).
Refrigerant charge (Rc) is the ratio of the total refrigerant used in a piece of equipment to the total cooling capacity of that
equipment, expressed in pounds per ton or kilograms per kw. for example, if a packaged air-conditioning unit uses 7
pounds of refrigerant and its cooling capacity is 5 tons, the refrigerant charge is 1.4.

sTeP 2. inCorPoraTe desiGn CriTeria inTo ProjeCT Plans and sPeCifiCaTions if calculations were performed during design,
use the results to specify the maximum refrigerant charge for the hVac equipment. when the project is under construction,
review equipment submittals from the mechanical contractor to verify that the equipment and refrigerant charge meet the
design specifications.
oPTiMiZinG hvaC sysTeMs To MiniMiZe refriGeranT iMPaCT
Avoiding equipment with a high refrigerant charge, such as multiple small packaged units or split systems, can make this
credit easier to achieve. Systems that use chillers or a central plant are more likely to meet the credit requirements. If
possible, incorporate indirect or direct evaporative cooling.

+
=

+
456

For renovations, consider retrofitting or replacing existing HVAC systems to minimize ODP and GWP contributions.
Assess whether equipment replacement or refrigerant conversion is economical. Equipment that is easily accessible
and has a high run time may be a candidate for refrigerant swap with a reasonable return on investment.

exaMPles
Example calculation 1. The cooling equipment for a school consists of the following systems:
Twelve 5-ton packaged HVAC units with HFC-410A for classrooms
One 2-ton split system HVAC unit with HCFC-22 for a data
room One 1-ton window HVAC unit with HCFC-22 for an
office
tablE 3. Example calculations for school

inputs

Units Qunit Refrigerant GWPr ODPr Rc (lb/ton) Life Lr Mr (%)


(tons) (yrs.) (%)
12 5 R-410A 1,890 0 1.8 15 2 10

1 2 R-22 1,780 0.04 3.3 15 2 10

1 1 R-22 1,780 0.04 2.1 10 2 10

Qtotal 63

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 108.33

Result: Average refrigerant impact has a value greater than 100, therefore this project does not earn this
credit

tablE 3 (continuEd). Example calculations for school

calculations

LCODP^10^5 Refrigerant atmospheric


Tr Total Leakage LCGWP (GWPr Tr 100,000 (ODPr impact (LCGWP + LCODP
(Lr Life +Mr) Rc) / Life = 105 N Qunit
Tr Rc) / Life LCGWP + LCODP 105

40% 90.72 0 90.7 5,443

40% 156.6 352 508.6 1,017

30% 112.1 252 364.1 364

Subtotal 6,825

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 108.33

Result: Average refrigerant impact has a value greater than 100, therefore this project does not earn this credit

Example calculation 2. The cooling equipment in an office building consists of the following systems:
One 500-ton centrifugal chiller with HFC-134a
One 50-ton reciprocating pony chiller with HCFC-22
Five 10-ton computer room air-conditioning units with HCFC-22
457

tablE 4. Example calculations for office building

inputs

Units Qunit Refrigerant GWPr ODPr Rc (lb/ton) Life Lr Mr (%)


(tons) (yrs.) (%)

1 500 R-134a 1,320 0 2 25 2 10

1 50 R-22 1,780 0.04 2.1 20 2 10

5 10 R-22 1,780 0.04 2.4 15 2 10

Qtotal 600

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 108.92

Result: Average refrigerant impact has a value greater than 100, therefore this project does not earn this credit.

tablE 4 (continuEd). Example calculations for office building

calculations

LCODP^10^5 Refrigerant atmospheric


Tr Total Leakage LCGWP (GWPr Tr 100,000 impact (LCGWP + LCODP
(Lr Life +Mr) Rc) / Life (ODPr Tr Rc) / Life = 105 N Qunit
LCGWP + LCODP 105
60% 63.36 0 63.36 31,680

50% 93.5 210 303 15,173

40% 113.9 256 369.9 18,496

Subtotal 65,349

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 108.92

Result: Average refrigerant impact has a value greater than 100, therefore this project does not earn this credit.

Example calculation 3. A hotels cooling system includes the following equipment: Three 1400-kW
centrifugal chillers with HCFC-123
One 140-kW commercial refrigeration compressor rack with HCFC-22
Twelve 7-kW telephone and data room split-system cooling units with HCFC-22
tablE 5. Example calculations for hotel

inputs

Units Qunit (kW) Refrigerant GWPr ODPr Rc (kg/kW) Life (yrs.) Lr (%) Mr (%)

3 1 400 R-123 76 0.02 0.21 25 2 10

1 140 R-22 1,780 0.04 0.27 20 2 10

12 7 R-22 1,780 0.04 0.4 15 2 10

Qtotal 4 424
458

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 12.34

Result: Average refrigerant impact has a value less than or equal to 13, therefore this project earns this cred it.

tablE 5 (continuEd). Example calculations for hotel

calculations

Refrigerant atmospheric
Tr Total Leakage LCGWP (GWPr Tr LCODP impact (LCGWP + LCODP 105 x N x
(Lr Life +Mr) Rc) / Life 100,000 = Qunit
LCGWP + LCODP 105
60% .38 10.08 10.46 43 932

50% 12.02 27 39.02 5 462.8

40% 18.99 42.67 61.66 5 179.44

Subtotal 54 574.24

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 12.34

Result: Average refrigerant impact has a value less than or equal to 13, therefore this project earns this credit.

Example calculation 4. The cooling equipment in an apartment building consists of four 8-ton outdoor VRF units.
Each unit has a base refrigerant amount of 16.5 pounds and an additional refrigerant amount of 2.7 pounds for
distribution, which must be included. The Rc for each unit is (16.5 pounds + 2.7 pounds) / 8 tons = 2.4 pounds/ ton.

tablE 6. Example calculations for apartment building

inputs

Qunit Rc (lb/ Life Lr Mr


Units (tons) Refrigerant GWPr ODPr ton) (yrs.) (%) (%)

4 8 R-410A 1,890 0 2.4 15 2 10

Qtotal 32

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 120.96

Result: Average refrigerant impact has a value greater than 100, therefore this project does not
earn this credit

tablE 6 (continuEd). Example calculations for apartment building

calculations

Refrigerant atmospheric
Tr Total LCODP 105
LCGWP (GWPr Tr impact (LCGWP + LCODP
Leakage (Lr 100,000 (ODPr Tr
Rc) / Life = 105 N Qunit
Life + Mr) Rc) / Life
LCGWP + LCODP 105
40% 120.96 0 120.96 3,871

Subtotal 3,871

Average refrigerant atmospheric impact = (LCGWP + LCODP 105) Qunit) / Qtotal 120.96

Result: Average refrigerant impact has a value greater than 100, therefore this project does not earn this credit
459

desiGninG for no refriGeranTs or loW-iMPaCT refriGeranT use


In some cases, cooling needs can be met without vapor compression HVAC equipment. This can be possible in
buildings that are designed for natural ventilation and have very low cooling loads. Optimizing the following non-
HVAC design elements can help reduce the project buildings cooling load:
Massing
Building orientation
Window-to-wall ratio
Glazing properties
Shading
Insulation
Lighting and equipment power density

Determine whether natural refrigerants like carbon dioxide, ammonia, or water can be used to meet cooling needs or
other building goals. Absorption chillers, for example, are compatible with refrigerants like ammonia, and carbon
dioxide is popular for low-temperature cooling applications.
Heat from the refrigeration process can be recovered for other uses, like service hot water heating. To reduce peak
cooling requirements for ventilation air, use air-side energy recovery.

evaPoraTive CoolinG
Another strategy for minimizing refrigerant charge is to incorporate direct or indirect evaporative cooling. Table 7
outlines the most favorable circumstances for this approach to refrigerant impact reduction.
tablE 7. Evaporative cooling scenarios

direct evaporative cooling indirect evaporative cooling

Hot and dry climates with design wet-bulb temperatures 68F Hot and dry climates with design wet-bulb temperatures 68F
(20C) or lower (20C) or lower

Pretreatment of outside air for systems with higher latent loads,


Residential, light commercial, industrial or other spaces with low such as densely occupied office spaces, and need to control
latent heat gain humidity

Indirect and direct evaporative cooling can be combined for greater efficiency. An indirect cooler lowers the
temperature of air and reduces the airs moisture content; a direct cooler then cools the air further and restores
humidity to the air.

raTinG sysTeM variaTions


Core and Shell
If the core and shell project does not include all HVAC associated with anticipated work by the tenant but the project
team would like to include those systems to achieve the credit, documentation must be supported by the tenant sales
or lease agreement.

Retail
For Retail HVAC systems, use the calculation methodology and assumptions listed for all projects.

Retail projects with commercial refrigeration systems may either follow the prescriptive criteria or pursue
certification through U.S. EPA GreenChills certification program for newly constructed stores. If pursuing EPA
certification, follow the certification steps outlined on the program website.
If following prescriptive requirements, have the commercial refrigeration equipment tested for leaks according to
the procedures outlined in GreenChills Best Practices Guideline for Leak Tightness at Installation. The leak testing is
required for GreenChill certification but the guidelines are applicable to any retail project, including international
460

projects, regardless of whether the building is pursuing GreenChill certification. The installer is typically responsible
for conducting leak testing after installation. Include requirements in the contract with the commercial refrigerant
installer. The commissioning scope may also include verification of proper leak testing, but this is not required.
Non-Retail projects that have commercial refrigeration systems may follow the prescriptive criteria available to
retail projects for commercial refrigeration systems. Both these prescriptive criteria for the commercial refrigeration
systems and the credit requirements for the HVAC refrigerant-using systems must be met to achieve credit
compliance in this case.
ProjeCT TyPe variaTions
District Energy Systems
If a project has only downstream refrigeration equipment, only that equipment must be included in the refrigerant
impact calculation. If a project has only upstream refrigeration equipment, only that equipment must be included in
the refrigerant impact calculation. If a project has both downstream and upstream refrigeration equipment, use the
following procedure to show credit compliance.
Complete two separate refrigerant impact calculations: one to calculate the refrigerant impact using only the
downstream equipment and another using only the upstream equipment.
If both calculations meet the credit requirements, the project team has demonstrated credit compliance. If neither
calculation meets the credit requirements, the project cannot achieve this credit. If one calculation fails but the other
passes, the project team may demonstrate compliance using the weighted average refrigerant impact for the project
building (see Further Explanation, Calculations).

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Option 1. Eligible.

Option 2. Ineligible. Each LEED project may pursue the credit individually.

documentation option 1 option 2


X
required doCuMenTaTion Confirmation that only no or low-impact
refrigerants are used
Equipment type X

Refrigerant charge calculations (for VRF systems only) X

Equipment cooling capacity X

Provide refrigerant equipment schedule or GreenChill certification (commercial


refrigeration systems) X

Equipment quantity X

Refrigerant type X

Refrigerant charge (plus supporting documentation, if applicable) X

X
Equipment life (plus supporting documentation, if applicable)
Leak test results (commercial refrigeration systems only) X
461

relaTed CrediT TiPs


EA Credit Optimize Energy Performance. Alternatives to CFCs and HCFCs, such as HFC-410A, have lower
refrigerant impacts but may require higher levels of energy use. Variable refrigerant flow and some split systems
rarely meet the requirements of this credit because of the long refrigerant piping runs and the high quantity of
refrigerant needed.
462

ChanGes froM leed 2009


Sector-specific requirements have been added for commercial refrigeration equipment.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does
not include central energy systems that provide only electricity.

downstream equipment the heating and cooling systems, equipment, and controls located in the project
building or on the project site and associated with transporting the thermal energy of the district energy system
(DES) into heated and cooled spaces. Downstream equipment includes the thermal connection or interface with
the DES, secondary distribution systems in the building, and terminal units.

natural refrigerant a compound that is not manmade and is used for cooling. Such substances generally have
much lower potential for atmospheric damage than manufactured chemical refrigerants. Examples include
water, carbon dioxide, and ammonia.

upstream equipment a heating or cooling system or control associated with the district energy system (DES)
but not part of the thermal connection or interface with the DES. Upstream equipment includes the thermal
energy conversion plant and all the transmission and distribution equipment associated with transporting the
thermal energy to the project building or site.
enerGy and aTMosPhere CrediT

Green Power and carbon


offsets
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12
points) hospitality (12 points) retail (12 points) healthcare (12 points)
463

inTenT

to encourage the reduction of greenhouse gas emissions through the use of grid-
source, renewable energy technologies and carbon mitigation projects.

requireMenTs
Engage in a contract for qualified resources that have come online since January 1, 2005, for a minimum of
five years, to be delivered at least annually. The contract must specify the provision of at least 50% or 100%
of the projects energy from green power, carbon offsets, or renewable energy certificates (RECs).
Green power and RECs must be Green-e Energy certified or the equivalent. RECs can only be used to
mitigate the effects of Scope 2, electricity use.
Carbon offsets may be used to mitigate Scope 1 or Scope 2 emissions on a metric ton of carbon
dioxide equivalent basis and must be Green-e Climate certified, or the equivalent.

For U.S. projects, the offsets must be from greenhouse gas emissions reduction projects within the U.S.
Determine the percentage of green power or offsets based on the quantity of energy consumed, not the
cost. Points are awarded according to Table 1.
tablE 1. Points for energy from green power or carbon offsets

Percentage of total energy addressed by green


power, rEcs and/or offsets Points

50% 1

100% 2

Use the projects annual energy consumption, calculated in EA Prerequisite Minimum Energy Performance, if
Option 1 was pursued; otherwise use the U.S. Department of Energys Commercial Buildings Energy
Consumption Survey (CBECS) database to estimate energy use.

Core and shell only

A core and shell buildings energy is defined as the energy usage of the core and shell floor area as defined by
the
Building Owners and Managers Association (BOMA) standards, but not less than 15% of the projects floor
area.
464

behind The inTenT


The voluntary market can be an effective catalyst for encouraging energy generators and utility companies to
develop clean energy sources and help address climate change. Purchasing renewable energy certificates
(RECs) allows buildings that use nonrenewable power to create market demand for renewable energy.
Carbon offsets allow buildings or companies to fund activities that seek to decrease carbon emissions or
remove carbon from the atmosphere, such as methane abatement, energy efficiency projects, and
reforestation or land-use changes.

sTeP-by-sTeP GuidanCe

sTeP 1. invesTiGaTe available oPTions


the possibilities for purchasing green power, REcs, and offsets will vary with the projects location and energy types.
consider the costs of various options (see Further Explanation, Green Power Purchasing).
Green power and REcs must be Green-e Energy certified or the equivalent. Direct or local green power may be available
through local utility providers; review their websites for green power cost premiums.
Green power and REcs can be used only toward the electric energy use portion of the projects annual energy use (scope 2,
electricity). they cannot be applied toward nonelectric energy uses (see Further Explanation, Scope 1 and Scope 2
Emissions).
carbon offsets must be Green-e climate certified or the equivalent. unlike REcs and purchased green power, carbon offsets
can be used toward both electric and nonelectric energy use.

sTeP 2. ConduCT CosT-benefiT analysis


undertake a cost-benefit analysis to understand the financial and environmental benefits for the available options. all carbon
offsets are not the same. some are associated with land-use development, others with energy efficiency projects. teams are
encouraged to purchase carbon offsets that align with their environmental interests and values.

sTeP 3. seT ProjeCT Goal for Green PoWer or Carbon offseTs


Review the credit point thresholds and establish the green power or carbon offset purchase goal for the project. the offset
goal is not a one-time purchaseit must be met for multiple consecutive years, as indicated in the credit requirements.

sTeP 4. CalCulaTe enerGy use assoCiaTed WiTh sCoPe 1 and sCoPe 2 eMissions
CaTeGories
Determine the total grid-generated annual energy use, based on the option selected in Ea Prerequisite Minimum Energy
Performance.
Projects that used modeling to comply with Ea Prerequisite Minimum Energy Performance (option 1) must use the whole-
building simulation results to determine the total annual electricity and nonelectricity energy use.
Exclude any site-generated electricity (e.g., wind turbines, photovotaics) and fuel (e.g., biogas) from the total
consumption amount, provided the project does not sell the on-site energy generated as REcs.
include as nonelectric energy any steam and chilled water purchased from the utility provider or a third party and any
fuel purchased for on-site electricity generation in the building (e.g., diesel for gensets).
Projects that used a prescriptive pathway to achieve Ea Prerequisite Minimum Energy Performance (option 2 or 3) must use
the u.s. Department of Energys commercial Buildings Energy consumption survey (cBEcs) database to estimate annual
energy use.
Exclude any site-generated electricity from the total annual electric energy use.
use the total building area and appropriate energy use intensity (Eui) from the cBEcs database to calculate the projected
electric and nonelectric annual energy use.
if a project contains multiple space types (e.g., an office building with ground-floor retail), use the Euis associated with
each space type to generate the projected annual energy use (see Further Explanation, Calculating Annual Energy Use
Using CBECS Data for Projects with Multiple Space Types).
net-zero buildingsthose anticipated to consume zero net energy on an annual basisare eligible to achieve 2 points under
this credit without purchasing any additional renewable energy, REcs, or carbon offsets, provided the project does not sell
any REcs associated with the on-site renewable energy production.
465

sTeP 5. CalCulaTe required Green PoWer and Carbon offseTs


use the projects electricity and nonelectricity energy use totals to determine the required amount of green power and/or
carbon offsets to be purchased.
Projects that use green power or REcs must convert their annual grid-generated electricity use to Mwh.
Projects that use carbon offsets must convert their annual grid-generated electricity use to metric tons of co2e. for
conversion factors and GhG emissions factors, see Further Explanation, Calculating Greenhouse Gas Emissions.
all projects must convert their annual nonelectricity energy use to metric tons of co2e.
any combination of the above can be used to achieve either the 50% or the 100% threshold. if the project goal is less than
the 100% threshold, prorate the required amount accordingly.

sTeP 6. obTain ProPosals for Green-e CerTified ProduCTs or equivalenT and


Make PurChase
solicit proposals for green power, REcs, and/or carbon offsets from providers of Green-e certified products, as specified in the
credit requirements and select a vendor.
the provider must provide confirmation of the date on which the qualified resources came online.
the contract must specify the purchasing goals and is valid for the duration indicated in the credit requirements.
for u.s. projects, the offsets must come from greenhouse gas (GhG) emissions reduction projects within the u.s.
if Green-e certified products are not available, equivalency of other products must be demonstrated (see Further
Explanation, Establishing Green-e Equivalency). Projects outside the u.s. that cannot find local products that meet the
Green-e standard or equivalent can still achieve this credit by purchasing Green-e certified products from the u.s.

furTher exPlanaTion

CalCulaTions
Equation 1. Total qualifying energy use

renewable fuels Total annual

Total qualifying { electricity useTotal



site-generated ) ( +
Total annual Total annual

fossil fuel use


use ) }
(
electricity

annual annual energy use = grid-based

Equation 2. Percentage of energy purchased or offset

( ) ( )( )
}
Quantity of Purchased Purchased

% Energy RECs in kWh green power carbon offsets purchased or =+ + ( energy use in

)(
building
energy use in ) (
Annual building
associated with projects
GHG emissions
) offset
Annual

kWh kWh annual energy use


466

Equation 3. Metric tons of CO2 equivalent, Fuel A

Metric tons of CO2 = Annual use, Fuel A Direct GHG emissions factor, Fuel A (mt CO 2e kBtu)
(kBtu) equivalent, Fuel A

Equation 4. Metric tons of CO2 equivalent, electricity

Metric tons of CO2 = Annual electricity use


Indirect GHG emissions factor, electricity
3.412 (kBtu kWh)
(kWh) equivalent, electricity (mt CO2e kBtu)

sCoPe 1 and sCoPe 2 eMissions


Scope 1 emissions are greenhouse gases emitted directlythat is, from sources owned or controlled by the
entity (e.g., emissions from fossil fuels burned on site). Electricity produced on site through the burning of
fossil fuels is measured by the Scope 1 emissions associated with that fossil fuel.
Scope 2 emissions are an entitys greenhouse gases associated with purchased electricity and also with
high temperature hot water, chilled water, or steamthat comes from a utility provider. Scope 2 emissions
include transmission and distribution losses related to hot water, chilled water, and steam. Transmission and
distribution losses associated with electricity are not included in Scope 2.

CalCulaTinG annual enerGy use usinG CbeCs daTa for ProjeCTs WiTh MulTiPle sPaCe TyPes
A proposed 75,000-square-foot office project with 15,000 square feet of retail space has achieved EA
Prerequisite
Minimum Energy Performance through a prescriptive path. The team wants to earn points under EA Credit
Green Power and Carbon Offsets, which requires determining the buildings total annual energy usage. The
project will have natural gas and electric service. Using data from CBECS (Table 2), the team can estimate
annual energy consumption by fuel type. For projects with multiple space types, calculate energy consumption
for each space type separately, based on Table 2.

tablE 2. CBECS building energy intensity data

total energy consumption (cbEcs total electric energy consumption


table c3) (cbEcs table c14) total nonelectric energy consumption
building type
kbtu/ft2 kWh/m2 kWh/ft2 kWh/m2 kbtu/ft2 kWh/m2

Education 83.1 262.2 11 118.4 45.5 143.6

Food sales 199.7 630.1 49.4 531.8 194.6 614

Food service 258.3 814.9 38.4 413.3 127.4 401.9

Health care
inpatient 249.2 786.2 27.5 296.0 155.5 490.6
467

tablE 2 (continuEd). CBECS building energy intensity data

total energy consumption (cbEcs total electric energy consumption


table c3) (cbEcs table c14) total nonelectric energy consumption
building type
kbtu/ft2 kWh/m2 kWh/ft2 kWh/m2 kbtu/ft2 kWh/m2

Health care
outpatient 94.6 298.5 16.1 173.3 39.6 124.9

Lodging 100 315.5 13.5 145.3 53.9 170.1

Retail
(nonmall) 73.9 233.2 14.3 153.9 25.1 79.2

Enclosed and
strip malls 102.2 322.4 22.3 240.0 26.2 82.7

Office 92.9 293.1 17.3 186.2 34 107.3

Public
assembly 93.9 296.3 12.5 134.6 51.3 161.9

Public order
and safety 115.8 365.3 15.3 164.7 63.5 200.3

Religious
worship 43.5 137.2 4.9 52.7 26.9 84.9

Service 77 242.9 11 118.4 39.5 124.6

Warehouse
and storage 45.2 142.6 7.6 81.8 19.3 60.9

Other 164.4 518.7 22.5 242.2 87.6 276.4

See the U.S. Energy Information Administration website for building type definitions.

Electricity usage is estimated as follows:


Electricity usage = (Electric kwh/ft2 for space type x Project area)
= (17.3 kwh/ft2 x 75,000 ft2) + (14.3 kwh/ft2 x 15,000 ft2)

= 1,512,000 kwh

= 5,159,158 kBtu
The project natural gas usage can be estimated in the same manner:

natural gas usage = (non-Electric kBtu/ft2 for space type x Project area)
= (34 kBtu/ft2 x 75,000 ft2) + (25.1 kBtu/ft2 x 15,000 ft2)

= 2,926,000 kBtu

The projects total annual building energy use is the sum of the electric and natural gas usage: 8,085,658 kBtu.

esTablishinG Green-e equivalenCy


Projects not using Green-e certified products must demonstrate the alternatives equivalency to the quality
standards established for Green-e Energy and Green-e Climate products:
Green-e Energy National Standard v2.3, Sections II, III (excluding G), IV (excluding A), and V
Green-e Energy Code of Conduct and Customer Disclosure Requirements Sections III-VII
Green-e Climate National Standard v2.1, Sections 4, 5, 6.1, 6.3, 6.4, and 7
468

Green-e Climate Code of Conduct Sections II-VII


The accounting process and standards must be equivalent to Green-e products and address the following:
Verifiable chain of custody
Verifiable age of renewable energy
Tracking of GHG reductions from eligible projects
Mechanism to prevent double-counting
Third partyverified retail transaction

For carbon offsets, retirement of an eligible credit alone is not equivalent to Green-e Climate certification.

CalCulaTinG Greenhouse Gas eMissions


When calculating offsets, project teams must use the default emissions factors established by ENERGY STAR
Portfolio Manager for the appropriate fuel types (Tables 3 and 4). Using Equation 5, apply the default emissions
factor to the projects annual fuel consumption to determine the buildings greenhouse gas footprint is
determined, expressed in metric tons of CO2 equivalent (CO2e).
Equation 5. Project greenhouse gas emissions

GHG emissions (CO2e) = Consumption CO2 emissions factor

where emissions factor = mass CO2 per mass or volume unit of fuel

tablE 3. Direct GHG emissions factors

Fuel type Mt co2e/kbtu Mt co2e/kWh

Natural gas 5.32 10-5 1.82 10-4

Fuel oil (No. 2) 7.36 10-5 2.51 10-4

Wood 1.02 10-4 3.47 10-4

Propane 6.35 10-5 2.17 10-4

Liquid propane 6.36 10-5 2.17 10-4

Kerosene
7.27 10-5 2.48 10-4

Fuel oil (No. 1) 7.36 10-5 2.51 10-4

Fuel oil (Nos. 5 and 6) 7.92 10-5 2.70 10-4

Coal (anthracite) 1.04 10-4 3.56 10-4

Coal (bituminous) 9.42 10-5 3.21 10-4

Coke 1.14 10-4 3.90 10-4

Fuel oil (No. 4) 7.36 10-5 2.51 10-4

Diesel 7.36 10-5 2.51 10-4

tablE 4. Indirect GHG emissions factors


469

Fuel type Mt co2e/kbtu Mt co2e/kWh

Purchased electricity (national average) 1.73 10-4 5.90 10-4

District steam 7.90 10-5 2.69 10-4

District hot water 7.90 10-5 2.69 10-4

District chilled water, electric-driven chiller


(0.238095 purchased electricity national average) 4.11 10-5 1.40 10-4

District chilled water, absorption chiller using natural gas 6.65 10-5 2.27 10-4

District chilled water, engine-driven chiller using natural 4.43 10-5 1.51 10-4
gas

exaMPles
Example 1. Determining compliance based on modeled energy use

A project team has used modeling to comply with EA Prerequisite Minimum Energy Performance (Option 1).
According to the whole-building simulation results, the project buildings annual electricity use is 5,077,667
kWh plus 5,750,000 kBtu of natural gas use. To earn 1 point under this credit, the project team has two choices.

1. The project can purchase RECs for electricity consumption and carbon offsets for natural gas consumption.
For RECs, the team uses the following calculation:
5,077,667 kwh/yr x 50% = 2,538,834 kwh/yr

For carbon offsets, the team uses this calculation:


5,775,000 kBtu/yr x (5.32 x 10-5 mtco2e/kBtu) x 50% = 153.6 mtco2e/yr

Projects are not required to cover 50% of its electricity use and 50% of its natural gas use, only 50% of total
energy use.

2. Alternatively, the project can purchase carbon offsets for all consumption (Scope 1 and Scope 2 emissions).
For the carbon offsets to cover electricity use (Scope 2), the team performs the following calculation:
5,077,667 kwh/yr x (5.90 x 10-4 mtco2e/kwh) = 2995.8 mtco2e/yr

For carbon offsets to cover natural gas use (Scope 1), the team uses this calculation:
5,775,000 kBtu/yr x (5.32 x 10-5 mtco2e/kBtu) = 307.2 mtco2e/yr

2995.8 + 307.2 = 3303 metric tons of CO2 equivalent. Thus, the projects total carbon offsets are as follows:
3303 mtco2e/yr x 50% = 1651.5 mtco2e/yr

Example 2. Determining compliance using CBECS data

A project team has achieved EA Prerequisite Minimum Energy Performance through one of the prescriptive
pathways (Option 2 or 3) and will therefore use CBECS data to estimate electricity and gas consumption. The
project is a 100,000-square-foot office building with 10,000 square feet of ground-floor retail space that uses
both electricity (for cooling and equipment) and natural gas (for heating and domestic hot water). The team is
attempting to earn 2 points by covering 100% of the buildings energy use through RECs and offsets.
470

The team must estimate total electricity and natural gas use based on CBECS data for both space types, as
follows:
office electricity: 100,000 ft2 x 17.3 kwh/ft2 = 1,730,000 kwh Retail electricity:
10,000 ft x 14.3 kwh/ft2 = 143,000 kwh
2

143,000 + 1,730,000 = 1,873,000 kwh

office natural gas: 100,000 ft2 x 34 kBtu/ft2 = 3,400,000 kBtu The emissions

factors are applied as follows:


3,400,000 kBtu x (5.32 x 10-5) = 180.88 mtco2e office natural gas

Retail natural gas: 10,000 ft2 x 25.1 kBtu/ft2 = 251,000 kBtu

251,000 kBtu x (5.32 x 10-5) = 13.35 mtco2e retail natural gas

180.88 + 13.35 = 194.23 mtco2e total retail and office

To earn 2 points, the project must purchase Green-e certified green power equal to 1,873,000 kWh and must
also purchase carbon offsets for 194.23 metric tons of CO 2 equivalent.

raTinG sysTeM variaTions


Core and Shell
If the core and shell floor area is less than 15% of the gross floor area, use 15% of the total building area for the
calculations. If not, use the actual percentage of core and shell floor area to determine the amount of energy
consumption.

ProjeCT TyPe variaTions


District Energy Systems (DES)
For projects using energy model Path 2 or 3 (aggregate building or DES scenario), green power and offsets used
in a DES may contribute toward this credit for a connected building. For any projects using energy model Path
1, green power and offsets used in a DES do not contribute toward the credit for a connected building.
Performance is based on the fraction of the project buildings annual energy consumption that is supplied by
green power or made up for by carbon offsets. In the DES setting, this fraction depends in turn on the fraction of
district plant electricity that is supplied by the green power or offset, and the fraction of the models annual
energy consumption associated with the DES. For each thermal energy source provided to the building by the
district plant, calculate the green power or offset contribution by using Equations 6, 7, and 8.
Equation 6. Annual DES energy supplied by green power sources or covered by offsets

( )( )
Fraction of thermal
Carbon equivalent of fuel
Quantity recs or green

power purchased

+
Quantity carbon offsets

purchased
}
471

green power or covered energy source i from by recs/offsets (gs)

used to generate source, i


= { generate source, iElectricity use to

Total energy used to generate source, i


Equation 7. Annual energy supplied by DES thermal energy source.

Fraction of building annual

energy consumption supplied


{
=
Building energy supplied by source, i }
by source (bs), i Total
building energy consumed
Equation 8. Total qualifying contribution from DES

Gs i

Bs i
i
=
Total Green Power or offset contribution from DES

Derive the project buildings total annual energy consumption reported for EA Credit Green Power and Carbon
Offsets credit compliance from the proposed case modeling run of EA Prerequisite Minimum Energy
Performance.
If green energy contributions from the DES are applied to the project, submit a letter from the DES owner or
operator verifying that the renewable energy is allocated specifically to the DES generation or distribution
equipment, and confirming that no renewable energy allocated specifically to the DES central plant building, if
any (in a separate LEED application), is being counted toward the renewable energy contribution of the satellite
project building. The letter must also confirm that no renewable energy is being double-counted among any
satellite project buildings (in separate LEED applications).
Projects without a Path 2 or 3 energy model may not take credit for renewable energy sources used for the
DES upstream of the project. However, credit may be taken for green power associated with the project itself. In
this case, project teams should follow the standard guidance.

inTernaTional TiPs
Projects must use Green-e qualified products or demonstrate Green-e equivalency to achieve this credit.
472

Projects that wish to use a local benchmark based on source energy from their countrys national or regional
energy agency must submit proof that the local benchmark contains a statistically significant sample of the
building type being referenced and that the benchmarking process is repeatable. The benchmark should include
at least 30 buildings of the project building type, and the data should be weather normalized and account for
internal and external loads.
Additional information on the regressions and models used in CBECS can be found at
eia.gov/emeu/cbecs/tech_ end_use.html to help determine whether a local baseline is equivalent to CBECS.
Projects outside the U.S. are not required to purchase products from the country in which the building is
located. Projects in Canada can either buy Green-e certified products or use RECs from Canadian facilities that
meet the eligible renewable definition and are generated at facilities certified by the EcoLogo Program
(ecologo.org).
Projects can use the WRI-WBCSD Greenhouse Gas Protocol Standards to calculate GHG emissions based
on GHG inventories for the project location.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation all projects

Annual electricity and nonelectricity energy use calculations X

Calculations showing required REC, green power, or carbon offsets for targeted point threshold X

Purchase contract or letter of commitment showing REC, green power, or carbon offsets for targeted
point threshold X

Green-e equivalency documentation, if not Green-e certified X

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance. The amount of the projects proposed energy use, as
determined in Option 1 of the related prerequisite, can be used to calculate the green power, RECs, or offsets
that will be contracted.

EA Credit Optimize Energy Performance. Implementing energy efficiency measures that reduce total annual
energy use will reduce the amount of RECs and carbon offset purchases required to meet this credits
requirements.

EA Credit Renewable Energy Production. Renewable energy production will reduce the projects total energy
use and therefore the amount of green power, RECs, or carbon offsets required.

ChanGes froM leed 2009


In addition to including electricity, the credit now requires nonelectric energy use to be offset using carbon
offsets.
The credit now requires a five-year contract and specifies that resources must have come online after
January 1, 2005, and be delivered at least annually.
473

The percentage thresholds have been increased to 50% for 1 point and 100% for 2 points.

referenCed sTandards
Green-e Energy and Green-e Climate: green-e.org

U.S. Department of Energys Commercial Buildings Energy Consumption Survey (CBECS):


eia.gov/consumption/commercial/index.cfm

Building Owners and Managers Association (BOMA): boma.org

ENERGY STAR Portfolio Manager: Methodology for Greenhouse Gas Inventory and Tracking
Calculations: energystar.gov/ia/business/evaluate_performance/Emissions_Supporting_Doc.pdf?72c6-8475

Inventory of U.S. Greenhouse Gas Emissions and Sinks: 19902010. Annex 2 Methodology and Data for
Estimating CO2 Emissions from Fossil Fuel Combustion:
epa.gov/climatechange/ghgemissions/usinventoryreport/archive.html

2006 IPCC Guidelines for National Greenhouse Gas Inventories: ipcc-


nggip.iges.or.jp/public/2006gl/index.html eGRID2012 Version 1.0U.S. Environmental Protection Agency:
epa.gov/cleanenergy/energy-resources/egrid/index.html

WRI-WBCSD Greenhouse Gas Protocol: ghgprotocol.org/standards

exeMPlary PerforManCe
Not available.
definiTions
carbon offset a unit of carbon dioxide equivalent that is reduced, avoided, or sequestered to compensate for
emissions occurring elsewhere (World Resources Institute)

district energy system (DES) a central energy conversion plant and transmission and distribution system that
provides thermal energy to a group of buildings (e.g., a central cooling plant on a university campus). It does not
include central energy systems that provide only electricity.

green power a subset of renewable energy composed of grid-based electricity produced from renewable energy
sources

Scope 1 emissions direct greenhouse gas emissions from sources owned or controlled by the entity, such as
emissions from fossil fuels burned on site.

Scope 2 emissions indirect greenhouse gas emissions associated with the generation of purchased electricity,
heating/cooling, or steam off site, through a utility provider for the entitys consumption.
474
Materials and
Resources (mr)
overvieW
The Materials and Resources (MR) credit category focuses on minimizing the embodied energy and other impacts associated with the
extraction, processing, transport, maintenance, and disposal of building materials. The requirements are designed to support a life-cycle
approach that improves performance and promotes resource efficiency. Each requirement identifies a specific action that fits into the
larger context of a life-cycle approach to embodied impact reduction.

The WasTe hierarChy

Construction and demolition waste constitutes about 40 percent of the total solid waste stream in the United States 1 and about 25% of
the total waste stream in the European Union.2 In its solid waste management hierarchy, the U.S. Environmental Protection Agency
(EPA) ranks source reduction, reuse, recycling, and waste to energy as the four preferred strategies for reducing waste. The MR section
directly addresses each of these recommended strategies.
Source reduction appears at the top of the hierarchy because it avoids environmental harms throughout a materials life cycle, from
supply chain and use to recycling and waste disposal. Source reduction encourages the use of innovative construction strategies, such
as prefabrication and designing to dimensional construction materials, thereby minimizing material cutoffs and inefficiencies.
Building and material reuse is the next most effective strategy because reusing existing materials avoids the environmental burden
of the manufacturing process. Replacing existing materials with new ones would entail production and transportation of new materials,
and it would take many years to offset the associated greenhouse gases through increased efficiency of the building. LEED has
consistently rewarded the reuse of materials. LEED v4 now offers more flexibility and rewards all material reuse achieved by a
projectboth in situ, as part of a building reuse strategy, and from off site, as part of a salvaging strategy.
Recycling is the most common way to divert waste from landfills. In conventional practice, most waste is landfilledan
increasingly unsustainable solution. In urban areas landfill space is reaching capacity, requiring

1. U.S. Environmental Protection Agency, epa.gov/osw/conserve/rrr/imr/cdm/pubs/cd-meas.pdf.


2. European Commission Service Contract on Management of Construction and Demolition Waste,
Final Report, http://www.eu-smr.eu/cdw/docs/BIO_
Construction%20and%20Demolition%20Waste_Final%20report_09022011.pdf (accessed April 9, 2013).
the conversion of more land elsewhere and raising the transportation costs of waste. Innovations in recycling technology improve
sorting and processing to supply raw material to secondary markets, keeping those materials in the production stream longer.
Because secondary markets do not exist for every material, however, the next most beneficial use of waste materials is
conversion to energy. Many countries are lessening the burden on landfills through a waste-to-energy solution. In countries such as
Sweden and Saudi Arabia, waste-to-energy facilities are far more common than landfills. When strict air quality control measures are
enforced, waste-to-energy can be a viable alternative to extracting fossil fuels to produce energy.
In aggregate, LEED projects are responsible for diverting more than 80 million tons (72.6 million tonnes) of waste from landfills,
and this volume is expected to grow to 540 million tons (489.9 million tonnes) by 2030. 3 From 2000 to 2011, LEED projects in Seattle
diverted an average of 90 percent of their construction waste from the landfill, resulting in 175,000 tons (158,757.3 tonnes) of waste
diverted.4 If all newly constructed buildings achieved the 90 percent diversion rate demonstrated by Seattles 102 LEED projects, the
result would be staggering. Construction debris is no longer waste, it is a resource.

life-CyCle assessMenT in leed

Through credits in the MR category, LEED has instigated market transformation of building products by creating a cycle of
consumer demand and industry delivery of environmentally preferable products. LEED project teams have created demand for
increasingly sustainable products, and suppliers, designers, and manufacturers are responding. From responsibly harvested wood to
increased recycled content to bio-based materials, the increased supply of sustainable materials has been measurable over the history
of LEED. Several MR credits reward use of products that perform well on specific criteria. It is difficult, however, to compare two
products that have different sustainable attributesfor example, cabinets made of wheat husks sourced from all over the country and
bound together in resin versus solid wood cabinets made from local timber. Life-cycle assessment (LCA) provides a more
comprehensive picture of materials and products, enabling project teams to make more informed decisions that will have greater
overall benefit for the environmental, human health, and communities, while encouraging manufacturers to improve their products
through innovation.
LCA is a compilation and evaluation of the inputs and outputs and the potential environmental impacts of a product system
throughout its life cycle.5 The entire life cycle of a product (or building) is examined, the processes and constituents identified, and
their environmental effects assessedboth upstream, from the point of manufacture or raw materials extraction, and downstream,
including transportation, use, maintenance, and end of life. This approach is sometimes called cradle to grave. Going even further,
cradle to cradle emphasizes recycling and reuse at the end of life rather than disposal.
Life-cycle approaches to materials assessment began in the 1960s with carbon accounting models. Since then, LCA standards and
practices have been developed and refined. In Europe and a few other parts of the world, manufacturers, regulators, specifiers, and
consumers in many fields have been using life-cycle information to improve their product selections and product environmental
profiles. Until relatively recently, however, the data and tools that support LCA were lacking in the U.S. Now a growing number of
manufacturers are ready to document and publicly disclose the environmental profiles of their products, and programs that assist this
effort and help users understand the results are available.
LEED aims to accelerate the use of LCA tools and LCA-based decision making, thereby spurring market transformation and
improving the quality of databases. Recognizing the limitations of the life-cycle approach for addressing human health and the
ecosystem consequences of raw material extraction, LEED uses alternative, complementary approaches to LCA in the credits that
address those topics.

Cross-CuTTinG issues

Required Products and Materials


The scope of the MR credit category includes the building or portions of the building that are being constructed or renovated.
Portions of an existing building that are not part of the construction contract are excluded from MR

3. USGBC, Green Building Facts, usgbc.org/ShowFile.aspx?DocumentID=18693 (accessed September 13, 2012).


4. City of Seattle, LEED Projects Analysis, seattle.gov/dpd/greenbuilding/docs/dpdp022009.pdf (accessed March 26, 2013).

5. ISO 14040 International Standard, Environmental management, Life cycle assessment,principles and
framework (Geneva, Switzerland: International Organization for Standardization, 2006).
469

documentation unless otherwise noted. For guidance on the treatment of additions, see the minimum program requirements.

Qualifying Products and Exclusions


The MR section addresses permanently installed building products, which as defined by LEED refers to products
and materials that create the building or are attached to it. Examples include structure and enclosure elements, installed
finishes, framing, interior walls, cabinets and casework, doors, and roofs. Most of these materials fall into
Construction Specifications Institute (CSI) 2012 MasterFormat Divisions 3-10, 31, and 32. Some products addressed
by MR credits fall outside these divisions.
Furniture is not required to be included in credit calculations. However, if furniture is included in MR credit calculations,
all furniture must be included consistently in all cost-based credits.
In past versions of LEED, all mechanical, plumbing, and electrical equipment (MEP), categorized as CSI
MasterFormat divisions 11, 21-28, and other specialty divisions, was excluded from MR credits. In this version of
LEED some specific products that are part of these systems but are passive (meaning not part of the active
portions of the system) may be included in credit calculations. This allows flexibility for the optional assessment of
piping, pipe insulation, ducts, duct insulation, conduit, plumbing fixtures, faucets, showerheads, and lamp housings.
If they are included in credit calculations, they must be included consistently across relevant MR credits. However,
unlike furniture, if some of these products are included in credit calculations, not all products of that type must be
included. For example, if the cost of ducts is included in the MR calculations for recycled content, the cost of ducts
that do not meet the credit requirement does not need to be included in the numerator or denominator of the credit
calculation. However, the denominator for cost-based credits (all Building Product Disclosure and Optimization
credits) calculations must be the same.
Special equipment, such as elevators, escalators, process equipment, and fire suppression, systems, is excluded from the credit
calculations. Also excluded are products purchased for temporary use on the project, like formwork for concrete.
For Healthcare projects, the scope of MR Credit Medical Furniture and Furnishings includes all freestanding furniture and medical
furnishings. Freestanding furniture items included in this credit cannot be counted in any Building Product Disclosure and Optimization
credits, to avoid double-counting. Permanently installed items such as casework and built-in millwork should be included in the
Building Product Disclosure and Optimization credits, not MR Credit Medical Furniture and Furnishings.

Defining a Product
Several credits in this category calculate achievement on the basis of number of products instead of product cost.
For these credits, a product or a permanently installed building product is defined by its function in the project. A product includes
the physical components and services needed to serve the intended function. If there are similar products within a specification, each
contributes as a separate product. Here are a few scenarios.

Products that arrive at the project site ready for installation:


Metal studs, wallboard, and concrete masonry units are all separate products.
For wallboard, the gypsum, binder, and backing are all required for the product to function, so each ingredient does
not count as a separate product.

Products that arrive as an ingredient or component used in a site-assembled product:


Concrete admixtures are considered separate products because each component (admixture, aggregate, and cement)
serves a different function; each component is therefore a separate product.

Similar products from the same manufacturer with distinct formulations versus similar products from the same manufacturer
with aesthetic variations or reconfigurations:
Paints of different gloss levels are separate products because each paint type is specified to serve a different
function, such as water resistance. Different colors of the same paint are not separate products because they serve
the same function.
Carpets of different pile heights are separate products because they are used for different kinds of foot traffic. The
same carpet in a different color is not a separate product.
Desk chairs and side chairs in the same product line are different products because they serve different
functions. Two side chairs differing only in aesthetic aspects, such as the presence of arms, are not different
products.

Determining Product Cost


Product and materials cost includes all taxes and expenses to deliver the material to the project site incurred by
the contractor but excludes any cost for labor and equipment required for installation after the material is
delivered to the site.
To calculate the total materials cost of a project, use either the actual materials cost or the default materials cost.
Actual materials cost. This is the cost of all materials being used on the project site,
excluding labor but including delivery and taxes.
Default materials cost. The alternative way to determine the total materials cost is to
calculate 45% of total construction costs. This default materials cost can replace the actual cost for most
materials and products, as specified above. If the project team is including optional products and materials, such
as furniture and MEP items, add the actual value of those items to the default value for all other products and
materials.

Location Valuation Factor


Several credits in the MR section include a location valuation factor, which adds value to locally produced
products and materials. The intent is to incentivize the purchase of products that support the local economy.
Products and materials that are extracted, manufactured, and purchased within 100 miles (160 kilometers) of the
project are valued at 200% of their cost (i.e., the valuation factor is 2).
For a product to qualify for the location valuation factor, it must meet two conditions: all extraction,
manufacture, and purchase (including distribution) of the product and its materials must occur within that radius
(Figure 1), and the product (or portion of an assembled product) must meet at least one of the sustainable criteria
(e.g., FSC certification, recycled content) specified in the credit. Products and materials that do not meet the
location criteria but do meet at least one of the sustainability criteria are valued 100% of their cost (i.e., the
valuation factor is 1).
The distance must be measured as the crow flies, not by actual travel distance. The point of purchase is

Figure 1. Example material radius


480
471

considered the location of the purchase transaction. For online or other transactions that do not
occur in person, the point of purchase is considered the location of product distribution.
For the location valuation factor of salvaged and reused materials, see MR Credit Building
Product Disclosure and OptimizationSourcing of Raw Materials, Further
Explanation, Material Reuse Considerations.

Determining Material Contributions of an Assembly


Many sustainability criteria in the MR category apply to the entire product, as is the case for
product certifications and programs. However, some criteria apply to only a portion of the
product. The portion of the product that contributes to the credit could be either a percentage of
a homogeneous material or the percentage of qualifying components that are mechanically or
permanently fastened together. In either case, the contributing value is based on weight.
Examples of homogeneous materials include composite flooring, ceiling tiles, and rubber wall
base. Examples of assemblies (parts mechanically or permanently fastened together) include
office chairs, demountable partition walls, premade window assemblies, and doors.
Calculate the value that contributes toward credit compliance as the percentage, by weight, of the
material or component that meets the criteria, multiplied by the total product cost.

Product value ($) = total product cost ($) x (%) product component by weight x (%) meeting sustainable
criteria

(25% recycled content) (40% recycled content) (10% post-consumer


recycled content)

Percentage (%) denotes assembly components by weight

Figure 2. Sustainably produced components of $500 office chair


tablE 1. Example calculation for $500 office chair

Percentage of
chair Percentage of product, by value of component meeting value of
component weight component sustainability criteria sustainability criteria

25% preconsumer recycled


Fastening hardware 2% $10 content $2.50

100% certified by
Cotton fabric 5% $25 Rainforest Alliance $25.00

10% postconsumer recycled


Plastic component 25% $125 content $12.50

10% postconsumer recycled


Armrest 5% $25 content $2.50

25% preconsumer recycled


Metal base 20% $100 content $25.00

40% preconsumer recycled


Steel post 8% $40 content $16.00

5% postconsumer recycled
Wheels 5% $25 content $1.25

Total value contributing to credit $84.75


482
MaTerials and resourCes PrerequisiTe

storage and collection of


Recyclables
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to reduce the waste that is generated by building occupants and hauled to and disposed of
in landfills.

requireMenTs
neW ConsTruCTion, Core and shell, sChools, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy,
healThCare

Provide dedicated areas accessible to waste haulers and building occupants for the collection and storage of
recyclable materials for the entire building. Collection and storage areas may be separate locations. Recyclable
materials must include mixed paper, corrugated cardboard, glass, plastics, and metals. Take appropriate
measures for the safe collection, storage, and disposal of two of the following: batteries, mercury-containing
lamps, and electronic waste.

reTail

Conduct a waste stream study to identify the retail projects top five recyclable waste streams, by either weight
or volume, using consistent metrics. Based on the waste stream study, list the top four waste streams for which
collection and storage space will be provided. If no information is available on waste streams for the project,
use data from similar operations to make projections. Retailers with existing stores of similar size and function
can use historical information from their other locations.
Provide dedicated areas accessible to waste haulers and building occupants for the separation, collection, and
storage of recyclable materials for at least the top four recyclable waste streams identified by the waste study.
Locate the collection and storage bins close the source of recyclable waste. If any of the top four waste streams
are batteries, mercury-containing lamps, or electronic waste, take appropriate measures for safe collection,
storage, and disposal.
.

.
484

sTeP 2. desiGn aPProPriaTely siZed sToraGe areas


Provide sufficient collection and storage space for all required recyclables. indicate recycling storage and collection areas on a
floor plan, and be prepared to describe the dedicated recycling storage areas, their accessibility, and how these spaces will
serve their functional needs (see Further Explanation, Infrastructure Considerations).
storage areas should be easily accessible to building occupants, including visitors, full-time occupants, operations staff, and waste
haulers.
for hazardous waste streams (batteries, mercury-containing lamps, e-waste), take appropriate measures for safe collection,
storage, and disposal.
Locate and highlight central collection and storage areas for recyclables, including paper, cardboard, glass, plastic, metal, and e-
waste, on submitted floor plans.

475

ProjeCTs WiThouT available reCyClinG infrasTruCTure


Projects where there is no access to haulers or external facilities must still comply with this
prerequisite by establishing accessible recycling areas. As an interim measure, until a recycling
service becomes available, consider alternative means of recycling, such as reuse or donation.
The requirements of this prerequisite help establish recycling infrastructure in the building and
encourage waste separation behavior by occupants.

infrasTruCTure ConsideraTions
Consider the following factors for the setup, size, and accessibility of storage and collection of recyclables.

Recycling approach. Research local recycling programs. Some project teams may need to coordinate multiple
services. Determine which materials will be stored separately on site and which may be commingled into a
single stream and separated off site. The number and size of bins will affect storage requirements. Consider any
special equipment that might be needed (e.g., tanks for fryer oil, compactors, and bailers).

Frequency of collection. Occupants may generate more of one type of waste than another, necessitating
different schedules for collection or different space requirements. Haulers may operate on a calendar schedule,
use sensing technology to retrieve waste only when the compactor is full, or negotiate pick-up patterns for
specialized waste, such as e-waste.

Specialized waste streams. Some waste streams may require particular handling or disposal requirements. For
example, health care, retail, and some office projects may require secure areas for shredding sensitive or
proprietary documents. Electronic waste and mercury-containing lamps may require extra precautions to prevent
breakage or exposure to toxins. To set up safe storage and recycling programs, refer to the U.S. Environmental
Protection Agencys universal wastes page, at epa.gov/wastes/hazard/wastetypes/universal/index.htm.

Access for waste haulers. Ensuring that waste haulers have access to the recyclable materials is particularly
important when planning and building loading docks and roads or when special equipment is required. It may be
necessary to demonstrate hauler accessibility by highlighting central storage locations and equipment pull-in on
a site plan. Project teams may wish to consult local waste haulers to ensure adequate space for collection
vehicles, with appropriate clearances and turning radii.

raTinG sysTeM variaTions

Core and Shell


Because tenant spaces are likely to be unfinished, Core and Shell projects may estimate tenants
recycling needs, based on case study or historical data of similar buildings in the same area, or
past project experience.
To reinforce recycling behaviors amongst future occupants, consider incorporating recycling program
requirements
into tenant guidelines, including information regarding the buildings recycling policy and procedures; the
requirement that tenant spaces are to be fit-out with dedicated, accessible recycling areas; and recommendations
and guidelines for appropriate sizing of recycling infrastructure.

Retail
Retail projects must identify the projects top-five recyclable waste streams by conducting a waste stream study.
The waste stream study must include, at a minimum, a 24-hour period. In some cases the representative
time period may be longer. Project teams will be asked how the time period chosen is a representative sample
The required measurement of each waste stream may be by weight or volume but must be consistent. Visual
estimation is not considered an effective metric. Project teams must describe the method of conducting the waste
stream study, including location, time period, separation method, safety precautions, and measurement method.
Waste streams comprise two major substreams: waste disposed of via landfills or incinerators and waste
diverted from disposal through recycling, reuse, or composting. The results of the waste stream study must
divide the waste into at least these two substreams.
Use the findings of the study to evaluate how each type of waste can be reduced and set goals for minimizing
waste and disposal costs. This may include source reduction, reuse, and recycling. In addition, check local waste
haulers, buyers, and other recycling service providers to investigate the potential disposal and diversion options.
For example, a local nursery may be able to use coffee grounds for compost.
If a waste stream study is not feasible, the project team may make an informed estimate using one of the
following approaches:
Make projections based on waste stream study of similar retail operation in close proximity to the
project. Use historical data from existing stores in other locations of the same retailer of similar
size and function.

CaMPus
Group Approach
All buildings in the group may be documented as one. For campuses, a shared central recycling facility for
haulers is acceptable, provided the space accommodates recycling produced by all buildings served.

Campus Approach
Eligible.

required doCuMenTaTion
486

documentation all projects retail only

Verification of recycled material types X

Narrative describing recycling storage and collection strategies X

Floor plans indicating recycling storage and collection areas X

Methodology and results of waste stream study X

477

relaTed CrediT TiPs


MR Prerequisite PBT Source ReductionMercury (Healthcare). Mercury-containing lamps
and certain types of electronic waste fall under the scope of both this prerequisite and the related
prerequisite. Consider both scenarios when designing waste and recycling facilities.

ChanGes froM leed 2009


Materials that require dedicated storage now include batteries, mercury-containing lamps, and
e-waste; project teams may choose two of the three. For retail projects, the required number of
waste streams with dedicated storage has increased from three to four.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
mixed paper white and colored paper, envelopes, forms, file folders, tablets, flyers, cereal boxes, wrapping
paper, catalogs, magazines, phone books, and photos

dedicated storage a designated area in a building space or a central facility that is sized and allocated for a
specific task, such as the collection of recyclable waste. Signage often indicates the type of recyclable waste
stored there. Some waste streams, such as mercury-based light bulbs, sensitive paper documents, biomedical
waste, or batteries, may require particular handling or disposal methods. Consult the municipalitys safe storage
and disposal procedures or use guidelines posted on the U.S. Environmental Protection Agency website, at
www.epa.gov.

electronic waste discarded office equipment (computers, monitors, copiers, printers, scanners, fax machines),
appliances (refrigerators, dishwashers, water coolers), external power adapters, and televisions and other
audiovisual equipment
MaTerials and resourCes PrerequisTe

construction and Demolition


waste
Management Planning
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to reduce construction and demolition waste disposed of in landfills and incineration


facilities by recovering, reusing, and recycling materials.

requireMenTs
Develop and implement a construction and demolition waste management plan:
Establish waste diversion goals for the project by identifying at least five materials (both structural and
nonstructural) targeted for diversion. Approximate a percentage of the overall project waste that these
materials represent.
Specify whether materials will be separated or commingled and describe the diversion strategies planned for
the project. Describe where the material will be taken and how the recycling facility will process the
material.

Provide a final report detailing all major waste streams generated, including disposal and diversion rates.
Alternative daily cover (ADC) does not qualify as material diverted from disposal. Land-clearing debris is
not considered construction, demolition, or renovation waste that can contribute to waste diversion.
Behind the intent
Construction waste is a significant portion of the waste produced in the world. The U.S. Environmental
Protection Agency (EPA) estimated that in the U.S. in 2003, 170 million tons of construction and demolition
waste were generated and, of that, 61% from nonresidential construction projects.1 The European Commission
estimates that 510 million metric tonnes of construction waste is generated annually by European Union member
nations.2 Keeping these materials out of landfills prevents ground and water pollution, promotes recycling, and
keeps materials in active use longer.
Waste management services vary widely from one location to another; therefore, teams should begin by
identifying the technologies, haulers, and facilities in the projects area. Planning for construction waste
management (CWM) before construction allows time to identify the most effective waste diversion strategies
available. Such strategies typically include reuse, recycling, donation, and salvage; however, source
reduction and source separation are also viable and effective. Source reduction eliminates project waste
through prefabrication, modular construction, or incorporating standard material lengths or sizes into
construction documents. Source separation sorts waste on site into recycling streams, ensuring delivery to the
correct facility.
488
Developing a CWM plan early in the design process allows more time for planning and coordination,
identifying appropriate strategies, and developing contractual agreements. Educating project team members, site
workers, and waste haulers helps ensure that the plan is followed and material is actually diverted from landfills
and incinerators. A well-devised CWM plan can also minimize cost and maximize return by decreasing tipping
fees, selling highvalued scrap materials, or identifying materials for reuse.

SteP-BY-SteP GUidAnCe

SteP 1. identifY wASte diverSion GoAlS


Identify at least five construction or demolition material streams for diversion from landfill. It may be easiest to focus on
determining the heaviest waste or the waste that generates the most volume.
Common materials that may be simple to divert include drywall, wood, scrap metals, brick, and concrete.
Finish materials, such as flooring and ceiling tiles, can often be recycled through the major manufacturers.
Consider incorporating reuse of finish materials, furniture, or framing into the design early. Reusing existing materials may
require design modifications. Some materials must remain intact to be reused (e.g., drywall) or may require additional
preparation (e.g., de-nailing).
Source reduction strategies should be incorporated into the design of the project and outlined in the CWM plan. These
strategies include modular construction, reduced packaging, using industry-standard measurements, and prefabrication.

SteP 2. SeleCt ColleCtion And diverSion methodS


Explore on-site and off-site waste collection and sorting opportunities and consider the infrastructure needed for
implementation (see Further Explanation, Effective Construction Waste Management Strategies).
Projects may use a combination of on-site separation and commingled collection, depending on what is appropriate for the
project location, material stream, and available facilities and haulers.
For on-site separation, common CWM strategies include donation, resale, on-site reuse, recycling, or refurbishment. Crushing
asphalt, concrete, and masonry for infill or aggregate is also considered onsite waste diversion.
The most common off-site strategies are incineration, combustion of wood, and sending commingled waste to a sorting
facility.
Identify diversion options for materials.
Incineration may be considered diversion if reuse and recycling methods are not readily available in the projects location; this
must be included in the CWM plan. Wood-derived fuel, or wood combustion,
Figure 1. ENERGY STAR water management system builder checklist is considered diversion and not subject to the
additional requirements for incineration (see Further

1. epa.gov/osw/nonhaz/municipal/pubs/msw2009rpt.pdf (accessed July 3, 2013).


2. ec.europa.eu/environment/waste/pdf/story_book.pdf (accessed May 28, 2013).
481

Explanation, Waste-to-Energy).
using a recycling facility for which recycling rates have been independently certified by a third party,
such as the Recycling certification institute (recyclingcertification.org), provides assurance that
diversion rates are accurate, but it is not required for compliance. some haulers work with local
municipalities to certify their average diversion rates.
consider how cwM plan requirements, or the requirement to write a plan, can be included in specification
documents under Division 1, General Requirements.

sTeP 3. drafT ConsTruCTion WasTe ManaGeMenT Plan


the cwM plan must be customized for each project. the plan must include an overall project waste diversion
goal and identify at least five kinds of materials that will be diverted from landfills or incineration.
there is no minimum threshold for diversion, though project teams may earn points for meeting the
thresholds set in the corresponding credit (see MR credit construction and Demolition waste
Management).
all projects must comply with this prerequisite, including projects located in areas without recycling services and
those not intending to pursue the corresponding credit.
the plan must account for all materials, including land-clearing debris, materials to be used for alternative
daily cover (aDc), and other materials not contributing to diversion but not included in the diverted waste
total.
the safe removal and disposal of hazardous materials must also be covered in the cwM plan.
hazardous materials must be tracked separately and not be included in the projects total waste.
specify the means and methods of diversion for each of the five selected material streams and the approximate
amount of waste of each.
if possible, provide contracts or sample contract language that describes the waste-sorting strategies and
technologies used by the waste hauler and facility. successful cwM plans start with early establishment of
contractual obligations.
when developing the waste hauler contract, consider including the waste reporting structure, a schedule
that identifies the responsible parties and their contact information, and a clear chain and method of
communication. consider involving waste haulers in regular construction meetings.

sTeP 4. deCide WheTher To Pursue CrediT


Determine whether the project team will seek to achieve the corresponding credit, which awards points for
implementing the plan developed in this prerequisite and meeting diversion thresholds (see MR credit
construction and Demolition waste Management). a project team that does not pursue the credit must
nevertheless develop the plan and produce a final waste report.

sTeP 5. ProduCe WasTe rePorT


create a final report on the total construction and demolition waste produced by the project and the total
waste diverted, using the following equation.

Equation 1. Diversion rate

Diversion rate = (Total waste diverted from landfill / Total waste produced by project) 100

units may be weight or volume but must be consistent throughout.


if the project team is pursuing the corresponding credit, see MR credit construction and Demolition waste
Management for additional requirements for the final waste report.
See calculations in Step-by-Step Guidance. This prerequisite has no performance requirement, but the corresponding credit does (see
MR Credit Construction and Demolition Waste Management).

effeCTive ConsTruCTion WasTe ManaGeMenT sTraTeGies


On-site separation (also known as source separation) is most viable if multiple bins are conveniently located and the general contractor
and subcontractors enforce careful separation. A best practice for source separation is to target waste materials that are easily separated
and have established recycling markets, such as steel, wood, and concrete.
On-site separation is preferable tow commingling because separated wastes are more likely to actually be diverted from the
landfill. Using easy-to-understand multilingual or symbol-based signage helps prevent contamination of on-site source
separation areas.
Commingled collection (or single-stream recycling) may be more appropriate for sites with limited storage area for waste
containers. Recyclable materials are mixed in one container but sorted and processed at an off-site recycling facility, which separates
them from the waste going to a landfill. Commingled waste may be considered only one material stream unless the facility can provide
diversion rates for specific materials.
To count toward the corresponding credit (MR Credit Construction and Demolition Waste Management), commingled recycling
facilities must be able to provide diversion rates either specific to the project, or an average diversion rate for the facility that is
regulated by the local or state authority. The average recycling rate for the facility must exclude ADC.
Donating surplus or architectural salvage or community donation is permissible as long as the organization can verify and track the
material, including how much is received and information for where they are going. Habitat for Humanity Restore is a commonly used
donation facility in the U.S. and Canada.
Use of construction waste to infill mining pits is permissible only if the waste is clean and the work is overseen by the
state or local government or a government sponsored organization.
Leaving items on the curb for people to pick up is not acceptable. Dumping in the ocean is never permissible as a diversion
strategy.

WasTe-To-enerGy
Waste-to-energy may be considered a viable diversion strategy if the project team follows European Commission
Waste Framework Directive 2008/98/EC and European Commission Waste Incineration Directive 200/76/EC. In addition, the
facility must meet the applicable European standards based on the fuel type. See Referenced Standards for more information
on these directives:
EN 303-11999/A12003, Heating boilers with forced draught burners
EN 303-21998/A12003, Heating boilers with forced draught burners
EN 303-31998/AC2006, Gas-fired central heating boilers
EN 303-41999, Heating boilers with forced draught burners
EN 303-52012, Heating boilers for solid fuels
EN 303-62000, Heating boilers with forced draught burners
EN 303-72006, Gas-fired central heating boilers equipped with a forced
draught burner

The combustion of wood or wood-derived fuel is not considered waste-to-energy and is exempt from the above criteria.
Project teams must demonstrate that reuse and recycling strategies were exhausted before sending waste material to energy
facilities.
483

CaMPus
Group Approach
All buildings in the group may be documented as one. Campus buildings may develop one comprehensive plan for
construction waste.

Campus Approach
Eligible.

required doCuMenTaTion
documentation all projects

Construction waste management plan X

Total construction waste X

relaTed CrediT TiPs


MR Credit Construction and Demolition Waste Management. See the related credit for additional considerations and waste
diversion requirements.

ChanGes froM leed 2009


The creation of a CWM plan is a new requirement.

referenCed sTandards
European Commission Waste Framework Directive 2008/98/EC: www.ec.europa.eu/environment/waste/
framework/index.htm

European Commission Waste Incineration Directive 2000/76/EC: www.europa.eu/legislation_summaries/


environment/waste_management

EN 303-11999/A12003, Heating boilers with forced draught burners, Terminology, general requirements, testing
and marking: www.cen.eu/cen/Products

EN 303-21998/A12003, Heating boilers with forced draught burners, Special requirements for boilers with
atomizing oil burners: www.cen.eu/cen/Products

EN 303-31998/AC2006, Gas-fired central heating boilers, Assembly comprising a boiler body and a forced draught
burner: www.cen.eu/cen/Products

EN 303-41999, Heating boilers with forced draught burners, Special requirements for boilers with forced
draught oil burners with outputs up to 70 kW and a maximum operating pressure of 3 bar, Terminology,
special requirements, testing and marking: www.cen.eu/cen/Products
EN 303-52012, Heating boilers for solid fuels, manually and automatically stoked, nominal heat output of up to 500
kW: www.cen.eu/cen/Products

EN 303-62000, Heating boilers with forced draught burners, Specific requirements for the domestic hot water operation of
combination boilers with atomizing oil burners of nominal heat input not exceeding 70 kW: www.cen.eu/cen/Products
EN 303-72006, Gas-fired central heating boilers equipped with a forced draught burner of nominal heat output not exceeding
1000 kW: www.cen.eu/cen/Products

exeMPlary PerforManCe
Not available.

definiTions
alternative daily cover (ADC) material other than earthen material placed on the surface of the active face of a municipal solid waste
landfill at the end of each operating day to control vectors, fires, odors, blowing litter, and scavenging. Generally these materials must
be processed so they do not allow gaps in the exposed landfill face.
(CalRecycle)

clean waste nonhazardous materials left over from construction and demolition. Clean waste excludes lead and asbestos.

commingled waste building waste streams that are combined on the project site and hauled away for sorting into recyclable streams.
Also known as single-stream recycling.

land-clearing debris and soil materials that are natural (e.g., rock, soil, stone, vegetation). Materials that are manmade (e.g., concrete,
brick, cement) are considered construction waste even if they were on site.

waste-to-energy the conversion of nonrecyclable waste materials into usable heat, electricity, or fuel through a variety of processes,
including combustion, gasification, pyrolization, anaerobic digestion, and landfill gas (LFG) recovery
MaTerials and resourCes PrerequisiTe

PBt source
ReductionMercury
this prerequisite applies to: healthcare

inTenT

to reduce mercury-containing products and devices and mercury release through


product substitution, capture, and recycling.

requireMenTs
As part of the projects recycling collection system, identify the following:
types of mercury-containing products and devices to be collected; criteria
governing how they are to be handled by a recycling program; and disposal methods for
captured mercury.
Applicable mercury-containing products and devices include, but are not limited to, lamps (such as linear and circular fluorescents,
integrally ballasted and nonintegrally ballasted compact fluorescents and HIDs) and dental wastes (such as scrap amalgam, chair side
traps, and separator wastes).
In facilities delivering dental care, specify and install amalgam separation devices that meet or exceed the ISO11143 standard.
Comply with the mercury elimination requirements outlined below, from the 2010 FGI Guidelines for Design and Construction of
Health Care Facilities, Section A1.3- 4b, Mercury Elimination.
4.2.1.1. New construction: healthcare facilities may not use mercury-containing equipment, including thermostats, switching
devices, and other building system sources. Lamps are excluded.
4.2.1.2. Renovation: healthcare facilities must develop a plan to phase out mercury-containing products and upgrade current
mercury-containing lamps to high-efficiency, low-mercury, or mercury-free lamp technology.

Do not specify or install preheat, T-9, T-10, or T-12 fluorescents or mercury vapor high-intensity discharge (HID) lamps in the project.
Do not specify probe-start metal halide HID lamps in any interior spaces.
Specify and install illuminated exit signs that do not contain mercury and use less than 5 watts of electricity. Fluorescent and high-
pressure sodium lamps must meet the criteria in Table 1.
tablE 1. Maximum mercury content of lamps

lamp Maximum content

T-8 fluorescent, eight-foot 10 mg mercury

T-8 fluorescent, four-foot 3.5 mg mercury

T-8 fluorescent, U-bent 6 mg mercury

T-5 fluorescent, linear 2.5 mg mercury

T-5 fluorescent, circular 9 mg mercury

Compact fluorescent, nonintegral ballast 3.5 mg mercury

Compact fluorescent, integral ballast 3.5 mg mercury, ENERGY STAR qualified

High-pressure sodium, up to 400 watts 10 mg mercury

High-pressure sodium, above 400 watts 32 mg mercury

mg = milligram
494

.
495

specify high-efficiency, low-mercury lamps that meet the credit criteria for the specific lamp type, or specify mercury-free
lamps (see Further Explanation, Lamp Exclusions).
although 8-foot and u-bent lamps are permitted under this prerequisite, they are particularly susceptible to breakage because
of their size and configuration. consider eliminating large and awkward lamps for operational staff safety.
include specifications for illuminated exit signs and metal halide lamps that meet the criteria.
Mercury-free alternatives to low-wattage fluorescent lamps, such as LED or LEc, comply with the credit requirements only if
they are at least as energy efficient as comparable mercury-containing lamps.
if either average and maximum values or ranges are given for mercury content in manufacturers data, use the highest value.

sTeP 2. sPeCify CoMPlianT aMalGaM seParaTion for denTal faCiliTies


(if aPPliCable)
specify amalgam separation devices that meet or exceed iso 11143 standards.
separators reduce the amount of amalgam entering the sewage system by removing amalgam particles from the wastewater
of a dental treatment center.
the iso standard specifies the efficiency of the amalgam separators (in terms of the level of retention of amalgam based on a
laboratory test) and the test procedure for determining this efficiency.
this standard also includes requirements for the safe function of the amalgam separator through integral markings and
instructions for use, operation, and maintenance.

sTeP 3. TraCk ProduCTs durinG ConsTruCTion


track specified and purchased materials during construction with a material checklist or tracking form (see Further Explanation,
Sample Inventory and Lighting Schedule).
Prepare a lighting schedule that includes mercury content, ballast type, and product manufacturers information for mercury-
containing and high-pressure sodium lamps.
check material safety data sheets and manufacturers documentation before installation to ensure that only qualifying
products and lamps are used.

sTeP 4. Plan for ColleCTinG and reCyClinG MerCury-ConTaininG equiPMenT create a mercury collection and
recycling program, including storage areas, handling methods, and disposal process. Prepare a narrative that describes the
plan.
consider undertaking the following activities during plan preparation and implementation:
coordinate the collection and recycling of mercury-containing devices with MR Prerequisite storage and collection of
Recyclables. conduct an audit of a similar facility to identify mercury-containing devices in the projects waste stream and
inform the development of appropriate recycling facilities (see Further Explanation, Mercury-Containing Devices in the Waste
Stream).
Develop a protocol for collection and disposal of mercury-containing spills and incorporate it into training for operating
personnel.
coordinate the development of a recycling program for mercury-containing products with representatives from waste
management, purchasing, and industrial hygiene.
avoid bulb crushers, which can expose workers to mercury vapor and generate hazardous waste, even though crushed bulbs
are not classified as universal waste.

furTher exPlanaTion

invenTory sCoPe
The following building equipment must be included in the prerequisite scope for projects planning to reuse
existing mercury-containing equipment and lamps:
Thermostats
Switching devices
Relays
496

Lamps
Because the following types of medical equipment could have hidden mercury, and it is recommended that they
be included in a mercury inventory and phase-out plan:
MRI equipment
Wheelchairs
Automated beds
Cantor
tubes
Bed
warmers
Thermometers
Pressure-measuring devices
Mercury content requirements are specified by lamp type. Figure 1 is an example of typical lamp types in a
Healthcare project.

Figure 1. Lamp Types

SCALE: 1

(25.4 mm)

laMP exClusions
Operating rooms, dental treatment rooms, dental labs, and other spaces in medical military facilities may require
lamps with very high CRI and color temperature to comply with UFC 4-501-01. If the prerequisite criteria and
UFC 4-501-01 conflict, affected lamps may be excluded from the prerequisite.
497

If the prerequisite criteria and local code or regulations conflict, affected lamps may be excluded from the
prerequisite. Retain a copy of the local code that conflicts with the prerequisite criteria.
MerCury-ConTaininG deviCes in The WasTe sTreaM
Mercury-containing waste to be addressed in coordination with MR Prerequisite Storage and Collection of
Recyclables includes the following equipment:
Linear and circular fluorescent lamps
Compact fluorescent lamps
HID lamps
Dental wastes (scrap amalgam, chair side traps, amalgam separator wastes)

The following data should be captured during an audit to identify mercury-containing devices in the project
waste stream:
Product type
Quantity of each product type
Criteria for handling and storage after the end of a products useful life
Protocols for spill response
Disposal methods for captured mercury
Contact information for coordinators of the mercury-recycling program

saMPle invenTory and liGhTinG sChedule


The lamp inventory and lighting schedule include information related to the lamp life. The following data must
be included in the lighting schedule:
Lamp type
Quantity
Mercury content
Ballast type
Rated life criteria (see Further Explanation,
Finding Lamp Data) Actual rated life

tablE 1. Sample inventory and lighting schedules

Mr Prerequisite Mr credit

lamp
mercury rated life
Max mercury content lamp rated
lamp type Model quantity ballast type criteria
criteria (mg) (mg) life (hours)
(hours)

T8, 8-ft
F32T8 2,000 Instant start 10 1.7 24,000 24,000
standard

T8, 8-ft high


F48T8 44W 100 Instant start 10 3.5 18,000 18,000
output

FB32T8/6
T8, U-bent 25W 25 Program start 6 3 25,000 20,000
498

T5 F28T5/850 50 Program start 2.5 1.4 25,000 25,000

Integral bare
CFL 20W CFL 150 3.5 2.6 10,000 15,000
bulb

findinG laMP daTa


Manufacturers documentation typically includes at least one value for mercury content in a simple lamp. The
elemental symbol for mercury is Hg, which may appear as the label for mercury content (Figure 2).
Lamp life is typically provided on manufacturer product data sheets. Identify the lamp life correlating with
specified ballast type and three hour start.

Identify the lamp life provided with manufacturer


documentation corresponding to the 3 hour start
with the appropriate ballast (program start or instant
start).

If multiple values are given, use the max given.

Find design mean lumens. Figure 2.

Sample manufacturers information

CaMPus
Group Approach
All buildings in the group may be documented as one. Projects that are on existing campuses or part of large
health care systems can coordinate lamp selection with purchasing protocols to ensure ongoing compliance with
prerequisite requirements.
499

Campus Approach
Eligible.
required doCuMenTaTion
documentation all projects

Existing inventory and phase-out plan (for renovation projects) X

Recycling plan for mercury-containing lamps X

Lighting schedule including lamp type and mercury content X

USGBCs PBT source reduction calculator (or equivalent documentation) X

relaTed CrediT TiPs


MR Credit PBT Source ReductionMercury. In addition to the mercury content information required for
this prerequisite, include lamps that meet the rated hours criteria for the related credit.

MR Prerequisite Storage and Collection of Recyclables. The related prerequisite requires safe storage and
collection of hazardous wastes, including mercury-containing waste.

ChanGes froM leed 2009


None.

referenCed sTandards
Guidelines for the Design and Construction of Health Care Facilities, 2010 Edition Facility Guidelines
Institute: fgiguidelines.org/

ISO-11143, Dentistry, Amalgam Separators: iso.org/iso/catalogue_detail.htm?csnumber=42288

ENERGY STAR: energystar.gov

U.S. Department of Energy ENERGY STAR Qualified Light Bulbs, 2009 Partner Resource Guide:
energystar. gov/ia/products/downloads/CFL_PRG.pdf

Toxicological Effects of Methylmercury, Committee on the Toxicological Effects of Methylmercury, Board


on Environmental Studies and Toxicology, National Research Council, 2000:
nap.edu/catalog.php?record_id=9899

exeMPlary PerforManCe
Not available.
definiTions
500

elemental mercury mercury in its purest form (rather than a mercury-containing compound), the vapor of
which is commonly used in fluorescent and other bulb types

lamp a device emitting light in a fixture, excluding lamp housing and ballasts. Light-emitting diodes packaged
as traditional lamps also meet this definition.

lamp life the useful span of operation of a source of artificial light, such as bulbs. Lamp life for fluorescent
lights is determined by testing three hours on for every 20 minutes off. For high-density discharge lamps, the
test is based on 11 hours on for every 20 minutes off. Lamp life depends on whether the start ballast is program
or instant. This information is published in manufacturers information. Also known as rated average life.

persistent bioaccumulative toxic chemical a substance that poses a long-term risk to both humans and the
environment because it remains in the environment for long periods, increases in concentration as it moves up
the food chain, and can travel far from the source of contamination. Often these substances can become more
potent and harmful to ecosystems the longer they persist. See U.S. EPAs website on persistent bioaccumulative
toxic chemicals, www.epa.gov/pbt/.

universal waste hazardous items that are easily purchased and commonly used. Examples include batteries,
pesticides, mercury-containing equipment, and light bulbs. See
epa.gov/osw/hazard/wastetypes/universal/index.htm.
501
MaTerials and resourCes CrediT

Building Life-cycle impact


Reduction
this credit applies to:
new Construction (25 points) data Centers (25 points)
Core and shell (26 points) Warehouses and distribution Centers (25 points) schools (25 points) hospitality (25
points) retail (25 points) healthcare (25 points)

inTenT

to encourage adaptive reuse and optimize the environmental performance of products


and materials.

requireMenTs
Demonstrate reduced environmental effects during initial project decision-making by reusing existing building resources or
demonstrating a reduction in materials use through life-cycle assessment. Achieve one of the following options.

oPTion 1. hisToriC buildinG reuse (5 PoinTs bd+C, 6 PoinTs Core and shell)

Maintain the existing building structure, envelope, and interior nonstructural elements of a historic building or contributing building
in a historic district. To qualify, the building or historic district must be listed or eligible for listing in the local, state, or national
register of historic places. Do not demolish any part of a historic building or contributing building in a historic district unless it is
deemed structurally unsound or hazardous. For buildings listed locally, approval of any demolition must be granted by the local
historic preservation review board. For buildings listed in a state register or the U.S. National Register of Historic Places (or local
equivalent for projects outside the U.S.), approval must appear in a programmatic agreement with the state historic preservation
office or National Park Service (or local equivalent for projects outside the U.S.).
Any alteration (preservation, restoration, or rehabilitation) of a historic building or a contributing building in a historic
district on the project site must be done in accordance with local or national standards for rehabilitation, whichever are
applicable. If building is not subject to historic review, include on the project team a preservation professional who meets U.S.
federal qualifications for historic architects (or local equivalent for projects outside the U.S.); the preservation professional must
confirm conformance to the Secretary of Interiors Standards for the Treatment of Historic Properties (or local equivalent for
projects outside the U.S.).
or

oPTion 2. renovaTion of abandoned or bliGhTed buildinG (5 PoinTs bd+C, 6 PoinTs Core and shell)
Maintain at least 50%, by surface area, of the existing building structure, enclosure, and interior structural elements for buildings that
meet local criteria of abandoned or are considered blight. The building must be renovated to a state of productive occupancy. Up
to 25% of the building surface area may be excluded from credit calculation because of deterioration or damage.
or

oPTion 3. buildinG and MaTerial reuse (24 PoinTs bd+C, 2-5 PoinTs Core and shell)
Reuse or salvage building materials from off site or on site as a percentage of the surface area, as listed in Table 1. Include structural
elements (e.g., floors, roof decking), enclosure materials (e.g., skin, framing), and permanently installed interior elements (e.g., walls,
doors, floor coverings, ceiling systems). Exclude from the calculation window assemblies and any hazardous materials that are
remediated as a part of the project.
Materials contributing toward this credit may not contribute toward MR Credit Material Disclosure and Optimization.
tablE 1. Points for reuse of building materials

Percentage of completed project surface


area reused Points bd+c Points bd+c (core and shell)

25% 2 2

50% 3 3

75% 4 5

or

oPTion 4. Whole-buildinG life-CyCle assessMenT (3 PoinTs)


For new construction (buildings or portions of buildings), conduct a life-cycle assessment of the projects structure and enclosure that
demonstrates a minimum of 10% reduction, compared with a baseline building, in at least three of the six impact categories listed
below, one of which must be global warming potential. No impact category assessed as part of the life-cycle assessment may increase
by more than 5% compared with the baseline building.
The baseline and proposed buildings must be of comparable size, function, orientation, and operating energy performance as
defined in EA Prerequisite Minimum Energy Performance. The service life of the baseline and proposed buildings must be the same
and at least 60 years to fully account for maintenance and replacement. Use the same life-cycle assessment software tools and data sets
to evaluate both the baseline building and the proposed building, and report all listed impact categories. Data sets must be compliant
with ISO 14044.

Select at least three of the following impact categories for reduction:


global warming potential (greenhouse gases), in CO2e;
depletion of the stratospheric ozone layer, in kg CFC-11;
acidification of land and water sources, in moles H+ or kg SO 2;
eutrophication, in kg nitrogen or kg phosphate;
formation of tropospheric ozone, in kg NOx or kg ethene; and depletion of
nonrenewable energy resources, in MJ.

healThCare only
For all options in this credit, building materials demolished to create courtyards to increase daylighting may be counted as retained in
calculations, provided the new courtyards meet the requirements of EQ Credits Daylight and Quality Views.
497

Behind the intent


Over their lifetimes, buildings have local, regional, and global environmental effects. Some occur during the harvest,
extraction, manufacture, and transportation of materials; others involve construction and operations; still others take
place at demolition and disposal. A life-cycle assessment (LCA) examines as many of these environmental effects as
possible. This credit identifies several strategies for reducing harm done to the environment over a buildings entire
life cycle: restoring existing buildings, reusing building components, and reducing a buildings environmental
footprint through LCA.
Restoring existing buildings, preserving historic structures, and rehabilitating blighted buildings reduce the energy
use and waste associated with demolition and construction. A report by the National Trust for Historic Preservation,
titled The Greenest Building: Quantifying the Environmental Value of Building Reuse, found that building reuse
almost always offers environmental savings over demolition and new construction. A new, energyefficient building
will not compensate for the climate change effects of its construction for at best 10 years and perhaps 80 years. 1
Restoring existing buildings preserves a sites historical, cultural, and aesthetic values, and reusing or repurposing
wood, brick, steel, stone, or other materials from off site can be a cost-effective and sustainable strategy.
For new construction projects, a cradle-to-grave LCA enables building professionals to understand the cumulative
energy use and other environmental consequences resulting from all phases of the buildings life. A comprehensive,
quantitative analysis helps determine which materials best fit the projects needs throughout the buildings lifetime.
Employed as a design tool, LCA may reduce the amount of materials used (dematerialization), which can in turn
reduce environmental harms and save money. An LCA also allows the design team to understand the trade-offs of
material selection and energy performance and find an appropriate balance between the two. For example, high
thermal mass can reduce a buildings peak energy demands; an LCA can quantify the environmental damage
associated with the additional materials used so that the team can compare those effects with the benefits for energy
performance and then make more informed design decisions. By looking at how materials interact within the whole
structure and enclosure rather than merely individually, it is possible gain a larger perspective and reduce overall
environmental effects over the long term.
The whole-building LCA option takes into account a wide range of such effects. These include global warming
potential, stratospheric ozone depletion, acidification of land and water sources, eutrophication, formation of
tropospheric ozone, and depletion of nonrenewable energy sources. Those are only some of the most common,
measurable, and well-understood environmental impacts that LCA tools evaluate. Current LCA tools cannot accurately
measure human health, ecological, and land-use issues; however, those effects are also important to a lifecycle approach
to materials and are addressed under other Materials and Resources credits.

SteP-BY-SteP GUidAnCe

Select the appropriate option for the project (see Further Explanation, Project Type Variations).
Options 1, 2, and 3 are for projects that will reuse all or part of an existing building.
Option 4 is for entirely new buildings but can also be used by projects that are new additions to existing buildings; it involves
conducting a life-cycle assessment for the whole building.

Option 1. historic Building Reuse

SteP 1. deteRmine whetheR BUildinG hAS OR iS eliGiBle fOR hiStORiC deSiGnAtiOn


Search national, state, and local historic registers to determine whether the existing building has historic designation or is within a historic district.

1. preservationnation.org/information-center/sustainable-communities/green-lab/lca/The_Greenest_Building_lowres.pdf (accessed May 28,


2013).
if the building does not have historic designation, it may be considered eligible if it meets one of the four national Register
criteria or meets state or local historic criteria. the u.s. national Register of historic Places defines a building as historic if it
meets at least one of the following criteria:2
it is associated with events that have made a significant contribution to the broad patterns of our history.
it is associated with the lives of significant persons in the past.
it embodies the distinctive characteristics of a type, period, or method of construction; represents the work of a master;
possesses high artistic values; or represents a significant and distinguishable entity whose components may lack
individual distinction.
it has yielded, or may be likely to yield, information important in history or prehistory.
Projects outside the u.s. should consult the historic preservation guidelines set forth in the local or national registry of
historic places (see Further Explanation, International Tips).

sTeP 2. reuse hisToriC buildinG


if the building has or is eligible for historic status, confirm the specific requirements for maintaining that designation during
design and construction. confirm what part(s) of the building can and cannot be altered to maintain its historic status and
ensure that the design and construction uphold these requirements.
this option does not have a threshold for credit compliance. there is no minimum area of the building that must be reused to
meet the requirement. however, if its historic designation or eligibility is revoked because of demolition or alteration, the
project is no longer eligible for this option.
Demolition of any part of the historic structure must be reviewed by the appropriate review board or conform to local
standards for rehabilitation (u.s. projects must adhere to the secretary of the interiors standards for the treatment of
historic Properties).
if historic designation is revoked, project teams may pursue option 3 Building and Material Reuse for the partial reuse of
buildings.
if there is no local review body in place, include on the project team a qualified professional to guide historically sensitive
design and construction decisions.

option 2. renovation of abandoned or blighted building


sTeP 1. deTerMine WheTher buildinG is abandoned or bliGhTed
Determine whether the jurisdiction in which the project is located has a program or designation for abandoned or blighted
buildings and whether the building meets this definition. if no such program or definition exists, use the LEED definition for
abandoned or blighted property to determine whether the project is eligible for this option.

sTeP 2. deTerMine reusable area


identify and quantify the surface areas of the structure and building enclosure that can and cannot be retained. areas of
the structure and building enclosure that are structurally unsound and must be demolished, as determined by a structural
engineer, can be excluded from the calculation in step 3.

sTeP 3. CalCulaTe PerCenTaGe of reused area


if more than 25% of the buildings surface area is considered unsound and must be demolished, the project is ineligible for
this option but may pursue option 3 Building and Material Reuse.
calculate the percentage of the total surface area that will be reused (see Further Explanation, Calculations, and table 2).
Ensure that the reusable areas are clearly defined and incorporated into the design and construction of the project.

2. nps.gov/nr/publications/bulletins/nrb15/nrb15_2.htm.
506
508 501

tablE 3. Calculating reuse for existing buildings and materials

structure, enclosure,
or interior element Existing area (ft2) reused area (ft2) Percentage reused

On-grade floor assembly

Foundation, slab on grade 18,230 18,230 100.0%

Subfloor 17,500 15,000 85.7%

Carpet 10,000 0 0.0%

2nd-floor assembly

Structural deck 18,230 18,230 100.0%

Hardwood flooring 10,000 2,500 25.0%

Salvaged wood flooring from barn 7,500 7,500 100.0%

Ceiling tiles 14,500 7,000 48.3%

Roof assembly

Roof deck 18,000 7,630 42.4%

Asbestos ceiling tiles (hazardous material


removed) 13,250 - -

1st-floor wall assembly (excluding windows)

Brick enclosure 16,460 16,460 100.0%

Sheathing 15,000 8,400 56.0%


Insulation 7,700 0 0.0%

Salvaged doors from off site 105 105 100.0%

2nd-floor wall assembly (excluding windows)

Brick enclosure 16,460 16,000 97.2%

Steel structure 16,460 16,460 100.0%

Drywall 15,300 9,400 61.4%

total 214,695 142,915 66.6%

option 4. Whole-building life-Cycle assessment


this option has only one threshold. to achieve this option the proposed building must demonstrate at least a 10% reduction
in global warming potential and a 10% reduction of two of five other impact measures (discussed below) when compared to
a baseline building, without increasing any measure by more than 5%.

sTeP 1. CalCulaTe exisTinG buildinG surfaCe area and reuse exisTinG buildinG
Ensure that the scope of the analysis is a cradle-to-grave assessment, which includes environmental impacts associated with all
the life-cycle stages for the building structure and enclosure: resource extraction or harvest, building product manufacture, on-
site construction, product maintenance and replacement (where warranted), and deconstruction or demolition and disposal over
the assumed 60year service life. the Lca must address the following:
Products. the Lca must cover the complete building envelope and structural elements, including the material components of footings
and foundations, structural wall assembly (from cladding to interior finishes), structural floors and ceilings (not including finishes),
and roof assemblies.
510
511

sTeP 5. use lCa To Make desiGn deCisions ThaT reduCe environMenTal iMPaCTs use the proposed Lca model to conduct
what if scenario analyses and support design decisions to evaluate and select environmentally preferable assemblies and
materials. Examples of alternatives analyses could include the following:
comparing the environmental consequences of building footprint and shape
Evaluating different structural system types, such as load-bearing walls versus columns
Defining the selection of building products and assemblies
optimizing structural system design (e.g., column spacing, slab depth) if the design team wants to use a material, product, or
assembly that is not in the selected Lca tools data set, the results of a critically reviewed Lca or a verified environmental
product declaration (EPD) can be used, provided the results cover the required full set of impact indicators for that
component. the material, product, or assembly in the model must then be removed and the impact measures for the
replacement added as a side calculation, taking account of all related ancillary product use. any such additions must be
documented and the documentation included in the submittal; include the rationale for the change and the source of the
replacement impact measures.

sTeP 6. inCorPoraTe final lCa resulTs


Review the results, incorporate decisions in design documents, and prepare a narrative that describes the Lca assumptions,
scope, and baseline and proposed buildings (see Further Explanation, Developing an LCA Narrative).

For Options 2 and 3, each assembly (vertical or horizontal) may be calculated as up to three layers of surface area:
enclosure and finish floor, structure, and interior finish and ceiling finish. See Further Explanation,
Calculating Surface Area.
Equation 1. Percentage of abandoned or blighted building reuse (Option 2)

Surface area reused

)
Abandoned or blighted = ( x 100

building reuse
Existing building hazardous or unsafe
surface area materials demolished area

Exclude hazardous materials and structurally unsound portions of the building from the calculations.

Equation 2. Percentage of existing building reuse (Option 3)


512

)
Surface area reused +Surface area reused
Existing building reuse =on-site from off-site

Existing building hazardous materials area


surface area x
Exclude hazardous materials from the calculations. 100

CalCulaTinG surfaCe area


Each assembly (vertical or horizontal) may be calculated as up to three layers of surface area. For vertical building
elements, the layers are enclosure, interior finish, and structure. For horizontal building elements, the layers are
ceiling finish, structure, and floor finish. Structural support elements, such as columns, beams, and studs, are
considered part of the larger surfaces they support. Calculate the surface area of these elements as equal to surface
area of the wall.
Not all projects will have all layers present at the beginning of construction, depending on the state of the
building. If a layer that existed before construction or demolition is removed and replaced with new material, it must
be included in the calculation. If an existing layer was removed and not replaced, it is excluded from the credit
calculations. Examples:
A project has a floor assembly consisting of ceiling tiles, structural slab, and carpeting. The ceiling tiles and
structural slab are reused, but the carpet is removed and not replaced because the design uses the exposed
structural concrete as the finish material. The team excludes the carpeting from the calculation but counts the
slab as reused.
A building has an existing brick enclosure, steel structure, and drywall. The project is reusing the structure and
enclosure but replacing the existing drywall with new drywall. The team must include all three existing layers
in the denominator, but only the reused portions in the numerator.
For a building with an existing brick enclosure and steel structure, with no drywall or interior finish, the team
includes only those two layers in the reuse calculations.

If before construction and demolition the building has more than three layers that can be counted toward reuse, the
project team may choose the three layers to include in the calculation. The three layers chosen should represent the
structure of a typical basic wall or floor assembly (enclosure and interior finish, structure, and ceiling; or floor slab,
ceiling finish, and floor finish).
If material salvaged from off-site will replace all or a part of an existing layer, count the existing surface area as
the area of the entire existing layer. That is, the reused area equals the surface area of the installed salvaged material.
Example:
An existing building has a 100,000-square-foot carpeted floor, of which 90,000 square feet will be removed
and replaced with new carpet and 10,000 square feet will be removed and replaced with salvaged wood. The
entire surface area of the existing finished floor (100,000 square feet) goes in the denominator, but only the
salvaged 10,000 square feet can contribute to the numerator, resulting in 10% reuse for that particular layer
(floor finish).

If the salvaged material is a new layer in an assembly, then only the surface area of the installed salvaged material is
used for both the existing and reused surface areas in the calculation. Example:
An existing building has a 100,000-square-foot concrete structural slab, of which 90,000 square feet will be
stained as the finished floor. The remaining 10,000 square feet of floor area will be salvaged wood. The
surface area of the salvaged wood is used in the denominator as the existing area (10,000 square feet) and the
same area is used in the numerator for reuse (10,000 square feet), resulting in 100% reuse.
513

An LCA for this credit uses an assumed building service life of at least 60 yearslong enough to capture the
replacement cycle of enclosure materials, such as roof systems and curtain walls, but short enough that its basic
structure is unlikely to be replaced. Replacement schedules for each product or assembly must reflect their service
life and the consequent number of replacements required over the buildings assumed service life.
Develop a consistent approach to quantifying the service life of individual products and assemblies, using
manufacturers warranties or empirical data. If the service life of a product is less than 60 years, include the
aggregate impacts associated with the number of product replacements necessary to equal the buildings service life.
For example, if the expected life of a component is 20 years, multiply the impacts by 3 to accurately capture the
cumulative effects of the product over the buildings assumed 60-year lifetime.
If the service life of a product used in initial construction is greater than the buildings assumed service life, the
impacts associated with the product may not be discounted to reflect its remaining service life.
Some LCA design tools include service life assumptions and calculations that reflect the approach required for
this credit. Check the service life assumption to ensure that it meets the credit requirements.

CreaTinG The baseline buildinG


1. Identify the baseline building early in the design process, when the basic project scope has been
determined, create the baseline building with which the team will compare design alternatives.
Define the wall, roof, and floor assemblies following the performance requirements of the building envelope as
defined in ASHRAE 90.12010, Appendix G, Opaque Assemblies, Vertical Fenestration, Skylights, and Roof Solar
Reflectance and Thermal Emittance sections, for the projects climate zone. (For projects outside the U.S., see
Further Explanation, International Tips.)
For this credit, the total area of exterior walls, floors and roofs may differ between the baseline building and the
proposed building to account for differing proportions or geometry.
514
2. Customize the baseline building for the project to create the proposed building. Modify the initial baseline
building design to reduce the environmental effects while meeting the specific needs of the project, but keep the
following parameters the same so that the baseline and proposed models can be accurately compared:
LCA scope requirements. The functional unit and system boundary must be identical for the baseline and
proposed buildings.
Size. The gross floor area of the baseline and proposed buildings must be the same. The two designs can have
different massing, provided the gross area is the same.
Function. The baseline and proposed buildings must serve the same programmatic function. If the project is a
mixed-use residential building with retail in the first floor, the baseline building must have the same program,
but the elements can be in different locations in the building. If the project is a hospital with stringent air
quality and humidity control, both the baseline and the proposed cases must meet those functional
requirements.
Orientation. The orientationthe directional exposureof the baseline and proposed buildings must be the
same, but the shape may differ. Orientation must be the same because exposure to the sun affects solar heat
gain within the building and will skew LCA results for energy performance.
Location. Both the baseline and the proposed buildings must be located in the same ASHRAE 90.12010
climate zone and assumed to be on the same site.
Operating energy performance. The baseline and proposed buildings must meet EA Prerequisite Minimum
Energy Performance by adhering to the requirements of ASHRAE 90.12010, Appendix G, Opaque
Assemblies, Vertical Fenestration, Skylights, and Roof Solar Reflectance and Thermal Emittance sections,
because comparing an energy-efficient proposed building with an underperforming baseline building will
skew the results. Increasing wall mass or insulation unnecessarily in the baseline building to show
dematerialization in the proposed building is not acceptable. Energy modeling for either building is not
required for this credit.

Other portions of the baseline building may be modified from the basic ASHRAE 90.1 requirements to capture the
LCA goals of the project team.

3. Input the baseline building into the chosen tool. Once the baseline building is complete, input the design into the
selected tool to estimate the benchmark environmental impacts. Save the baseline building model as a separate LCA
project so that the results will be available for comparison with the proposed building and for submission to
USGBC.
As the design process proceeds, the baseline building can be modified, modeled, and saved as new LCA versions
so that the team can compare the embodied impacts of design alternatives. While iterations of the LCA model may
occur during construction, it is not expected that the documentation for the credit be updated after it has been
submitted to USGBC.

lCa Tools seleCTion


This credit does not require design professionals to become LCA experts, but the choice of tool can determine
whether an LCA specialist is required. Every LCA tool is populated with background data sets that form the basis of
the assessment. Some LCA data are specific to the location of the building construction or the location of product
manufacture because of the regions electric grid, for example. Different types of tools require varying levels of data
set manipulation. There are two types of tools to consider.
Design team LCA tools simplify and streamline the LCA process for non-LCA practitioners. They manage
the data and calculations in the background and do not allow the user to add or customize data. The user inputs
material selections consistent with the building design and can then explore the environmental effects of design
modifications by changing materials, floor area, or other aspects of the building.
Design team LCA tools have calculation factors specific to the country or region for which they were designed.
Examples include the following:
North America: ATHENA Impact Estimator, athenasmi.org/our-software-data/impact-estimator/. This tool
can import a bill of materials from a CAD system.
United Kingdom: Envest 2, envest2.bre.co.uk/
Australia: LCADesign. This tool can import a bill of materials from a CAD system.
515

LCA practitioner tools require the user to select the appropriate data sets and calculation factors. They typically
conduct LCAs on a product-by-product basis and may require different methodological decisions for the products
being examined. The practitioner then aggregates the results to the whole building level. Examples include the
following:
SimaPro, simapro.co.uk/
GaBi, gabi-software.com/america/index/

Project teams that choose LCA practitioner tools will likely need to bring in an LCA specialist.

life CyCle iMPaCT Measures or indiCaTors


The impacts measured in LCA are divided into two categories, as described in ISO 219302007, which deals with
EPDs for building products. Impacts are either expressed in terms of the categories of life-cycle impact assessments
(LCIA) or derived from a life-cycle inventory (LCI) and not assigned to impact categories.
LCIA is an additional step in analysis that interprets and quantifies the resulting ecological effects of resources
used and waste emitted over the life-cycle of the product. In contrast, LCI simply quantifies flows in and out of the
process in terms of resources used and depleted and waste created.
The first five measures specified in the credit requirements are impact categories of LCIA; they are the only
LCIA categories cited in ISO 21930. Other LCIA measures are in use or being developed (e.g., human health and
ecotoxicity measures) but are less quantifiable than the measures required for LEED, although they may be reported
separately. Other impact assessment methods not listed in Table 4 may be used if the reasons are justified and
documented.
The sixth measure in the list, depletion of nonrenewable energy resources, is in the second category because it
is derived directly from the LCI (defined in the ISO standard as phase of life-cycle assessment involving the
compilation and quantification of inputs and outputs for a product throughout its life-cycle).
Several other LCI aggregations are cited in ISO 21930 (e.g., depletion of nonrenewable material resources, use
of renewable materials, and consumption of freshwater). These additional measures have not been included in the
credit for the sake of simplicity. Teams may take these indicators into account in the LCA but are not required to
submit them to meet the credit requirements.
For all the measures listed in Table 4 except depletion of nonrenewable energy resources, the software tool
categorizes emissions and then applies characterization factors to create equivalence measures in the units shown in
the table.
In design team LCA tools, the characterization factors for the country or region are automatically generated.
In LCA practitioner tools, the user must select the characterization factors and corresponding units for the
country or region.

North American projects typically use the U.S. Environmental Protection Agencys TRACI (Tool for the Reduction
and Assessment of Chemical and Other Environmental Impacts) system. Projects in other parts of the world use the
CML (Institute of Environmental Sciences) or ReCiPe system.
The impact assessment method must be no older than the most current version available on the LEED project
registration date:
TRACI, version 2.1 or newer
CML, version 2001November 2012 or newer
ReCiPe, version 1.07 (midpoints) or newer

If these versions are not available in the chosen LCA tool, the project team must explain and justify the use of an
alternative. Other impact assessment methods are available. If the chosen LCA tool offers options, the project team
should weigh their pros and cons and choose the most appropriate method.
516

The same assessment method must be used for the baseline and proposed buildings.
For the purposes of complying with this credit, depletion means the amount used, as opposed to more
complex measures involving calculation of the amount used relative to existing physical or economic reserves.
develoPinG an lCa narraTive
The narrative required for Option 4 must describe the LCA assumptions, scope, baseline building, and proposed
building. Include the following:
Life-cycle impact assessment summary, showing outputs of the baseline and proposed building
Table showing the percentage change for all impact indicators between the baseline and proposed buildings.
Describe the differences between the buildings that resulted in those changes.
Description of the data sets used to represent each material or assembly (proxies may be deemed acceptable)
Confirmation that the same data sets were used for both the baseline and proposed buildings and their materials
and assemblies
Description of the characterization model used (e.g., TRACI) for all impact category characterization factors
The service life assumed for the baseline and proposed buildings
Source of data for product replacement for both the baseline and proposed buildings

exaMPle

tablE 5. Sample table of values based on LCA example report

lca impact indicators total value (using traci)

Global warming potential 1,131,284.39 kg CO2e

Acidification potential (land) 22,382,422 kg H+ moles eq

Eutrophication potential (fresh water) 83.676 kg N eq

Ozone depletion potential .062 kg CFC-11-eq

raTinG sysTeM variaTions


Healthcare
Materials demolished to create a courtyard may be excluded from calculations for Options 1, 2, and 3. This situation
is treated the same as materials demolished and not replaced (see Further Explanation, Calculating
Surface Area).

ProjeCT TyPe variaTions


Existing Buildings with Additions
Project teams may pursue only one option. For an existing building with an addition, the team can pursue either a
reuse option (Option 1, 2, or 3) for the existing portions of the building or the LCA option (Option 4) for the new
construction addition. In most cases, more points are available for reuse options, but the project team may
determine the appropriate option given their sustainability goals.

inTernaTional TiPs
517

Option 1. Historic Building Reuse


Projects outside the U.S should consult the historic preservation guidelines set forth in the local or national registry
of historic places. Many countries have established their own process for determining historic significance of a
structure or building. If the project is in a country without a process for determining the historic status of a building,
project teams are encouraged to consult the UNESCO website (whc.unesco.org/en/conventiontext) or the Venice
Charter (icomos.org/charters/venice_e.pdf) to determine historical significance.

Option 4. Whole-Building Life-Cycle Assessment


For projects outside the U.S. pursuing this option, the baseline building is based on ASHRAE 90.12010. The
purpose of this requirement is to provide a minimum set of guidelines regarding the performance of the structure and
enclosure being studied in the LCA. Projects outside the U.S. are expected to develop a baseline building
representing typical construction for their region meeting local applicable building performance requirements.
Additional documentation may be needed to demonstrate how the baseline building meets the requirements of the
credit.

CaMPus
Group Approach
Option 1. Submit separate documentation for each building.
Option 2. Submit separate documentation for each building.
Option 3. All buildings in the group may be documented as one.
Option 4. All buildings in the group may be documented as one. Although each building will need to be modeled
separately, each with a baseline and proposed building, the end results may be aggregated across multiple buildings.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation option 1 option 2 option 3 option 4

Documentation of historic designation status X

Narrative describing demolition (if any) X

X
Documentation of how additions and alterations (if
any) meet local review board requirements

Narrative describing abandoned or blighted status X

Reused elements table and calculations X X


518

X
Description of LCA assumptions, scope, and analysis
process for baseline building and proposed building

X
Life-cycle impact assessment summary showing
outputs of proposed building with percentage change
from baseline building for all impact indicators.
519

relaTed CrediT TiPs


LT Credit High-Priority Site. Buildings located in a historic district and in an infill site qualify for Option 1 of
the related credit.

MR Prerequisite Construction and Demolition Waste Management Planning and MR Credit Construction
and Demolition Waste Management. If a project cannot meet the credits reuse requirements, on-site salvaged
materials may count as diversion for this prerequisite.

MR Credit Building Product Disclosure and OptimizationSourcing of Raw Materials. Salvaged materials
(structural and nonstructural, on-site or off-site) may contribute toward achieving Options 13 of this credit or
Option 2 of the related credit, depending on which credits the project is pursuing and which calculation makes more
sense (surface area versus cost). However, materials may not be double-counted under both credits.

MR Credit Building Product Disclosure and OptimizationEnvironmental Product Declarations and MR


Credit Building Product Disclosure and OptimizationMaterial Ingredients. These related credits address the
ecological and human health consequences of construction materials.

ChanGes froM leed 2009


Building reuse is a combination of two LEED 2009 credits: MR Credit Building ReuseMaintain Walls,
Floor and MR Credit Roof and Building ReuseMaintain Interior Nonstructural Elements.
MR Credit Building Life-Cycle Impact Reduction, Option 3. Materials reuse may incorporate both structural
and nonstructural elements as long as they are not double-counted in MR Credit Building Product Disclosure
and OptimizationSourcing of Raw Materials, Option 2, Leadership Extraction Practices.

referenCed sTandards
ISO 14044: iso.org/

National Register of Historic Places: nrhp.focus.nps.gov/

Secretary of Interiors Standards for the Treatment of Historic Properties: nps.gov/ and nps.gov/hps/tps/
standguide/

exeMPlary PerforManCe
Option 1. Not available.

Option 2. Not available.

Option 3. Reuse 95% of the building.

Option 4. Achieve any improvement over the required credit thresholds in all six impact measures.
520

definiTions
abandoned property property left behind intentionally and permanently when it appears that the former owner
does not intend to come back, pick it up, or use it. One may have abandoned the property of contract rights by not
doing what is required by the contract. However, an easement and other land rights are not abandoned property just
because of nonuse. Abandoned land is defined as land not being used at the present time but that may have utilities
and infrastructure in place.

cultural landscape an officially designated geographic area that includes both cultural and natural resources
associated with a historic event, activity, or person or that exhibits other significant cultural or aesthetic values
enclosure the exterior plus semi-exterior portions of the building. Exterior consists of the elements of a building
that separate conditioned spaces from the outside (i.e., the wall assembly). Semiexterior consists of the elements of
a building that separate conditioned space from unconditioned space or that encloses semi-heated space through
which thermal energy may be transferred to or from the exterior or conditioned or unconditioned spaces (e.g., attic,
crawl space, basement).

furniture and furnishings the stand-alone furniture items purchased for the project, including individual and group
seating; open-plan and private-office workstations; desks and tables; storage units, credenzas, bookshelves, filing
cabinets, and other case goods; wall-mounted visual-display products (e.g., marker boards and tack boards,
excluding electronic displays); and miscellaneous items, such as easels, mobile carts, freestanding screens, installed
fabrics, and movable partitions. Hospitality furniture is included as applicable to the project. Office accessories,
such as desktop blotters, trays, tape dispensers, waste baskets, and all electrical items, such as lighting and small
appliances, are excluded.

hazardous material any item or agent (biological, chemical, physical) that has the potential to cause harm to
humans, animals, or the environment, either by itself or through interaction with other factors historic building a
building or structure with historic, architectural, engineering, archeological, or cultural significance that is listed or
determined to be eligible as a historic structure or building, or as a contributing building or structure in a designated
historic district. The historic designation must be made by a local historic preservation review board or similar
body, and the structure must be listed in a state register of historic places, be listed in the National Register of
Historic Places (or a local equivalent outside the U.S.), or have been determined eligible for listing.

historic district a group of buildings, structures, objects, and sites that have been designated as historically,
architecturally, or culturally significant and categorized as either contributing or noncontributing life-cycle
inventory a database that defines the environmental effects (inputs and outputs) for each step in a materials
or assemblys life cycle. The database is specific to countries and regions within countries.

service life the assumed length of time that a building, product, or assembly will be operational for the purposes of
a life-cycle assessment

structure elements carrying either vertical or horizontal loads (e.g., walls, roofs, and floors) that are considered
structurally sound and nonhazardous
MaTerials and resourCes CrediT

Building Product Disclosure and


optimization Environmental
Product Declarations
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (12 points) retail (12 points) healthcare (12 points)

inTenT

to encourage the use of products and materials for which life-cycle information is
available and that have environmentally, economically, and socially preferable life-cycle
impacts. to reward project teams for selecting products from manufacturers who have
verified improved environmental life-cycle impacts.

requireMenTs
Achieve one or more of the options below, for a maximum of 2 points.

oPTion 1. environMenTal ProduCT deClaraTion (ePd) (1 PoinT)


Use at least 20 different permanently installed products sourced from at least five different manufacturers that meet one
of the disclosure criteria below.
Product-specific declaration.
Products with a publicly available, critically reviewed life-cycle assessment conforming to ISO 14044 that have
at least a cradle to gate scope are valued as one quarter (1/4) of a product for the purposes of credit achievement
calculation.
Environmental Product Declarations which conform to ISO 14025, 14040, 14044, and EN 15804 or ISO 21930
and have at least a cradle to gate scope.
Industry-wide (generic) EPD -- Products with third-party certification (Type III), including external verification,
in which the manufacturer is explicitly recognized as a participant by the program operator are valued as one
half (1/2) of a product for purposes of credit achievement calculation.
Product-specific Type III EPD -- Products with third-party certification (Type III), including external
verification in which the manufacturer is explicitly recognized as the participant by the program operator are
valued as one whole product for purposes of credit achievement calculation.
USGBC approved program Products that comply with other USGBC approved environmental product
declaration frameworks.

oPTion 2. MulTi-aTTribuTe oPTiMiZaTion (1 PoinT)


522

Use products that comply with one of the criteria below for 50%, by cost, of the total value of permanently installed
products in the project. Products will be valued as below.
Third party certified products that demonstrate impact reduction below industry average in at least three of the
following categories are valued at 100% of their cost for credit achievement calculations.
global warming potential (greenhouse gases), in CO2e;
depletion of the stratospheric ozone layer, in kg CFC-11;
acidification of land and water sources, in moles H+ or kg SO 2;
eutrophication, in kg nitrogen or kg phosphate;
formation of tropospheric ozone, in kg NOx or kg ethene; and depletion of nonrenewable energy resources, in
MJ.
USGBC approved program -- Products that comply with other USGBC approved multi-attribute frameworks.

For credit achievement calculation, products sourced (extracted, manufactured, purchased) within 100 miles (160 km) of
the project site are valued at 200% of their base contributing cost.

Structure and enclosure materials may not constitute more than 30% of the value of compliant building products.
Behind the intent
This credit recognizes the selection of products for which the environmental impacts are well known because of
industry standard life-cycle information and reporting protocols. Environmental product declarations (EPDs) are a
standardized way of communicating the environmental effects associated with a product or systems raw material
extraction, energy use, chemical makeup, waste generation, and emissions to air, soil, and water. Although a variety of
EPD programs exist, the credit requires that EPDs come from program operators who follow the International
Organization for Standardization (ISO) standards, the internationally recognized norm for EPDs. Project teams using
EPDs can more accurately compare and evaluate similar products, improving their decisions when selecting materials.
As EPDs become commonplace, this credit will recognize the most advanced disclosures available. Giving
preference to products with EPDs supports the transition from a single-attribute approach to one that relies on more
comprehensive reporting and rewards manufacturers whose products are less harmful to the environment.
The diversity of options and compliance paths in this credit is designed to reward both initial first steps and
leadership in life-cycle information disclosure. The credit intends to help transform the market for building products and
materials for which life-cycle information is available and encourage manufacturers that have verified their
environmental performance.

SteP-BY-SteP GUidAnCe

Select which option(s) to pursue. Products may contribute to both Options 1 and 2. Early product research can help the project team
capitalize on opportunities for products contributing to multiple credits and options.
The required scope of this credit is permanently installed building products, excluding mechanical, plumbing, electrical, (MEP) and
specialty equipment and items purchased for temporary use on the project. Furniture is not considered permanently installed and is not
required to be included in the credit. However, furniture as well as other optional MEP products may be included, provided they are also
included in the other two cost-based credits, MR Credit Building Disclosure and OptimizationSourcing of Raw Materials and MR Credit
Building Disclosure and OptimizationMaterials Ingredients. For more information see MR Overview, Qualifying Products and
Exclusions.
Option 1 is for projects with products with product-specific declarations or industry-wide EPDs, or otherwise recognized USGBC-
approved program. Products must be sourced from multiple manufacturers, as indicated in the credit requirements. Various
thresholds are available to accommodate stages of EPD development in different industries. The weighted value of the product
must meet the threshold indicated in the credit requirements.
Option 2 is for projects with permanently installed products that come from manufacturers adhering to USGBC-approved programs
that will certify verified reductions in the multiple impact categories listed in the credit requirements. USGBC will endorse specific
third-party programs if their certifications are based on verified data. This information will be available on the USGBC website. The
523

proportion of qualifying materials must meet the threshold indicated in the credit requirements and includes the weighted value of
locally sourced products.

Option 1. environmental Product declaration (ePd)


SteP 1. SPeCifY And SeleCt COmPliAnt PrOdUCtS
Specify products from manufacturers for which the available EPDs meet at least one of the credit criteria.
Include performance requirements or sole-source compliant products as applicable to the selected option(s) in the project
specifications. To ensure compliant purchases, consider creating a Division 1, General Requirements, specification for sustainability
criteria that meet MR requirements. Reference that section to distinguish it from other sections that cover products and materials
(see Further Explanation, Environmental Product Declarations and Documentation of EPD's, Figure 3).
524

similar products from the same manufacturer can be counted as separate products if they have distinct formulations, but not
if they are aesthetic variations or reconfigurations (see MR Overview, Defining a Product).

sTeP 2. TraCk PurChases ThrouGhouT ConsTruCTion


During construction, coordinate a review of the construction submittals to ensure that selected products meet credit
requirements. to track progress toward credit achievement, regularly enter information into the MR building product
disclosure and optimization calculator provided by usGBc or an equivalent custom tool.
continually track substitutions and change orders during buy-out and installation to ensure that replacement products meet
the credit requirements. any product substitutions should be carefully reviewed by the design team and contractor for
compliance.
Because these requirements are not typical for all construction teams and suppliers, conduct a LEED-specific preconstruction
meeting to review the credit requirements in detail and stress their importance.
check in periodically with team members (particularly owners, architects, interior designers, contractors, subcontractors, and
suppliers) to verify progress toward credit achievement and address any gaps in credit compliance.

sTeP 3. CounT CoMPlianT ProduCTs and MaTerials and CoMPile doCuMenTaTion with the data collected in a tracking tool
or the calculator provided by usGBc, use Equation 1 (see Further Explanation, Calculations) to calculate the total number of
products that comply with option 1 requirements. this equation calculates compliance based on the number of products, not
their cost.
a product is the unit of purchase. the requirement for EPDs applies to the final unit of purchasethat is, entire assemblies,
not individual components.
Products with EPDs that meet more than one criterion are weighted at the highest valuation factor (not a combined factor).
collect all EPDs and life-cycle assessment (Lca) reports for contributing products for credit documentation. Ensure that EPD
documentation includes a summary sheet of measured impacts.
Retain product data for all materials that contribute to credit achievement and be prepared to provide it on request (see
Further Explanation, Documentation of Product-Specific Declarations and Further Explanation, Documentation of EPD's,
figure 3).

option 2. Multi-attribute optimization


sTeP 1. researCh ProduCTs
identify products that meet one or more of the attributes listed in the credit requirements under option 2.

sTeP 2. TraCk PurChases ThrouGhouT ConsTruCTion


collect documentation of environmental claims for each product expected to contribute toward credit achievement. to review
progress toward credit achievement, regularly enter information into the MR building product disclosure and optimization
calculator provided by usGBc or an equivalent custom tool.
Request documentation via correspondence with the products manufacturer or third-party certifying body.
continually track substitutions and change orders to ensure that the credit threshold will be met.
check in periodically with team members (particularly owners, architects, interior designers, contractors, subcontractors, and
suppliers) to verify progress toward credit achievement and address any gaps in credit compliance.

sTeP 3. CalCulaTe CoMPlianCe


Purchase 50%, by cost, of permanently installed products that meet at least one of the requirements listed in option 2.
calculate compliant materials using Equation 2 and the data collected in the tracking tool (see Further Explanation,
Calculations).
structure and enclosure materials may not constitute more than 30% of the value of compliant building products. once the
cap on structural material is met, these products can no longer contribute toward the credit but must be included in the
denominator of Equation 2.
some products may meet multiple criteria or are part of assemblies (see MR Overview, Determining Material Contributions).
compile documentation to verify environmental claims for each product. Retain product data for all materials that contribute
to credit achievement.
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Equation 1. Total number of products with environmental product declarations

of products #o
fp
rd
u
ctsw
ihp
ro
d
u}{ {
ecif
ctsp 0.25+
#o
fp
rd
u ecif+
ctsp with type 1 }
Total # =with industry 0.5 # of products

III EPD
declarations declarations
Equation 2. Percentage of multi-attribute optimization materials cost
criterion location criterion location

{ product cost1 ( valuation factor )( valuation factor ) +


{ product cost 2 ( valuation factor )( valuation

factor ) + ...
% of

materials = 100 cost


Cost of all permanently installed prodcuts
where
Product cost = cost of the product contributing toward credit. For assemblies, the cost amount contributing
toward credit is based on weight (see MR Overview, Determining Product Cost).
Criterion valuation factor = weighting multiplier for the criterion. This factor will be determined for each
certification that becomes available.
Location valuation factor = multiplier for the extraction, manufacture, and purchase location (see
MR Overview, Location Valuation Factor).

environMenTal ProduCT deClaraTions


An EPD is a standardized way of communicating the environmental impacts, such as global warming potential
and energy resource depletion, of a product or system. A product category rule (PCR) defines how to standardize
this information for a specific product type, such as flooring. The PCR defines scope, system boundary,
measurement procedures, impact measures and other technical requirements.
PCR development is the responsibility of the EPD Program Operator and is often organized through
standards organizations or industry associations or sponsored by private or government organizations. Many
countries maintain lists of PCRs that are publicly available; private Program Operators have PRCs on their
websites:
China EPD program, sepacec.com/cecen
Japan Ecoleaf program, ecoleaf-jemai.jp/eng
International EPD system, environdec.com/en/Product-Category-Rules/
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Institut Bauen und Umwelt (Institute Construction and Environment), bau-umwelt.de


Norway EPD system, epd-norge.no
Taiwan EPD system, pcr-library.edf.org.tw/product_country/taiwan.asp
Korean EPD system, eng.keiti.re.kr
UL Environment EPD system,
ul.com/global/eng/pages/offerings/businesses/environment/services/certification/epd/
Global Environmental Declaration network, gednet.org

Because an EPD must have a corresponding PCR to contribute to this credit, project teams might find it useful to
research EPDs by finding out whether a PCR exists for a product type, and if so, the entity that created it. The
entity that created the PCR is likely to have used it to create an EPD.
In Option 1 Environmental Product Declaration, different thresholds are designed to accommodate varying
levels of development of EPDs across industries. For example, the flooring industry has an established PCR, and
as a result, several carpet and resilient flooring companies now provide EPDs. In industries without established
PCRs, some manufacturers provide life-cycle assessments in accordance with ISO. The credit-calculated value
for an ISO 14040/44 LCA is lower, to encourage manufacturers to work through their industry associations to
develop PCRs, which allow more accurate comparisons between products in similar categories. Generic EPDs
are a good starting point for manufacturers; they provide a baseline of information for a specific product
category, but are not specific to a company or manufacturing plant.
Product-specific declarations are publicly available and critically reviewed (but not necessarily
verified) by a third party to ensure that they conform to ISO 14044, which defines how LCAs are critically
reviewed.
Industry-wide (generic) declarations have third-party (Type III) certification, which includes verification.
The declaration is generic to a product, such as concrete, not specific to a particular manufacturer or
company. For the product to be eligible, the manufacturer must claim representation either directly on the
EPD or through the Program Operator for the associated EPD.
Product-specific Type III declarations also use third-party certification that includes
verification. Unlike generic EPDs, however, product-specific declarations are specific to a particular
manufacturer and do not necessarily reflect the practices of the rest of the industry.
A Type III EPD uses data from a life-cycle assessment (LCA) and is defined by the PCR so that all EPDs for
a product are comparable. LCA data can also be aggregated to produce a representative EPD of several products
in the same family (type). ISO has developed several standards regarding independent verification of
quantitative data (the LCA), PCR development, and EPD review and publication. EPDs can be found on
manufacturers websites or the program operators website or can be requested from the manufacturer.
For this credit, the scope of any EPD must be at least cradle-to-gatethat is, it must cover the part of a
products life cycle from extraction (cradle) and material processing to creation of the final product ready for
sale by the manufacturer (gate); it excludes transportation from the factory to distributors or end customers.
EPDs that cover only manufacture (gate to gate) do not contribute toward the credit.
All EPDs must be consistent with ISO standards 14025, 14040, 14044, and EN 15804 or ISO 21930. These
standards address how to set up and perform LCA, how LCA feeds into an EPD, and the appropriate level of
detail and content to be included in an EPD (see Referenced Standards).
For products not included in EN 15804 or the superseded ISO 21930 (i.e., furniture and other items not
considered building products), conformance to ISO 14025 only is acceptable.
EN 15804 is a European standard for PCR development. Products using EN 15804 in North America are
expected to adapt regionally specific aspects of the EN standard for North America. Declaration Holders should
work with the Program Operator to perform these adaptations.
To contribute to the credit threshold, the EPD must include statements of compliance with a specific PCR
and compliance with the ISO standards.
commissioning
527

declaration (program
operator)

or
EPd verification EPd verification
(program operator) (3rd Party)

Publication
(program operator)

tablE 1. EPD process comparison

Product-specific declaration
industry-wide EPd Product-specific EPd

Data are critically


reviewed X X X

Data are specific to


product X X

Data are reported


according to PCR possibly X

For a manufacturer, the EPD process is as follows:


1. A manufacturer searches for existing product category rules for its product category (aka the product type)
see list above for regional entities that maintain PCR libraries. If a PCR does not exist, manufacturers work
with a program operator to convene a group and develop product category rules for the product type. This
process includes a proposal, draft creation, open consultation, panel review, and approval and publication
of product category rules.
2. The manufacturer conducts a life-cycle assessment, based on the products goals and functional unit,
global warming potential, primary energy demand, contribution to acidification and eutrophication, and
other environmental indicators.
528

3. The manufacturer creates the EPD using this information and initiates verification by a third party, which
determines whether the LCA followed the correct ISO processes and the EPD was created according to the
PCR.
4. The manufacturer registers the declaration with a program operator, which verifies the EPD according to
ISO standards. Examples of program operators include UL Environmental, ICC-ES, ASTM, NSF, FP
Innovations, and the Institute for Environmental Research and Education.

doCuMenTaTion of ProduCT-sPeCifiC deClaraTions


Product-specific declarations are defined for this credit as declarations that are based on a life-cycle
assessment of a product but not constituting a full EPD. To document this claim, the project team must
provide the following information:
Name (declaration holder or producer, typically the manufacturer)
Contact information
Product type
Product name
Product description
Summary of impact categories measured and overall values
Functional unit
Standards met
Independent review entitys name and statement

doCuMenTaTion of ePds
For industry-wide (generic) declarations and product-specific Type III declarations, the project team must
provide the following:
Declaration holder (the company, usually the manufacturer, that the EPD is attributed to)
EPD program operator (the entity that creates and registers the EPD)
LCA verifier (the third-party entity that verifies the life-cycle assessment)
PCR reviewer (the third-party entity that has reviewed the product category rules)

During the selection of products with EPDs, identify two items about the document: the type of EPD it is, and
the summary that will be uploaded for credit compliance. Figure 2 illustrates an EPD created by Interface Flor
for Type 6 Nylon with GlasBac.
529

Used with permission from Interface.


Such a summary is preferable to the full document, provided it includes the following:
Name (declaration holder, the producer or group of producers; each producer must be listed to claim the
credit)
Program operator
Contact information
Product type
Product name
Product description
Product category rule (title)
Certification period
Declaration number
Summary of impact categories measured and overall values
Functional unit
Standards met
Independent verification body (may be the same as the program operator)
530

Figure 3. Sample EPD for carpet tile product. Used with permission from Interface.
CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
documentation option 1 option 2

MR building product disclosure and optimization calculator or equivalent tracking tool X X

EPD and LCA reports or compliant summary documents for 100% of products contributing toward
X
credit

Documentation of compliance with USGBC-approved program X


531

relaTed CrediT TiPs


MR Credit Building Product Disclosure and OptimizationSourcing of Raw Materials. Locally sourced
materials contributing to the credit may also contribute to this related credit if compliant harvesting or extraction
can be confirmed.

MR Credit Building Product Disclosure and OptimizationMaterial Ingredients. Manufacturers whose


products and materials have EPDs may report ingredients. Ensure that the level of detail reported meets the
credit requirements. If the level of detail is sufficient, the product can contribute to both this credit and the
related credit.

MR Credit Building Life-Cycle Impact Reduction. See MR Credit Building Life-Cycle Impact Reduction,
Further Explanation, Life Cycle Impact Measures or Indicators, for more
information on environmental impact measures included in Option 2 of this credit.

ChanGes froM leed 2009


This is a new credit.
Some materials excluded from MR credits in the past may now be included, such as mechanical fixtures,
fittings, and rough-in materials that are considered nonmotorized MEP components.

referenCed sTandards
International Standard ISO 140211999, Environmental labels and declarationsSelf Declared Claims
(Type II Environmental Labeling): iso.org

International Standard ISO 140252006, Environmental labels and declarations (Type III Environmental
DeclarationsPrinciples and Procedures): iso.org

International Standard ISO 140402006, Environmental management, Life cycle assessment principles,
and frameworks: iso.org
International Standard ISO 140442006, Environmental management, Life cycle assessment
requirements, and guidelines: iso.org

CEN Comit Europen de Normalisation (European Committee for Standardization) EN 158042012


Sustainability of construction works, Environmental product declarations, Core rules for the product
category of construction products: cen.eu

International Standard ISO 219302007 Sustainability in building constructionEnvironmental


declaration of building products: iso.org

Federal Trade Commission, Guides for the Use of Environmental Marketing Claims, 16 CFR 260.7 (e):
ftc.gov/ bcp/grnrule/guides980427.htm

exeMPlary PerforManCe
Option 1. Source at least 40 qualifying products from five manufacturers.

Option 2. Purchase 75%, by cost, of permanently installed building products that meet the required attributes.
532

definiTions
cradle-to-gate assessment analysis of a products partial life cycle, from resource extraction (cradle) to the
factory gate (before it is transported for distribution and sale). It omits the use and the disposal phases of the
product.

enclosure the exterior plus semi-exterior portions of the building. Exterior consists of the elements of a building
that separate conditioned spaces from the outside (i.e., the wall assembly). Semiexterior consists of the elements
of a building that separate conditioned space from unconditioned space or that encloses semi-heated space
through which thermal energy may be transferred to or from the exterior or conditioned or unconditioned spaces
(e.g., attic, crawl space, basement).

environmental product declaration a statement that the item meets the environmental requirements of ISO
140211999, ISO 140252006 and EN 15804, or ISO 219302007 life-cycle assessment an evaluation of the

environmental effects of a product from cradle to grave, as defined by ISO

140402006 and ISO 140442006

product (permanently installed building product) an item that arrives on the project site either as a
finished element ready for installation or as a component to another item assembled on-site. The product unit
is defined by the functional requirement for use in the project; this includes the physical components and
services needed to serve the intended function of the permanently installed building product. In addition,
similar product within a specification, each contributes as a separate product.

structure elements carrying either vertical or horizontal loads (e.g., walls, roofs, and floors) that are considered
structurally sound and nonhazardous
MaTerials and resourCes CrediT

Building Product Disclosure and


optimizationsourcing of Raw
Materials
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (12 points) retail (12 points) healthcare (12 points)

inTenT

to encourage the use of products and materials for which life cycle information is
available and that have environmentally, economically, and socially preferable life
cycle impacts. to reward project teams for selecting products verified to have been
extracted or sourced in a responsible manner.

requireMenTs
oPTion 1. raW MaTerial sourCe and exTraCTion rePorTinG (1 PoinT)
Use at least 20 different permanently installed products from at least five different manufacturers that have publicly
released a report from their raw material suppliers which include raw material supplier extraction locations, a
commitment to long-term ecologically responsible land use, a commitment to reducing environmental harms from
extraction and/or manufacturing processes, and a commitment to meeting applicable standards or programs
voluntarily that address responsible sourcing criteria.
Products sourced from manufacturers with self-declared reports are valued as one half (1/2) of a product for credit
achievement.
Third-party verified corporate sustainability reports (CSR) which include environmental impacts of extraction
operations and activities associated with the manufacturers product and the products supply chain, are
valued as one whole product for credit achievement calculation. Acceptable CSR frameworks include the
following:
Global Reporting Initiative (GRI) Sustainability Report
Organisation for Economic Co-operation and Develoment (OECD) Guidelines for Multinational
Enterprises
U.N. Global Compact: Communication of Progress
ISO 26000: 2010 Guidance on Social Responsibility
USGBC approved program: Other USGBC approved programs meeting the CSR criteria.

oPTion 2. leadershiP exTraCTion PraCTiCes (1 PoinT)


534

Use products that meet at least one of the responsible extraction criteria below for at least 25%, by cost, of the total
value of permanently installed building products in the project.
Extended producer responsibility. Products purchased from a manufacturer (producer) that participates in an
extended producer responsibility program or is directly responsible for extended producer responsibility. Products
meeting extended producer responsibility criteria are valued at 50% of their cost for the purposes of credit
achievement calculation.
Bio-based materials. Bio-based products must meet the Sustainable Agriculture Networks Sustainable
Agriculture Standard. Bio-based raw materials must be tested using ASTM Test Method D6866 and be legally
harvested, as defined by the exporting and receiving country. Exclude hide products, such as leather and other
animal skin material. Products meeting bio-based materials criteria are valued at 100% of their cost for the
purposes of credit achievement calculation.
Wood products. Wood products must be certified by the Forest Stewardship Council or USGBC-approved
equivalent. Products meeting wood products criteria are valued at 100% of their cost for the purposes of credit
achievement calculation.
Materials reuse. Reuse includes salvaged, refurbished, or reused products. Products meeting materials reuse
criteria are valued at 100% of their cost for the purposes of credit achievement calculation.
Recycled content. Recycled content is the sum of postconsumer recycled content plus one-half the preconsumer
recycled content, based on cost. Products meeting recycled content criteria are valued at 100% of their cost for the
purposes of credit achievement calculation
USGBC approved program. Other USGBC approved programs meeting leadership extraction criteria.

For credit achievement calculation, products sourced (extracted, manufactured, purchased) within 100 miles (160 km)
of the project site are valued at 200% of their base contributing cost. For credit achievement calculation, the base
contributing cost of individual products compliant with multiple responsible extraction criteria is not permitted to
exceed 100% its total actual cost (before regional multipliers) and double counting of single product components
compliant with multiple responsible extraction criteria is not permitted and in no case is a product permitted to
contribute more than 200% of its total actual cost.
Structure and enclosure materials may not constitute more than 30% of the value of compliant building products.
Behind the intent
Raw material extraction has a direct environmental impact on Earths ecosystems. For example, conventional logging is
the largest source of deforestation in Latin America and subtropical Asia, accounting for more than 70% of resource
depletion; mining operations clear another 18% of the worlds forests. Unmanaged extraction practices can cause not
only deforestation but also degradation of water sources, habitat loss, threats to rare and endangered species, releases of
toxic chemicals, and the infringement of indigenous peoples rights.
This credit encourages the use of responsibly sourced and extracted materials through reporting and demonstration of
responsible extraction practices. Corporate sustainability reports (CSRs), based on widely recognized frameworks and
standards, can shed light on product supply chains and identify sources of raw material extraction. CSRs have become
increasingly popular among all types of businesses, from retail organizations to product manufacturers. As sustainability
goals become more prominent, CSRs provide frameworks that allow transparency and environmental impacts to be
assessed, improved, and compared with other companies.
In addition to seeking the responsible sourcing of virgin materials, teams are also encouraged to reduce raw material
usage by selecting reused and recycled materials. Teams may also follow leadership performance standards and
certifications that encourage local sourcing. To recognize the rapidly changing marketplace conditions for product and
material reporting, this credit has an additional USGBC-approved program criterion designed to recognize any
leadership certification programs that may be developed in the future.
By increasing the demand for transparency in mining, quarrying, agriculture, forestry, and other industries, this credit
rewards environmental impact reductions that go beyond the individual project and have positive effects on the sources
of project materials.
535

SteP-BY-SteP GUidAnCe

Select which option(s) to pursue. Projects can earn a maximum of 2 points by achieving the requirements for both options, and products
may contribute to both options simultaneously. Early product research can help the project team capitalize on opportunities for
products contributing to multiple credits and options.
The required scope of this credit is permanently installed building products, excluding mechanical, plumbing, electrical, (MEP) and
specialty equipment and items purchased for temporary use on the project. Furniture is not considered permanently installed and is not
required to be included in the credit. However, furniture as well as other optional MEP products may be included, provided they are also
included in the other two cost-based credits, MR Credit Building Product Disclosure and Optimization Environmental Product
Declarations and MR Credit Building Product Disclosure and Optimization Material Ingredients. For more information see MR
Overview, Qualifying Products and Exclusions.
Option 1 Raw Material Source and Extraction Reporting is for projects that have products consisting of materials from manufacturers
that have reported sustainable sourcing and extraction methods according to an acceptable framework, as indicated in the credit
requirements. Products must be sourced from the minimum number of manufacturers as specified in the credit requirements.
Option 2 Leadership Extraction Practices is for projects that have products and/or constituent materials that meet at least one of the
responsible extraction criteria listed in the credit.

Option 1. Raw Material Source and extraction Reporting

SteP 1. SPeCifY And SeleCt COMPliAnt PROdUCtS


Specify products from manufacturers that can provide reports of raw materials from their suppliers.
To meet the credit requirements, reports must include information on the following:
Raw material supplier extraction locations
Commitment to long-term ecologically responsible land use
Commitment to reducing environmental harms from extraction and manufacturing processes
Commitment to meeting voluntary standards or programs that address responsible sourcing
536

the reports may be available in the form of a corporate sustainability report (csR) (see Further Explanation, Raw Material
Reporting and Corporate Sustainability Reports).
include performance requirements or sole-source compliant products as applicable to the selected option(s) in the project
specifications. to ensure compliant purchases, consider creating a Division 1, General Requirements, specification for
sustainability criteria that meet MR requirements. Reference that section to distinguish it from other sections that cover
products and materials.
similar products from the same manufacturer can be counted as separate products if they have distinct formulations but not if
they are aesthetic variations or reconfigurations (see MR Overview, Defining a Product).
Research sourcing disclosure reports for contributing products. third-party verified reportsalso called externally assured
reportsare counted at full value for credit compliance; self-declared reports are counted at half value. Retain all reports for
credit documentation.
for a material procured directly from a raw material supplier, such as timber from a forest products company or stone from a
quarry, verify that any reporting meets the requirements.
for a product made by a manufacturer that uses raw materials extracted by others, ask the manufacturer or supplier to
provide documentation of compliant reporting.

sTeP 2. TraCk PurChases ThrouGhouT ConsTruCTion


track purchasing of products throughout the construction of the project. to review progress toward credit achievement,
regularly enter information into the MR building product disclosure and optimization calculator or an equivalent custom tool.
the best source of documentation is the manufacturer or the organization that manages the reporting program. Reports are
typically available online, but in some cases it might be necessary to contact a company representative. Documentation may
also be available from third-party websites that compile the information of many companies in one place. use formal
correspondence to request csRs or other documentation indicating that the required information has been disclosed if it is
not readily available.
continually track substitutions and change orders to ensure that replacement products meet the credit requirements.
check in periodically with team members (particularly owners, architects, interior designers, contractors, subcontractors, and
suppliers) to verify progress toward credit achievement and address any gaps in credit compliance.

sTeP 3. CalCulaTe CoMPlianT ProduCTs and MaTerials and CoMPile doCuMenTaTion


using the data collected in the tracking tool, calculate the number of compliant products, using Equation 1 (see Further
Explanation, Calculations).
in this option, compliance is based on the number of products, not their cost.
collect sourcing disclosure reports. Retain the reports for all materials that contribute to credit achievement.

option 2. leadership extraction Practices


sTeP 1. researCh ProduCTs specify products that meet one or more of the criteria listed in the credit
requirements.
Different components or ingredients in an assembled product may contribute to different credit criteria.
Each product, component, or ingredient that meets several criteria receives credit for each criterion met. for exceptions see
Further Explanation, Calculating FSC Credit Contributions.
Review preliminary design concepts and identify opportunities to use and procure biobased, qualified wood as well as salvaged
and recycled-content materials and products covered by extended producer responsibility, especially for applications that use
either significant quantities of materials or small amounts of high-cost materials.
the amount of biobased content in a product is determined by the manufacturer according to astM standard D6866. testing
per astM standard D6866 may be necessary to determine the fraction of biobased content if it cannot be determined by
other means (see Further Explanation, Documentation for Wood and Biobased Products).
wood must be certified by the forest stewardship council (fsc) unless it is considered reused, salvaged, or recycled. Look for
vendors that hold an fsc chain-of-custody certificate. Material covered by both fsc and the sustainable agriculture standard,
such as nonwood forest products and bamboo, may be certified under either fsc or sustainable agriculture network
standards (see Further Explanation, Materials Reuse Considerations).
Extended producer responsibility (also known as a closed-loop recycling program and as product take-back) puts a used
product back into the production stream (see Further Explanation, Extended Producer Responsibility). the program can be
sponsored by the products manufacturer or other service.

sTeP 2. TraCk PurChases ThrouGhouT ConsTruCTion


537

During construction, coordinate a review of the construction product submittals to ensure that the selected products meet
credit requirements. to review progress toward credit achievement, regularly enter information into the MR building product
disclosure and optimization calculator provided by usGBc or an equivalent custom tool regularly to track progress toward credit
achievement.
continually track substitutions and change orders to ensure that replacement products meet the credit requirements. any
product substitutions should be carefully reviewed by the design team and contractor for compliance.
Because these requirements are not typical for all construction teams and suppliers, conduct a LEED-specific preconstruction
meeting to review the credit requirements in detail and stress their importance.
check in periodically with team members (particularly owners, architects, interior designers, contractors, subcontractors, and
suppliers) to verify progress toward credit achievement and address any gaps in credit compliance.

sTeP 3. CalCulaTe ProduCT and MaTerial CosTs and CoMPile doCuMenTaTion use Equation 2 to determine the total
value of compliant products (see Further Explanation, Calculations). compliance is based on products cost.
structure and enclosure materials may not constitute more than 30% of the value of compliant building products. once the
cap on structural material is met, these products can no longer contribute toward the credit but must be included in the
denominator of Equation 2.
some products may meet multiple criteria or are part of assemblies (see MR Overview, Determining Material Contributions).
collect documentation. for certification programs, provide documentation for all products

furTher exPlanaTion

CalCulaTions
Equation 1. Number of products with raw material extraction reporting

Total # = { # of products with }{ # of products


with 3rd party
verified reports
1 }
0.5 +
of products manufacturer-
declared reports
Equation 2. Percentage of responsibly sourced products

% of materials {( applicable product cost1 )( valuation criterionfactor 1)( valuation locationfactor )


+{( applicable product cost2 )( )(
valuation criterionfactor 2 valuation locationfactor + ...

cost = 100

Cost of all permanently installed prodcuts


538

where

Product cost = cost of the product contributing toward credit (see MR Overview, Determining
Product Cost).

Criterion valuation factor = multiplier assigned to each sourcing criterion:


Biobased products meeting Sustainable Agriculture Standard, value 1.0, by cost
Wood products certified to FSC standards, 1.0 value (see Further Explanation, Calculating
FSC Credit Contributions).
Reused materials, value 1.0, by cost
Postconsumer recycled materials, value 1.0, by cost
Preconsumer recycled materials, value 0.5, by cost
Location valuation factor = multiplier for the extraction, manufacture, and purchase location (see MR
Overview, Location Valuation Factor)
Extended producer responsibility is valued at 50%; that is, the valuation factor is 0.5. Products that are part
of an extended producer responsibility program may be counted in their entirety even if only part of the
product is recycled.

raW MaTerial rePorTinG and CorPoraTe susTainabiliTy rePorTs


For a product to count toward credit achievement, its report must be current for the product at its time of
installation. Reports published within one year of the projects LEED registration date, or reports that cover a
period that ends within that year are acceptable.
A compliant report must be issued by either the manufacturer or the raw material supplier and cover at least
the criteria listed in the rating system requirements. At least 90% of the contents of each product must be from
raw materials covered by a compliant report; no partial credit is allowed for products that do not meet this
threshold. Reports obtained directly from raw material suppliers must verify the use of the raw material in
products purchased for the project building. A manufacturers report must trace activities to the source of
extraction of the products raw materials. In either case, acceptable frameworks for raw material reporting
include the following:

Global Reporting Initiative (GRI) Sustainability Report


The GRI reporting framework is widely recognized as the most comprehensive. Its corporate sustainability
reporting program offers reporting services, a publicly available database of reports, and tracking of required
progress. Reports are assigned a score of A, B, or C, reflecting how closely the framework was followed in the
report; this letter grade is not an indicator of quality but pertains only to the application.
The reporting framework also supports third-party verification (external assurance) through a network of
approved assurance providers. A plus sign (+) after the score indicates that the report has been externally
assured. For a product to count toward credit achievement, the assurance scope must cover either the entire
report or all sections of the report that directly address raw materials extraction practices. The level of
assurance for the relevant sections must be reasonable/high for the report to be considered third-party
verified. If the level is limited/moderate, the report is not considered third-party verified for the purposes of
this credit. The report can still count as a manufacturer-declared report, however, provided it includes all the
information specified in the credit requirements.
A report status of GRI-checked or third-party checked applies only to the application level. These checks
are not the same as external assurance and do not qualify the report as third-party verified for the purposes of
this credit.
For more details on these report qualifiers, refer to globalreporting.org/resourcelibrary/GRI-Data-
LegendSustianability-Disclosure-Database-Profiling.pdf. The framework can also be used as a stand-alone
guidance document. The current version of the framework is G3.1. The next version, G4, is intended to align
better with other reporting programs worldwide.

Organization for Economic Co-operation and Development (OECD) Guidelines for Multinational
Enterprises
539

These guidelines are a comprehensive corporate social responsibility instrument developed by governments. The
recommendations, addressed to multinational enterprises operating in or from adhering countries, set forth
voluntary principles and standards for responsible business conduct in such areas as employment and industrial
relations, human rights, environment, information disclosure, antibribery practices, consumer interests, science
and technology, competition, and taxation. The guidelines are general and not intended to define specific
reporting requirements, so it is up to the products manufacturer to ensure that its report covers the required
measures and, if it is third-party verified, that the verification process is truly independent. Project teams should
seek a signed letter from the manufacturer on company letterhead attesting to that conformance with the credit
requirements.

UN Global Compact: Communication of Progress


The UNGC is a policy framework for the development, implementation, and disclosure of 10 sustainability
principles in four core areas: human rights, labor, environment, and anticorruption. The GRI Sustainability
Reporting Guidelines can be used to produce the Global Compacts annual Communication on Progress, the
mechanism that UNGC uses to demonstrate progress toward its principles. The GRI guidelines provide a
structure for reporting and independent verification. See the GRI Sustainability Reports section, above, for
details on how to use that format to meet the credit requirements. Project teams should seek a signed letter from
the manufacturer on company letterhead attesting to conformance with the credit requirements.

ISO 26000: 2010 Guidance on Social Responsibility


ISO 26000 provides guidance on how businesses and organizations can operate in an ethical and transparent
way that contributes to the health and welfare of society. Not a standard to which a companys report can be
certified, it helps clarify what social responsibility is, helps businesses and organizations translate principles
into effective actions, and shares best practices relating to social responsibility.
To document product compliance with Option 1, provide a publicly available document confirming the
manufacturers third-party-verified corporate sustainability report. Reports are often available on websites, but
because web pages can change without notice, project teams are advised to print and retain paper copies.

exTended ProduCer resPonsibiliTy


Extended producer responsibility (EPR) is a waste management strategy that promotes integrating the life-cycle
environmental costs associated with goods into the market price of the products. EPR is based on the idea that
because producers have the greatest control over product design, they also have the ability and responsibility to
reduce their products toxicity and waste.
The Organisation for Economic Co-Operation and Development (OECD) defines extended producer
responsibility as an environmental policy approach in which a producers responsibility for a product is
extended to the postconsumer stage of the products life cycle. An EPR policy (1) shifts responsibility
(physically and/or economically, fully or partially) upstream toward the producer and away from municipalities;
and (2) creates incentives for producers to take into account environmental considerations when designing their
products. There are two basic types of EPR programs:
Manufacturer-based programs. The manufacturer of the product has a take-back or recycling
program for the product purchased (Figure 1). Documentation for Option 2 can be a brochure describing
the EPR program and including contact information, plus proof that the product purchased for the project
is included in the program. Documentation may also be a letter from the manufacturer verifying that an
EPR program is in place and that the product purchased for the project is eligible, with contact
information.
Third-party program. In some cases a separate business collects material and sells or transports it back
to manufacturers. Verifying that the material is in fact recycled is of the utmost importance. Acceptable
documentation is a brochure that describes the recycling process and states the average rate of return for
the material.
540

Figure 1. Sample education pamphlet about commercial ceiling tile recycling as part of extended producer
responsibility program. Education pamphlet about Extended Producer Responsibility used with permission
from Armstrong World Industries.

doCuMenTaTion for Wood and biobased ProduCTs


Documentation for Wood
To contribute toward credit achievement, wood products that are not reused, salvaged, or recycled must be
certified to the standards of the Forest Stewardship Council. Bamboo, nonwood forest products, and other
materials that are not actually wood but are certified by FSC can count toward this credit. Collect vendor
invoices for wood products purchased for the project (see Further Explanation, FSC Chain
of Custody).

Documentation for Biobased materials


Biobased products are defined by ASTM D6866, but testing (by the manufacturer or a contracted party) is not
required in all cases. Manufacturers use this test to determine the amount of biobased material in a product. If
the percentage of biobased materials, by weight, in the product are known, testing to this standard may not be
necessary. Nonwood products must be grown on farms that meet the Sustainable Agriculture Standard of the
Sustainable Agricultural Network (SAN). Products originating on farms that meet the Sustainable Agriculture
Standard must adhere to the guidelines and policies of the Rainforest Allianceincluding traceability, chain of
custody and use of sealand receive pre-approval from the Rainforest Alliance in order to bear the Rainforest
Alliance Certified seal. The Rainforest Alliance is a member of SAN and hosts its international secretariat,
providing traceability, market linkages, and technical assistance. Several certification bodies in different
countries are accredited to conduct Rainforest Alliance certification. A full listing of certified farms and
operations can be found on the SAN website, sanstandards.org. A list of Rainforest Certified products can be
found at rainforest-alliance.org. To date, nearly all Rainforest Alliance Certified agricultural products are foods,
coffee, tea, and cut flowers.
Because the number of Rainforest Alliancecertified crops in building materials is limited, project teams
may include products with manufacturer-declared conformance to the Sustainable Agriculture Standard (except
bamboo and nonwood forest products that could be FSC certified) under the following three conditions:
The products manufacturer provides a signed letter on company letterhead from the raw material supplier
attesting that its practices meet the standard.
541

The letter includes a link to a publicly available document that specifies how the raw material suppliers
practices conform to each paragraph in all 10 sections of the standard and attesting that each critical
criterion is met.
Both the letter and the detailed documentation are dated within one year before the date of project
registration.

fsC Chain of CusTody


Chain-of-Custody (CoC) certification requirements are established by Forest Stewardship Council Chain of
Custody Standard 40-004 v2-1. To view this and all FSC standards, see the FSC website, ic.fsc.org, for listings.
Every entity that processes or trades FSC-certified material before it is shipped to the project site must have FSC
CoC certification. On-site installers of FSC-certified products must have CoC certification only if they
modify the products off the project site.

CalCulaTinG fsC CrediT ConTribuTions


FSC-certified products must be itemized on the vendors invoice. Their value toward credit
contribution is calculated as one of the following, as determined by the FSC claim on the invoice
provided by the supplier(terminology in parenthesis is being phased out but may still be in use):
Products identified as FSC 100% (FSC Pure) contribute 100% FSC content.
Products identified as FSC Mix Credit (FSC Mixed Credit) contribute 100% FSC content.
Products identified as FSC Mix [NN]% (FSC Mixed [NN]%) contribute the FSC content percentage
indicated. For example, a product identified as FSC Mix 75% is valued at 75% of the products cost
(Equation 3).
Equation 3. Credit contribution of FSC Mix


FSC product value ($) = Total product cost ($)
FSC Mix [NN] %

Products identified as FSC Recycled Credit contribute 100% postconsumer recycled content.
Products identified as FSC Recycled [NN] % contribute the percentage postconsumer recycled content
percentage indicated [NN].

Multiple Sustainable Claims and FSC


FSC and recycled content. Some products identified as FSC Mix Credit or FSC Mix [NN] % also have pre- or
postconsumer recycled content, the latter of which is commonly reported separately by the product
manufacturer. In these instances the project team must choose whether to classify the product (or some fraction
of the assembly) as FSC certified or as recycled content; the material cannot contribute to both claims
simultaneously.
FSC and SAN certified products. Products certified by both FSC and to the Sustainable Agriculture Standard
they may receive credit for each criteria.

doCuMenTinG fsC ClaiMs


Project teams must document FSC certification for all wood products that contribute to credit achievement.
FSCcertified products qualify for credit only when purchased from a vendor with an FSC chain-of-custody
certificate that is current at the time of sale. The vendor is defined as the company that sells products to the
project contractors and subcontractors who do not modify products off-site. The status of a CoC certification can
be verified at info.fsc.org.
Each product shipped to the project site and contributing toward credit must be documented by an invoice
from the CoC certificate holder as follows:
542

The invoice must have the vendors CoC certificate code (e.g., RA-COC-001025, SCS-COC-000345, or
SGSCOC-002563). The invoice must itemize FSC-certified products and specific FSC claims.
The invoice may aggregate the value of products, provided the cost of FSC products is isolated from other
wood products and the vendors CoC certificate code is on the invoice.
The invoice must show the entity being invoiced and indicate the delivery is intended for the LEED
project.
543

An alternative documentation process is available for architectural woodworkers (manufacturers of millwork,


casework, and furniture) who supply custom wood products to the project. The purpose of this alternative
process is to allow FSC-certified materials used in a custom millwork, casework, or furniture package to
contribute toward the credit even if the entire package is not eligible to be invoiced with a FSC claim.
Documentation for this alternative process must meet all of the following requirements:
The woodworker (whether an individual or a company) must be FSC CoC certified, and the CoC
certificate number must appear on the project invoice.
The woodworker must install the custom millwork, casework, or furniture.
The woodworkers invoice must isolate product costs from installation costs.
The woodworker must provide a document, separate from the project invoice, detailing FSC-certified
wood materials used and total cost of wood materials used. (The woodworker does not need to provide
itemized material cost calculations but must maintain calculation records for auditing purposes by the FSC
certifying body.)
The contract cost may include assembly labor but must exclude on-site labor (see MR Overview,
Determining Product Cost).

The project team should complete a spreadsheet itemizing wood components by cost and identifying FSC-
certified and noncertified components to determine overall contributions to the credit, to be entered into the MR
calculator. Calculate the FSC-certified contribution value toward the credit by multiplying the percentage of
FSC-certified wood by the overall value of the contract. Calculate the percentage of FSC-certified wood by
dividing the cost of FSC-certified wood by the total cost of the wood.
Submit the FSC-certified contribution value as well as the total contract amount. Include the woodworkers
CoC certificate number, invoice, and itemized costs.

MaTerial reuse ConsideraTions


Determine the cost of each material. The cost of reused or reclaimed materials is either the actual cost paid or
the replacement value, whichever is higher.
The replacement value can be determined by pricing a comparable material in the local market; exclude labor
and shipping. If a project team receives a discount from a vendor, the replacement value should be the discounted
price, not the list value.
If the actual cost of the reused or salvaged material is below the cost of an equivalent new item, use the
higher value (actual cost) of the new item. If the cost to reclaim an item found on site is less than the cost of an
equivalent new item, use the cost of the new item (or replacement cost).
Generally, opportunities to reuse building materials may be limited. Core materials that may be eligible
include salvaged brick, structural timber, railroad ties, stone, and pavers. When considering the reuse of
salvaged materials, confirm that they do not contain toxic substances, such as lead or asbestos.

Reused materials found on site


Components that are retained either in their original function or in a new role are eligible for this credit. For
reused materials found on site, the source location distance is zero.

Reused materials found off site


Materials obtained off site qualify as reused if they were previously used in a building or other application.
These materials may be purchased as salvaged, like any other project material, or moved from another facility,
including facilities used or owned by the LEED project owner.
For salvaged furniture taken from the owners previous facility or location, demonstrate that these materials
were purchased at least two years before the date of project registration. For example, if the owner is moving to
a new building, furniture and furnishings relocated to the new site can contribute to this credit because their
reuse will eliminate the need for purchasing new furniture and furnishings. Alternatively, furniture that is leased
must have been in service for at least two years before being installed in the current project. Document this
claim.
Location valuation factor for salvaged or reused materials
544

For reused materials, the source location of extraction or harvest is the location of the materials before their
removal to the project site.
For material taken directly from another building, the source location is the building. For items purchased
from a building materials salvage store or recycling facility, the source location is the store or facility. In this
case, it is not necessary to track material to the original building.

reCyCled ConTenT
Recycled content claims for products must conform to the definition in ISO 140211999, Environmental Labels
and Declarations, Self-Declared Environmental Claims (Type II Environmental Labeling).
Many common materials have recycled content because of how they are manufactured; examples are steel,
gypsum board, and acoustical ceiling tile. Design and construction teams may need to research which materials
contain high levels of recycled content or verify which factories and which models of a product line feature the
desired recycled content. Average recycled content claims given in a range are not acceptable for the purposes
of this criterion.
Although it is a good practice, reusing materials reclaimed from the same process in which they were
generated does not contribute toward the recycled content of the material. Putting waste back into the same
manufacturing process from which it came is not considered recycling because it was not diverted from the
waste stream.
Reuse of materials includes rework, regrind, or scrap product (ISO 14021); these count as preconsumer
recycled only if they are used in a different product than the one whose production generated the waste. For
example, glass culls that are reused to make new glass products do not count, but planer shavings, plytrim,
sawdust, chips, bagasse, and sunflower seed hulls are considered preconsumer recycled content when used to
make new products. .
Distinguish between postconsumer and preconsumer recycled content when tracking materials for the
purpose of credit calculations.
To calculate the percentage of recycled-content materials used in a project, list all recycled-content materials
and products and their costs. For each product, identify the percentage of postconsumer and/or preconsumer
recycled content by weight, and list the recycled content information source. The information must come from a
reliable, verifiable source, such as the products manufacturer.

Postconsumer recycled content


Postconsumer recycled content is consumer waste, much of which comes from residential curbside recycling
programs for aluminum, glass, plastic, and paper. Other postconsumer feedstock is generated when construction
and demolition debris is recycled. To be a feedstock, the raw materials must have served a useful purpose in the
consumer market before being used again.

Preconsumer Recycled Content


Preconsumer recycled content comes from process waste that is used to make a different product. For
instance, a composite board manufacturer may use sawdust from a lumber mill or waste straw from a wheat
farm. This definition does not include in-house industrial scrap or trimmings, which are normally fed back
into the same manufacturing process.
The end product must be considered when determining whether a waste product is preconsumer or
postconsumer. For example, a power plants end product is electricity, so waste products from the combustion
of coal may be considered preconsumer waste but not postconsumer; the power plant is not an end-use
consumer of the coal.
Default recycled content for steel products where no recycled content information is available, assume the
recycled content to be 25% postconsumer. No other material is known to have a similarly consistent minimum
recycled content.
Many steel products contain 90% or higher recycled content if manufactured by the electric arc furnace
process, so it may be beneficial to obtain actual information from the manufacturer rather than relying on the
default value.

Average recycled content


545

Recycled content claims must be specific to the installed product. Installed product refers to an item
distinguished by color, type, and/or location of manufacture, as identified to the consumer by SKU or other
means.
Project teams may use the average recycled content value provided by a single manufacturer for a single
product. Recycled content claims for custom products must be product specific; industry-wide or national
averages are not acceptable. In all cases, if recycled content is given as a range, use the lowest recycled-content
percentage. exaMPles
Option 2 Example Calculation: MDF Panel with FSC-Certified Veneer

A project is installing $10,000 worth of veneer paneling. The MDF core is 90% of the product by weight, of
which 80% is preconsumer waste wood that meets the ISO 14021 requirement. The veneer is 10% of the
product by weight and FSC certified. The MDF is extracted, manufactured, and purchased within 100 miles
(160 km); the veneer is imported.
tablE 1. Sample calculation for product assembly meeting sustainable criteria

sustainable criteria
Percentage of location
value of sustainable
component product by valuation
component Percentage of criteria value
weight factor?
component requirement

Preconsumer
MDF core 90% $9,000 80% recycled content Yes $14,400

Veneer 10% $1,000 100% FSC certified No $1,000

Total sustainable criteria value $15,400

Option 2 Example Calculation: Salvaged Doors

A project team purchases 50 doors salvaged from a local deconstruction site and sold through a local Habitat for
Humanity ReStore for $500. The value of equivalent new doors is documented at $400 each, or $20,000. Their
contribution to the credit is as follows:
$20,000 x 1.0 criterion valuation * 2.0 location valuation = $40,000

$40,000 is the total sustainable criteria value for these doors

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
documentation option 1 option 2

MR building product disclosure and optimization calculator or equivalent tracking tool X X


546

Corporate sustainability reports for 100% of products contributing toward credit X

Documentation of product claims for credit requirements or other USGBC-approved program X

relaTed CrediT TiPs


MR Credit Building Life Cycle Impact Reduction. If the project includes a preexisting structure, reused,
salvaged, and refurbished products may contribute to either this credit or the related credit but may not be
double-counted.

MR Credit Building Product Disclosure and OptimizationEnvironmental Product Declarations.


Products may be double-counted if they meet the requirements of both credits.

MR Credit Building Product Disclosure and OptimizationMaterial Ingredients. Products may be


doublecounted if they meet the requirements of both credits.

ChanGes froM leed 2009


Multiple criteria from the following LEED 2009 credits have been combined into this credit. Except as noted,
the criteria are unchanged from LEED 2009. Other criteria are now incorporated into other MR credits, such as
Building Life-Cycle Impact Reduction and Building Product Disclosure and OptimizationEnvironmental
Product Declarations (see Related Credit Tips).
MR Credit Resource Reuse. Materials that are reused on-site are no longer required to be repurposed.
MR Credit Recycled Content. The requirements for recycled content have not changed; however, this
criterion is now combined with other criteria in a single option.
MR Credit Regional Materials. The 500-mile (805-km) radius requirement was decreased to 100 miles
(160 km). The definition of regional has been expanded to include the distribution and purchase location
and now includes all points of manufacture.
MR Credit Rapidly Renewable Materials. Biobased materials are no longer defined by the harvest cycle of
the raw materials; instead, products must meet the Sustainable Agriculture Standard to count toward this
credit.

referenCed sTandards
Global Reporting Initiative (GRI) Sustainability Report: globalreporting.org/

Organisation for Economic Co-operation and Development (OECD) Guidelines for Multinational
Enterprises: oecd.org/daf/internationalinvestment/guidelinesformultinationalenterprises/

U.N. Global Compact, Communication of Progress: unglobalcompact.org/cop/

ISO 260002010 Guidance on Social Responsibility: iso.org/iso/home/standards/iso26000.htm

Forest Stewardship Council: ic.fsc.org

Sustainable Agriculture Network: sanstandards.org

The Rainforest Alliance: rainforest-alliance.org/

ASTM Test Method D6866: astm.org/Standards/D6866.htm

International Standards ISO 140211999, Environmental Labels and DeclarationsSelf Declared


Environmental Claims (Type II Environmental Labeling): iso.org/iso/catalogue_detail.htm?csnumber=23146
547

exeMPlary PerforManCe
Option 1. Source at least 40 products from five manufacturers.

Option 2. Purchase 50%, by cost, of the total value of permanently installed building products that meet the
responsible extraction criteria.

definiTions
biobased material commercial or industrial products (other than food or feed) that are composed in whole, or
in significant part, of biological products, renewable agricultural materials (including plant, animal, and
marine materials), or forestry materials. For the purposes of LEED, this excludes leather and other animal
hides.

chain of custody (CoC) a procedure that tracks a product from the point of harvest or extraction to its end use,
including all successive stages of processing, transformation, manufacturing, and distribution

enclosure the exterior plus semi-exterior portions of the building. Exterior consists of the elements of a building
that separate conditioned spaces from the outside (i.e., the wall assembly). Semiexterior consists of the elements
of a building that separate conditioned space from unconditioned space or that encloses semi-heated space
through which thermal energy may be transferred to or from the exterior or conditioned or unconditioned spaces
(e.g., attic, crawl space, or basement).

extended producer responsibility measures undertaken by the maker of a product to accept its own and
sometimes other manufacturers products as postconsumer waste at the end of the products useful life.
Producers recover and recycle the materials for use in new products of the same type. To count toward credit
compliance, a program must be widely available. For carpet, extended producer responsibility must be
consistent with NSF/ANSI 1402007. Also known as closed-loop program or product take-back.

furniture and furnishings the stand-alone furniture items purchased for the project, including individual and
group seating; open-plan and private-office workstations; desks and tables; storage units, credenzas,
bookshelves, filing cabinets, and other case goods; wall-mounted visual-display products (e.g., marker boards
and tack boards, excluding electronic displays); and miscellaneous items, such as easels, mobile carts,
freestanding screens, installed fabrics, and movable partitions. Hospitality furniture is included as applicable to
the project. Office accessories, such as desktop blotters, trays, tape dispensers, waste baskets, and all electrical
items, such as lighting and small appliances, are excluded.

postconsumer recycled content waste generated by households or commercial, industrial and institutional
facilities in their role as end users of a product that can no longer be used for its intended purpose preconsumer
recycled content matter diverted from the waste stream during the manufacturing process, determined as the
percentage of material, by weight. Examples include planer shavings, sawdust, bagasse, walnut shells, culls,
trimmed materials, overissue publications, and obsolete inventories. The designation excludes rework, regrind,
or scrap materials capable of being reclaimed within the same process that generated them (ISO 14021).
Formerly known as postindustrial content.

product (permanently installed building product) an item that arrives on the project site either as a finished
element ready for installation or as a component to another item assembled on-site. The product unit is defined
by the functional requirement for use in the project; this includes the physical components and services needed
to serve the intended function of the permanently installed building product. In addition, similar product
within a specification, each contributes as a separate product.

structure elements carrying either vertical or horizontal loads (e.g., walls, roofs, and floors) that are considered
structurally sound and nonhazardous

raw material the basic substance from which products are made, such as concrete, glass, gypsum, masonry,
metals, recycled materials (e.g., plastics and metals), oil (petroleum polylactic acid), stone, agrifiber, bamboo,
548

and wood recycled content defined in accordance with the International Organization of Standards document
ISO 14021, Environmental labels and declarations, Self-declared environmental claims (Type II environmental
labeling) reuse the reemployment of materials in the same or a related capacity as their original application, thus
extending the lifetime of materials that would otherwise be discarded. Reuse includes the recovery and
reemployment of materials recovered from existing building or construction sites. Also known as salvage.
wood plant-based materials that are eligible for certification under the Forest Stewardship Council. Examples
include bamboo and palm (monocots) as well as hardwoods (angiosperms) and softwoods (gymnosperms)
549
MaTerials and resourCes CrediT

Building Product Disclosure and


optimization
Material ingredients
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points) hospitality (12
points) retail (12 points) healthcare (12 points)

inTenT

to encourage the use of products and materials for which life-cycle information is
available and that have environmentally, economically, and socially preferable life-cycle
impacts. to reward project teams for selecting products for which the chemical
ingredients in the product are inventoried using an accepted methodology and for
selecting products verified to minimize the use and generation of harmful substances. to
reward raw material manufacturers who produce products verified to have improved
life-cycle impacts.

requireMenTs
oPTion 1. MaTerial inGredienT rePorTinG (1 PoinT)
Use at least 20 different permanently installed products from at least five different manufacturers that use any of the following
programs to demonstrate the chemical inventory of the product to at least 0.1% (1000 ppm).
Manufacturer Inventory. The manufacturer has published complete content inventory for the product following these
guidelines:
A publicly available inventory of all ingredients identified by name and Chemical Abstract Service Registration Number
(CASRN)
Materials defined as trade secret or intellectual property may withhold the name and/or CASRN but must disclose role, amount
and GreenScreen benchmark, as defined in GreenScreen v1.2.
Health Product Declaration. The end use product has a published, complete Health Product Declaration with full
disclosure of known hazards in compliance with the Health Product Declaration open Standard.
Cradle to Cradle. The end use product has been certified at the Cradle to Cradle v2 Basic level or Cradle to Cradle v3 Bronze
level.
USGBC approved program. Other USGBC approved programs meeting the material ingredient reporting criteria.
and/or

oPTion 2. MaTerial inGredienT oPTiMiZaTion (1 PoinT)


Use products that document their material ingredient optimization using the paths below for at least 25%, by cost, of the total value of
permanently installed products in the project.
GreenScreen v1.2 Benchmark. Products that have fully inventoried chemical ingredients to 100 ppm that have no Benchmark 1
hazards:
If any ingredients are assessed with the GreenScreen List Translator, value these products at 100% of cost.
If all ingredients are have undergone a full GreenScreen Assessment, value these products at 150% of cost.
Cradle to Cradle Certified. End use products are certified Cradle to Cradle. Products will be valued as follows:
Cradle to Cradle v2 Gold: 100% of cost
Cradle to Cradle v2 Platinum: 150% of cost
Cradle to Cradle v3 Silver: 100% of cost
Cradle to Cradle v3 Gold or Platinum: 150% of cost
International Alternative Compliance Path REACH Optimization. End use products and materials that do not contain
substances that meet REACH criteria for substances of very high concern. If the product contains no ingredients listed on the
REACH Authorization or Candidate list, value at 100% of cost.
USGBC approved program. Products that comply with USGGBC approved building product optimization criteria.
and/or

oPTion 3. ProduCT ManufaCTurer suPPly Chain oPTiMiZaTion (1 PoinT)


Use building products for at least 25%, by cost, of the total value of permanently installed products in the project that:
Are sourced from product manufacturers who engage in validated and robust safety, health, hazard, and risk programs which at a
minimum document at least 99% (by weight) of the ingredients used to make the building product or building material, and
Are sourced from product manufacturers with independent third party verification of their supply chain that at a minimum
verifies:
Processes are in place to communicate and transparently prioritize chemical ingredients along the supply chain according to
available hazard, exposure and use information to identify those that require more detailed evaluation
Processes are in place to identify, document, and communicate information on health, safety and environmental characteristics
of chemical ingredients
Processes are in place to implement measures to manage the health, safety and environmental hazard and risk of chemical
ingredients
Processes are in place to optimize health, safety and environmental impacts when designing and improving chemical
ingredients
Processes are in place to communicate, receive and evaluate chemical ingredient safety and stewardship information along the
supply chain
Safety and stewardship information about the chemical ingredients is publicly available from all points along the supply chain
543

Products meeting Option 3 criteria are valued at 100% of their cost for the purposes of credit achievement calculation.
For credit achievement calculation of options 2 and 3, products sourced (extracted, manufactured, purchased)
within 100 miles (160 km) of the project site are valued at 200% of their base contributing cost. For credit
achievement calculation, the value of individual products compliant with either option 2 or 3 can be combined to reach
the 25% threshold but products compliant with both option 2 and 3 may only be counted once.
Structure and enclosure materials may not constitute more than 30% of the value of compliant building products.
Behind the intent
The occupants of an average office building, school, or warehouse have little knowledge of the components of the building that
surrounds them every day. Often, not even project planners have enough information about construction materials on which to base
their own selection criteria, given that disclosure data are hard to acquire. Despite the regulatory safeguards for some toxic
chemicals, 96% of the roughly 85,000 chemicals on the U.S. market have never been screened for possible health effects. 1
Persistent bioaccumulative and toxic chemicals (PBTs) and persistent organic pollutants (POPs) are often found in building
products and materials. PBTs linger in the environment, accumulate in organisms high on the food chain (including humans), and can
cause harm even in very small doses. PBTs released during the manufacture, use, or disposal of a product can threaten the health of
plants and animals many miles away. Even less is known about which chemicals are potential carcinogens, mutagens, neurotoxicants,
or developmental toxicants.
By adhering to the precautionary principle and supporting green chemistry, this credit encourages project teams to avoid
products containing potentially harmful chemicals, which will ultimately spur innovation in materials from manufacturers. The
precautionary principle states, Where there are threats of serious or irreversible damage, lack of full scientific certainty shall not be
used as a reason for postponing cost-effective measures to prevent environmental degradation.2 Green Chemistry is the design of
chemical products and processes that reduce or eliminate the use and generation of hazardous substances.3 Companies conducting
green chemistry research are developing safer alternatives to priority chemicals so that one day there will be green lists instead of
red lists. Such companies are also developing corporate policies that include the precautionary principle, establish credible
monitoring and assurance programs, and strengthen relationships with suppliers. 4
This credit aims to support manufacturers that disclose information about the ingredients in their products, allowing project teams
to make better-informed decisions. The programs described below use hazard assessment approaches that evaluate multiple human
and environmental health endpoints at a level of detail that goes beyond the scope of most life-cycle assessments. Project teams may
demonstrate responsible product selection by providing manufacturers reports or by ensuring the absence of materials of concern,
using specified programs.

SteP-BY-SteP GUidAnCe

Select which option(s) to pursue. Projects can earn a maximum of 2 points by achieving the requirements for two options, and products may contribute
to Options 1 and 2. A project that cannot achieve Option 1 is not precluded from achieving Option 2 and vice versa. For Option 3 Product Manufacturer
Supply Chain Optimization, check USGBCs website for updates on how to achieve compliance.
Option 1 Material Ingredient Reporting is for projects that have at least 20 permanently installed products consisting of materials from manufacturers
that have disclosed their ingredient inventory in one of the listed formats, as indicated in the credit requirements. Products must be sourced from at
least five manufacturers.
Option 2 Material Ingredient Optimization is for projects with 25% permanently installed products, by cost, that meet at least one of the material
ingredient optimization paths listed in the credit requirements.

1. Healthy Business Strategies for Transforming the Toxic Chemical Economy, Clean Production Action (June
2006), http://www.cleanproduction.org/library/ CPA-HealthyBusiness-1.pdf (accessed May 29, 2013).
2. Report of the United Nations Conference on Environment and Development,
http://www.un.org/documents/ga/conf151/aconf15126-1annex1.htm (accessed May 29, 2013).
3. Anastas and Warner, Green Chemistry: Theory and Practice (New York: Oxford University Press, 2000).
4. Healthy Business Strategies for Transforming the Toxic Chemical Economy, Clean Production Action (June
2006), http://www.cleanproduction.org/library/ CPA-HealthyBusiness-1.pdf (accessed May 29, 2013).
545

option 1. Material ingredient reporting


sTeP 1. assess oPTion feasibiliTy
Research at an early phase can help the project team identify products that contribute to multiple credits and options. Review the
approved programs and assess the feasibility of finding enough products that meet project requirements (see Further Explanation,
Material Ingredient Reporting).
some of these programs are new and have documented or certified only a few products in a way that complies with the requirements.
the cradle to cradle Products innovation institute publishes a searchable registry of certified products.
Products can comply under different programs; it is not necessary to find 20 products that all comply using the same path.

sTeP 2. sPeCify and seleCT CoMPlianT ProduCTs


specify at least 20 products, from at least five different manufacturers (see MR Overview, Qualifying Products and Exclusions).
all ingredients in the end product must be characterized through a usGBc-approved program.
similar products from the same manufacturer can be counted as separate products if they have distinct formulations, but not if
they are just aesthetic variations or reconfigurations.

sTeP 3. TraCk PurChases ThrouGhouT ConsTruCTion


During construction, coordinate a review of the construction submittals to ensure that the selected products meet credit
requirements. to review progress toward credit achievement, regularly enter the information into the MR building product
disclosure and optimization calculator provided by usGBc or an equivalent custom tool.
continually track substitutions and change orders to ensure that replacement products meet the credit requirements. any
product substitutions should be carefully reviewed by the design team and contractor for compliance.
Because these requirements are not typical for all construction teams and suppliers, conduct a LEED-specific preconstruction meeting
to review the credit requirements in detail and stress their importance.
check in periodically with team members (particularly owners, architects, interior designers, contractors, subcontractors, and
suppliers) to verify progress toward credit achievement and address any gaps in credit compliance.

sTeP 4. CounT CoMPlianT ProduCTs and CoMPile doCuMenTaTion


using the data collected in the tracking tool, tally the number of products that comply with option 1 requirements. collect all ingredient
disclosure reports for contributing products for credit documentation.
Documentation availability varies by reporting program.
Retain product data for all materials that contribute to credit achievement and be prepared to provide the information on
request.
the best source of documentation is the manufacturer or the organization that manages the reporting program. Reports are typically
available online, but in some cases it might be necessary to contact a company representative.
Documentation may also be available from third-party websites that collect the information of many companies.
option 2. Material ingredient optimization
sTeP 1. sPeCify and seleCT CoMPlianT ProduCTs
specify products meeting one or more of the criteria listed in the credit requirements. note that this option evaluates complete
products; therefore, the criteria for assemblies found in other MR credits do not apply to this option.
sTeP 2. TraCk PurChases ThrouGhouT ConsTruCTion
During construction, coordinate a review of the construction submittals to ensure selected products meet credit requirements.
to review progress toward credit achievement, regularly enter information into the MR building product disclosure and
optimization calculator provided by usGBc or an equivalent custom tool.
continually track substitutions and change orders to ensure that replacement products meet the credit requirements. any
product substitutions should be carefully reviewed by the design team and contractor for compliance.
Because these requirements are not typical for all construction teams and suppliers, conduct a LEED-specific preconstruction
meeting to review the credit requirements in detail and stress their importance.
check in periodically with team members (particularly owners, architects, interior designers, contractors, subcontractors, and
suppliers) to verify progress toward credit achievement and address any gaps in credit compliance.

sTeP 3. CalCulaTe ProduCT and MaTerial CosTs and CoMPile doCuMenTaTion using Equation 1, determine the total value
of compliant products (see Further Explanation, Calculations). this option calculates compliance based on product cost.
collect relevant documentation:
for regional and local claims, provide a representative sample of documentation.
for certification programs, provide documentation for all products.

+ +
=

where:
Program valuation factor = multiplier assigned to each compliance program:
GreenScreen version 1.2 benchmark. Products that have fully inventoried chemical ingredients to 100 ppm:
Any ingredients assessed Benchmark U (unspecified) and/or no ingredients with Benchmark 1 hazards, as defined by the
GreenScreen List Translator, 100% value (by cost)
558

All ingredients fully assessed by GreenScreen and no ingredients with Benchmark 1 hazards, 150% value
(by cost)
Cradle to Cradle Certified version 2.1.1:
Gold, 100% value (by cost)
Platinum, 150% value (by cost)
Cradle to Cradle Certified version
3.0:
Silver, 100% value (by cost)
Gold or Platinum, 150% value (by cost)
REACH Optimization. This is an alternative compliance path for projects outside the U.S. If the product
contains no ingredients listed on the REACH authorization or candidate list, value it at 100% of cost.

Location valuation factor = multiplier for the extraction, manufacture, and purchase location (see MR
Overview, Location Valuation Factor).

MaTerial inGredienT rePorTinG


Under Option 1, products can be documented as compliant and thus contribute to credit achievement in any of three
ways (Table 1).

tablE 1. Manufacturers documentation for compliant products

based on what
Program What has to be reported? to whom? framework?

All ingredients down to 0.1%; any not


named must have health risks listed Health risks based on
Manufacturers inventory Public
GreenScreen Benchmark 1

All ingredients down to 0.1% and full


disclosure of health hazards from Health risks based on HPD
ingredients; some ingredients can authoritative lists (closely
Health Product Declaration Public
remain unnamed but health hazards match GreenScreen List
must still be reported Translator)

Independent, accredited
assessors (some data Version 2.1.1: C2C proprietary
protected under screening
nondisclosure agreement
All ingredients down to 0.01%, with
Cradle to Cradle between the assessor and Version 3.0: Material Health
some banned substances
suppliers); data not Assessment Methodology
disclosed under NDA may (includes hazard screening and
be made public at risk assessment)
manufacturers discretion

Manufacturers Inventory
Manufacturers may publicly disclose all ingredients by name and Chemical Abstract Service (CAS) registry number.
No third-party verification is required for this option, but the information must be publicly available; direct
disclosure to the designer or contractor is not acceptable.
If a specific ingredient cannot be disclosed for proprietary reasons, the manufacturer may withhold the name and
CAS registry number but still provide the following information: Role or function in the product
Amount, as a percentage of total product content or ppm
Any potential health hazards associated with the ingredient as defined in authoritative hazard lists from
GreenScreen
All ingredients that constitute 0.1% (1,000 ppm) or more of the product must be accounted for. This threshold is
10 times lower than the typical 1% minimum threshold for reporting on a material safety data sheet (MSDS).

Health Product Declaration version 1.0


559

Disclosure is done through Health Product Declaration (HPD), which is an open standard for reporting product
ingredients and their associated health hazards. Manufacturers that use HPDs must provide the nonproprietary
information listed above (role or function, amount, and health hazards) for every ingredient, not just those whose
names have been withheld. The manufacturer affirms Full disclosure of known hazards on the front summary page
and further affirms the level of disclosure with the check box under Residuals disclosure. For the material to
comply with the credit requirements, the HPD standards for the 1,000-ppm level must be attained and the
appropriate box on the summary page checked.
An HPD is several pages long, with a one-page summary listing company information, metadata about the report,
and ingredients, and continuing on subsequent pages with more detail about individual ingredients and their
associated health hazards, plus details on any certifications and associated materials. GreenScreen Benchmarks, if
any, are listed for each ingredient in HPDs, in the contents section. A report from a certified GreenScreen profiler
may also be used to document the GreenScreen benchmarks for a products ingredients.
Manufacturers that use the standard HPD format reduce uncertainty about whether the information that they have
provided meets the credit requirements, and they create a report that should be useful in other settings as well.

Cradle to Cradle Certified, version 2.1.1 and version 3.0


Project teams may also select Cradle to Cradle Certified (C2C) products. C2C requires that ingredients be disclosed
to an independent, accredited C2C assessor. The percent of the product defined and assessed impacts the level of
certification. Products certified under v2.1.1, have had at least 95% by weight of their materials assessed at any
level and 100% of their materials assessed at the Gold and Platinum levels. Products certified under v3.0, have had
at least 75% or 95% by weight of their materials assessed at the Bronze and Silver levels respectively, and 100% of
their materials at the Gold and Platinum levels. Eligible products will have their scorecard available in the C2C
product registry. The product scorecard shows the level of achievement for all five standard attributes, the overall
certification level for the product (Basic, Bronze, Silver, Gold, or Platinum), the certificate expiration date, and the
version of the standard that the product is certified against. For each certified product the registry includes an image
of the product, the product description and certification level, and the expiration date of the current certification.
Product certification claims from manufacturers websites should always be verified against this registry because
they may be out-of-date (see Further Explanation, Example, Cradle to Cradle
(C2C) certification). During the material health assessment, assessors review the scientific literature
available for all chemical ingredients contained in a material above 100 ppm, use structure activity relationship
models and chemical analog data to fill data gaps, and compare the collected information against the C2C hazard
criteria. Through this process, the environmental and human health hazards of the chemical ingredients are classified
using a greenyellowred rating system. In a second step, assessors evaluate whether exposure to any of the
identified or suspected hazardous chemicals are plausible in the context of the materials containing these chemicals
and the product use and end of life scenarios. If avenues for exposure to these chemicals in a material exist, the
material will receive an overall risk assessment rating of x. Gold and Platinum certified products do not contain
any x-assessed materials. Products certified at the Silver level under v3.0 do not contain materials that have been x-
assessed due to the presence of a carcinogen, mutagen, or reproductive toxicant (CMR). Products certified at any
level under v3.0 do not contain banned list chemicals. Chemicals on the v3.0 banned lists include PVC and related
compounds, certain flame retardants, PFOS and PFOA, certain phthalates, halogenated hydrocarbons and toxic
heavy metals. C2C certification addresses a total of five product attributes and ingredient screening is just one part
of the program.

Other USGBC-approved programs


As the industry evolves, additional programs and protocols for reporting on material ingredients are likely to
emerge. USGBC will determine whether any new programs are acceptable and issue rating system addenda to
include them as additional approaches to earning the credit.

MaTerial inGredienT oPTiMiZaTion


Under Option 2, GreenScreen (a program of Clean Production Action), Cradle to Cradle Certified, and the European
Unions REACH program (for projects outside the U.S.) can be used as frameworks for documenting the
substitution of potentially problematic substances.
Option 2 goes beyond Option 1s reporting requirement and encourages the use of products that are made
without problematic ingredients. It offers these four approaches:
560

No GreenScreen Benchmark 1 materials (see the following section)


Cradle to Cradle certified gold or platinum certification (see above, under Material Ingredient
Reporting)
REACH (see Further Explanation, International Tips)
Other programs that may be approved by USGBC in the future

GreenScreen Benchmark 1
The GreenScreen hazard assessment method evaluates individual chemicals. GreenScreen version 1.2 is based on a
toxicological assessment that starts with a collection of authoritative lists of chemicals of concern published by
governmental and nongovernmental organizations (GreenScreen List Translator). These substances are known to be
associated with certain health problems. The assessment then proceeds to reviews of the scientific literature, use of
structure activity relationship models and chemical analog data to fill data gaps (Full GreenScreen). Chemicals are
assigned to one of four main categories: those of highest concern, as indicated in the authoritative lists, are assigned
Benchmark 1. Chemicals that are not on the major authoritative lists and pass a toxicological review based on Clean
Production Actions protocols can be assigned benchmarks that indicate lower levels of concern; Benchmark 4 is the
lowest level of concern. A full GreenScreen assessment overrides the results of screening using the GreenScreen List
Translator only.
The GreenScreen List Translator has been automated by two software providers. It can be accessed through the
Chemical and Material Library found in Healthy Building Networks Pharos Tool and in the GS List Translator
module in the GreenWERCS software tool by The Wercs. The Interstate Chemicals Clearinghouse has created a
website where GreenScreen assessments can be posted by various participating State governments and shared with
no costs or restrictions.
Option 1 of this credit requires only the GreenScreen List Translator review of ingredients to ensure that none of
the ingredients are on the authoritative lists and thus flagged as Benchmark 1 substances. Project teams should look
for documentation from manufacturers that either identifies all ingredients in the product or identifies and
characterizes any benchmark hazards.
Option 2 requires the Full GreenScreen toxicological assessment to ensure that none of the ingredients are
Benchmark 1. Project teams should look for documentation from manufacturers that shows each ingredient in the
product has been subject to a full GreenScreen assessment by a licensed GreenScreen Profiler and that the product
contains only Benchmark 2 and higher ingredients.

For Manufacturers and Suppliers


GreenScreens List Translator assigns hazard classifications based on the various governmental and authoritative
hazard lists including lists of chemicals classified using the Globally Harmonized System of Classification and
Labeling. The GreenScreen List Translator can be used to identify chemicals that achieve or may achieve the
Benchmark 1 level of concern. Under Option 1, manufacturers that keep certain ingredients proprietary must
characterize any health hazards from those ingredients, as indicated by the List Translator or a full GreenScreen
assessment.
Under Option 2, the manufacturer must warrant that no ingredients in the product at levels of 0.01% or more
(100 ppm) are designated as Benchmark 1 chemicals based on the referenced lists defined by the List Translator.
These products achieve compliance at the first level of the option.
The second level of compliance requires that all ingredients be Benchmark 2 or higher. There is no definitive
List Translator for Benchmark 2, so manufacturers must engage an independent third party to screen all their
ingredients, using the screening protocol defined by GreenScreen, and certify that none of them are Benchmark 1
561

Example GreenScreen List Translator Result

The GreenScreen List Translator, version 1.2, identifies each list that GreenScreen references, including its source,
which hazards in the GreenScreen it covers, whether it is authoritative or screening, and which GreenScreen
hazard level and subsequent Benchmark score applies, along with other data.

tablE 2. GreenScreen List Translator Result. Used with permission from Clean Production Action

display
a hazard iii hazard benchmark
id list list category greenscreen hazard list type box (see
or b range score
notes)

Group 2A: Agent


is probably
154 IARC carcinogenic to Carcinogenicity Authoritative A H H 1
humans

Carcinogenic
158 MAK Group 1 Carcinogenicity Authoritative A H H 1

Carcinogenic
159 MAK Group 2 Carcinogenicity Authoritative A H H 1

Occupational
174 NIOSH-C Cancer Carcinogenicity Authoritative A H H 1
562

Clear Evidence
of Adverse
NTP-
175 Effects - Developmental Toxicity Authoritative A H H 1
OHAaT
Developmental
Toxicity

inTernaTional TiPs
Alternative Compliance Path for International Projects: Registration, Evaluation, Authorisation and Restriction of
Chemicals (REACH)
The European Unions REACH legislation requires all chemicals sold in quantity in the EU to be registered in a
central database and prioritized for evaluation and possible avoidance based on their hazard profile. The program
maintains several lists of Substances of Very High Concern.
Products can contribute to Option 2 under this credit if they come with clear documentation from the supplier
that they do not contain any substances on the Authorization List (chemicals that can only be used with special
authorization) nor on the Candidate List (chemicals being considered for the Authorization List). Because these
lists can change over time, the supplier documentation must be dated; if a substance in the product was added to one
of these lists after that documentation was produced and after the projects registration date, the product is still
considered compliant. Projects in the U.S. may also use this alternative compliance path.
Authorization List: echa.europa.eu/web/guest/addressing-chemicals-of-concern/authorisation/
recommendation-for-inclusion-in-the-authorisation-list/authorisation-list
Candidate List: echa.europa.eu/web/guest/candidate-list-table

REACH also provides for a Restriction List of chemicals that are to be banned from production and use, but as of
August 2013 no substances had made it onto that list. Any substances that are moved from the Authorization List
and Candidate List to the Restriction List continue to be treated as substances to be avoided in Option 2-compliant
products.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation option 1 option 2 option 3

X X
MR building product disclosure and optimization
calculator or equivalent tracking tool

X
Documentation of chemical inventory through Health
Product Declaration, Cradle to Cradle certification
labels, manufacturers lists of ingredients with
GreenScreen assessment reports for confidential
ingredients, or USGBC-approved programs (if
applicable)
563

X
Verification of ingredient optimization through Cradle to
Cradle certification labels, manufacturers lists of
ingredients with GreenScreen benchmarks listed for all
ingredients, or manufacturers declaration (for REACH),
or USGBC-approved programs (if applicable)

Documentation of supply chain optimization X


564

relaTed CrediT TiPs


MR Credit Building Life-Cycle Impact Reduction. This credit requires more detailed ingredient information
than is typically used in a building life-cycle assessment study.

MR Credit Building Product Disclosure and OptimizationEnvironmental Product Declarations. This


credit is structured similarly to the related credit, but because it requires more detailed ingredient information
than typically used for an environmental product declaration, it reveals different information about the products.

MR Credit Building Product Disclosure and OptimizationSourcing of Raw Materials. This credit is
structured similarly to the related credit and uses the same calculation methodology.

ChanGes froM leed 2009


This is a new credit.

referenCed sTandards
Chemical Abstracts Service: cas.org/

Health Product Declaration: hpdcollaborative.org/

Cradle-to-Cradle CertifiedCM Product Standard: c2ccertified.org/product_certification

Registration, Evaluation, Authorisation and Restriction of Chemicals (REACH): echa.europa.eu/support/


guidance-on-reach-and-clp-implementation

GreenScreen: cleanproduction.org/Greenscreen.v1-2.php

exeMPlary PerforManCe
Option 1. Purchase at least 40 permanently installed building products that meet the credit criteria.

Option 2. Purchase at least 50%, by cost, of permanently installed building products that meet the credit criteria.

definiTions
product (permanently installed building product) an item that arrives on the project site either as a
finished element ready for installation or as a component to another item assembled on-site. The product unit
is defined by the functional requirement for use in the project; this includes the physical components and
services needed to serve the intended function of the permanently installed building product. In addition,
similar product within a specification, each contributes as a separate product.
MaTerials and resourCes CrediT

PBt source
ReductionMercury
this credit applies to: healthcare (1 point)

inTenT

to reduce the release of persistent, bioaccumulative, and toxic (PBts) chemicals associated
with the life cycle of building materials.

requireMenTs
Specify and install fluorescent lamps with both low mercury content (MR Prerequisite PBT Source Reduction
Mercury) and long lamp life, as listed in Table 1.

tablE 1. Criteria for rated life of low-mercury lamps

lamp Maximum content lamp life (hrs)

Standard output - 24,000 rated hours on instant start ballasts (3-hour


starts)
T-8 fluorescent, eightfoot 10 mg mercury High output 18,000 rated hours on instant start ballasts or program start
ballasts (3-hour starts)

Both standard and high output - 30,000 rated hours on instant start
T-8 fluorescent, four-foot 3.5 mg mercury ballasts, or 36,000 rated hours on program start ballasts (3 hour starts)

T-8 fluorescent, two-foot 24,000 rated hours on instant start ballasts or program start ballasts (3-
and three-foot 3.5 mg mercury hour starts)

18,000 rated hours on instant start ballasts, or 24,000 rated hours on


T-8 fluorescent, U-bent 6 mg mercury program start ballasts (3-hour starts)

Both standard and high-output - 25,000 rated hours on program start


T-5 fluorescent, linear 2.5 mg mercury ballasts

Compact fluorescent,
nonintegral ballast 3.5 mg mercury 12,000 rated hours

Compact florescent, 3.5 mg mercury, ENERGY STAR Bare bulb - 10,000 rated hours
integral ballast, bare bulb qualified Covered models such as globes, reflectors, A-19s 8,000 hours

High-pressure sodium, up
to 400 watts 10 mg mercury Use noncycling type or replace with LED lamps or induction lamps

High-pressure sodium,
above 400 watts 32 mg mercury Use noncycling type or replace with LED lamps or induction lamps

Do not specify or install circular fluorescent lamps or probe start metal halide lamps.
566

Operating rooms, dental treatment rooms, dental labs, and other spaces in medical military facilities may
require lamps with very high CRI and color temperature to comply with UFC 4-501-01. If the credit criteria
and UFC 4-501-01 conflict, affected lamps may be excluded from the credit.
If the credit criteria and local code or regulations conflict, affected lamps may be excluded from the
prerequisite. Retain a copy of the local code that conflicts with the criteria.
CaMPus
Group Approach
All buildings in the group may be documented as one. Projects that are on existing campuses or part of large
health care systems can coordinate lamp selection with purchasing protocols to ensure ongoing compliance
with prerequisite requirements.

Campus Approach
Eligible.

required doCuMenTaTion
documentation all projects

Lighting schedule (including lamp life hours) X

Narrative explaining lamps excluded from credit X

USGBCs MR PBT source reduction calculator (or equivalent documentation) X

relaTed CrediT TiPs


MR Prerequisite PBT Source ReductionMercury. Ensure that the mercury-containing lamps meet the
mercury content criteria for the tracking tool includes the information required in this prerequisite as well.

ChanGes froM leed 2009


None.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
elemental mercury mercury in its purest form (rather than a mercury-containing compound), the vapor of
which is commonly used in fluorescent and other bulb types

lamp a device emitting light in a fixture, excluding lamp housing and ballasts. Light-emitting diodes packaged
as traditional lamps also meet this definition.
557
568
lamp life the useful span of operation of a source of artificial light, such as bulbs. Lamp life
for fluorescent lights is determined by testing three hours on for every 20 minutes off. For
high-density discharge lamps, the test is based on 11 hours on for every 20 minutes off.
Lamp life depends on whether the start ballast is program or instant. This information is
published in manufacturers information. Also known as rated average life.

persistent bioaccumulative toxic chemical a substance that poses a long-term risk to both
humans and the environment because it remains in the environment for long periods,
increases in concentration as it moves up the food chain, and can travel far from the source of
contamination. Often these substances can become more potent and harmful to ecosystems
the longer they persist. See U.S. EPAs website on persistent bioaccumulative toxic
chemicals, www.epa.gov/pbt/.

universal waste hazardous items that are easily purchased and commonly used. Examples
include batteries, pesticides, mercury-containing equipment, and light bulbs. See
epa.gov/osw/hazard/wastetypes/universal/index. htm.
570
MaTerials and resourCes CrediT

PBt source Reduction Lead,


cadmium, and copper
this credit applies to: healthcare (2 points)

inTenT

to reduce the release of persistent, bioaccumulative, and toxic (PBt) chemicals associated
with the life cycle of building materials.

requireMenTs
Specify substitutes for materials manufactured with lead and cadmium, as follows.

lead

For water intended for human consumption, specify and use solder and flux to connect plumbing pipe on
site that meets the California AB1953 standard, which specifies that solder not contain more than 0.2%
lead, and flux not more than a weighted average of 0.25% lead for wetted surfaces. The lead free label
as defined by the Safe Drinking Water Act (SDWA) does not provide adequate screening for the purposes
of this credit because the SDWA defines lead free as solders and flux containing 0.2% lead or less.
For water intended for human consumption, specify and use pipes, pipe fittings, plumbing fittings, and
faucets that meet the California law AB1953 of a weighted average lead content of the wetted surface area
of not more than 0.25% lead.
Specify and use lead-free roofing and flashing.
Specify and use electrical wire and cable with lead content less than 300 parts per million.
Specify no use of interior or exterior paints containing lead.
For renovation projects, ensure the removal and appropriate disposal of disconnected wires with lead
stabilizers, consistent with the 2002 National Electric Code requirements.

Lead used for radiation shielding and copper used for MRI shielding are exempt.
Cadmium
Specify no use of interior or exterior paints containing intentionally added cadmium.

Copper
For copper pipe applications, reduce or eliminate joint-related sources of copper corrosion:
use mechanically crimped copper joint systems; or
specify that all solder joints comply with ASTM B828 2002, and specify and use ASTM B813 2010 for
flux.
571

Behind the intent


Both lead and cadmium are persistent bioaccumulative toxins (PBTs). 1 PBTs released during the manufacture, use,
or disposal of a product can travel far beyond their source point by wind and water, becoming more harmful the
longer they persist in the food chain and posing risks to ecosystems on a wide scale. PBTs have a wide range of
health effects, including cancer, endocrine disruption, immune system disorders, impaired brain development, and
birth defects.
Copper, another PBT, corrodes when exposed to acidic air or water. Copper pipe corrosion can release high
levels of copper into aquatic ecosystems, not only creating potentially toxic conditions for aquatic life but also
affecting human health as it bioaccumulates and moves up the food chain. The procedures specified in this credit
ensure that copper is not released during soldering or from unsoldered joint systems, thus reducing opportunities for
copper piping to shed copper atoms. This credit seeks to secure both human health and environmental benefits by
encouraging project teams to avoid building materials with lead and cadmium and to use construction methods and
materials that protect against lead and copper corrosion.

SteP-BY-SteP GUidAnCe

SteP 1. identifY leAd, CAdmiUm, And CoPPer ProdUCtS And mAteriAlS


Review preliminary project design and material specifications to identify building materials that may contain any of the substances
in the credit requirements. Examples include the following:
Roofing and flashing materials (lead)
Plumbing pipes, pipe and plumbing fittings, faucets (pipes and fittings) that convey water for human consumption (lead, lead
soldering, lead flux, joints in copper piping)
Electrical wire and cable (lead)
Paints (lead, cadmium)
For renovation projects, disconnected wires (lead stabilizers)
Certain medical equipment and preexisting PBT-containing building materials in renovation projects may be excluded (see Further
Explanation, Excluded Products and Materials).

sTeP 2. idenTify and sPeCify lead- and CadMiuM-free ProduCTs


for all applicable building materials and equipment, research alternative PBt-free products and their suppliers (see Further
Explanation, Lead-Free and Cadmium-Free Products).
identify flux, pipe, pipe fittings, and fixtures that comply with the california aB1953 standard by looking for ansi-approved third-
party certification.
identify lead-free roofing and flashing through manufacturers information.
identify electrical wire and cabling with lead content less than 300 parts per million (ppm).
identify lead- and cadmium-free paints using Green seal certification for metal-free paints or an equivalent source of lead- and
cadmium-free documentation.
add product specifications for alternative products and performance requirements for corrosion prevention to relevant construction
specifications institute Masterformat classifications.
in some cases, an addition to Division 1 for LEED-specific requirements may be appropriate for overlapping work sections.
specifications for products and installation practices may be more appropriate in the work results category, such as Division 22,
Plumbing.

sTeP 3. desiGn PluMbinG sysTeMs To PrevenT CoPPer Corrosion


improper installation is a common reason for copper corrosion and leaching. Design plumbing systems to prevent copper from
leaching into water (see Further Explanation, Preventing Corrosion Strategies).

1. Lent, Tom, Green Guide for Health Care: PBT


Elimination, http://www.gghc.org/tools.technical.php (accessed May 29, 2013).
562

follow the astM B828 standard for making capillary joints by soldering of copper and copper alloy tube and fittings for solder
joints.
Emphasize correct use of astM B813 fluxes or use o-ring gaskets and crimping tools for jointing.
Minimize flow direction and piping size changes.
Minimize hot water temperature and velocity.
use compatible materials (e.g., copper straps for copper pipes) to reduce galvanic corrosion and similar problems.

sTeP 4. eduCaTe ConTraCTors


Provide education and training to contractors and subcontractors on PBt source reduction goals, common problem areas, and
targeted strategies. some best practices include the following:
Provide a PBt source reduction plan to contractors, for them to distribute to subcontractors and field personnel.
if possible, specify applicable plan components in contracts.
for renovation projects, ensure that removal of disconnected wires with lead stabilizers is in compliance with 2002 u.s. national
Electric code requirements or a local equivalent.

sTeP 5. TraCk ProduCTs ThrouGhouT ConsTruCTion


track specified and purchased materials during construction with a material checklist or PBt tracking form. check the products
material safety data sheets (MsDs) and manufacturers documentation before installation to ensure that only qualifying
materials are used. at a minimum, review the following: Roofing and flashing
Electrical wiring and cabling
indoor and outdoor paints
flux and solder
Pipes, pipe fittings, and fixtures the following information about each product or material is recommended for inclusion in a
tracking tool: Product type
Manufacturer
Product name
allowable lead, cadmium, and copper content
actual lead, cadmium, and copper content, with source of data compliance
with the lead- and cadmium-free standard

Drinking Act; however, lead-free, as defined by EPA, allows for minimal amounts of lead and is not adequate for

Instead, this credit uses California AB1953, part of the California Health and Safety Code (Section 116875), which
sets a standard for the lead content of pipes, pipe fittings, and other products that convey water for human
consumption. It defines the standard using a weighted average of <0.25% for all wetted surfaces; however,
573
consumers and specifiers need only look for products certified to this standard by an independent ANSI-approved
third-party organization. Currently, NSF International certifies products to this standard under NSF 61, Annex G,
Section 9, or NSF 372.
Solder, flux, pipe, pipe fittings, and fixtures must meet the California AB1953 standard for lead content. Several
states and local municipalities have adopted California AB1953; check product literature carefully for compliance
statements.
Roofing and flashing must not contain any lead.
Lead-free electrical wire and cable for construction applications are not industry standard; most wiring and cable
jacketing currently contains lead but the amount is not disclosed. Therefore, not every contractor may be aware of
lead content information in electrical wire and cable. Project teams are encouraged to ask vendors about wire and
cable that complies with lead-free standards, such as RoHS in the European Union.
Lead- and cadmium-free paints may be identified by industry standards, such as Green Seal. However, because
lead and cadmium are often added as pigment to the base, it may be necessary to ask manufacturers whether both the
base and the pigment are lead and cadmium free.

exCluded ProduCTs and equiPMenTs


Some equipment, such as relay contacts, may have minute amounts of hidden cadmium; these uses are allowed.
For renovations, existing products and materials that are not included in the scope of work may be excluded.
Examples of existing items include solder, flux, pipes, pipe fittings, faucets, roofing, flashing, electrical cable, cable,
paints, and mechanical pipe connections.
For health care facilities, copper used for MRI shielding equipment and lead used for radiation shielding are
exempt from credit requirements, but teams are encouraged to consider alternative shielding materials.

CoPPer Corrosion PrevenTion sTraTeGies


Consider implementing strategies from Preventing Corrosion Protects San Francisco Bay: A Fact Sheet for
Designers (bacwa.org/Portals/0/Committees/BAPPG/Archive/cu_designers_05_03.pdf) and the Copper
Development Association Inc. resources and tools (copper.org/). Some best practices from this publication include
the following:
Use large-diameter piping to keep velocities lowless than 8 feet per second (2.5 meters per second) for cold
lines and less than 45 feet per second (1.21.5 meters per second) for hot lines.
Ensure that return lines in a circulating hot water system have the same diameter as the supply lines.
Avoid stagnant sections by minimizing direction and size changes.
Prevent electrical currents by grounding directly to a copper rod driven into the ground. Do not attach a
grounding wire to water pipes.
Do not allow galvanized nails to touch copper piping.
Avoid induced stresses, provide enough pipe support, and allow for thermal expansion.
Carefully ream cut ends to reduce turbulence. Unreamed tubing corrodes and fails at a higher rate.
Use stainless-steel piping and components for industrial process water supplies, heat exchangers, chillers, and
condensers when operation temperatures exceed 140 degrees F (60 degrees C).

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
574

required doCuMenTaTion
documentation all projects

Product documentation demonstrating credit criteria have been met (manufacturers data or proof of certification) X

Narrative explaining any excluded materials X

Description of pipe jointing processes (for copper pipe only) X

Verification of appropriate disposal of wires and lead stabilizers (for renovation projects only) X

relaTed CrediT TiPs


EQ Credit Low-Emitting Materials. Specifying interior and exterior paints that are GreenSeal compliant will
ensure that they are also free of lead and cadmium.

ChanGes froM leed 2009


None.

referenCed sTandards
ASTM B813 for copper flux: astm.org/Standards/B813.htm

ASTM B828, Standard Practice for Making Capillary Joints by Soldering of Copper and Copper Alloy
Tube and Fittings: www.astm.org/Standards/B828.htm

California AB1953 standard for lead water pipes used to convey water for human consumption:
leginfo.ca.gov/ pub/05-06/bill/asm/ab_1951-2000/ab_1953_bill_20060930_chaptered.html

GreenSeal: greenseal.org

2002 National Electric Code requirements for removal and disposal of disconnected wires with lead
stabilizers: nfpa.org

exeMPlary PerforManCe
Not available.
575

definiTions
lead-free a label defined by U.S. Environmental Protection Agency regulations under the Safe Drinking Water
Act that allows small amounts of lead in solders, flux, pipes, pipe fittings, and well pumps

persistent bioaccumulative toxic chemical a substance that poses a long-term risk to both humans and the
environment because it remains in the environment for long periods, increases in concentration as it moves up the
food chain, and can travel far from the source of contamination. Often these substances can become more potent
and harmful to ecosystems the longer they persist. See U.S. EPAs website on persistent bioaccumulative toxic
chemicals, www.epa.gov/pbt/.
576
MaTerials and resourCes CrediT

furniture and Medical furnishings


this credit applies to: healthcare (1-2 points)

inTenT

to enhance the environmental and human health performance attributes associated with
freestanding furniture and medical furnishings.

requireMenTs
Use at least 30% (1 point) or 40% (2 points), by cost, of all freestanding furniture and medical furnishings (e.g., mattresses,
foams, panel fabrics, cubicle curtains, window coverings, other textiles) that meets the criteria in one of the following three
options.
Include built-in casework and built-in millwork in the base building calculations, even if manufactured off site. The dollar
value of any individual product may be included in the total qualifying value if the product meets the requirements.

oPTion 1. MiniMal CheMiCal ConTenT


All components that constitute at least 5%, by weight, of a furniture or medical furnishing assembly, including textiles,
finishes, and dyes, must contain less than 100 parts per million (ppm) of at least four of the five following chemical groups:
urea formaldehyde;
heavy metals, including mercury, cadmium, lead, and antimony;
hexavalent chromium in plated finishes consistent with the European Union Directive on the Restriction of the Use of
Certain Hazardous Substances (EU RoHS);
stain and nonstick treatments derived from perfluorinated compounds (PFCs), including perfluorooctanoic acid (PFOA);
and
added antimicrobial treatments.
and/or

oPTion 2. TesTinG and ModelinG of CheMiCal ConTenT


All components of a furniture or medical furnishing assembly, including textiles, finishes, and dyes, must contain less than 100
parts per million (ppm) of at least two of the five chemicals or materials listed in Option 1.
New furniture or medical furnishing assemblies must be in accordance with ANSI/BIFMA Standard Method M7.12011.
Comply with ANSI/BIFMA e3-2010 Furniture Sustainability Standard, Sections 7.6.1 and 7.6.2, using either the concentration
modeling approach or the emissions factor approach. Model the test results using the open plan, private office, or seating
scenario in ANSI/BIFMA M7.1, as appropriate. USGBC-approved equivalent testing methodologies and contaminant
thresholds are also acceptable. Documentation submitted for furniture must indicate the modeling scenarioused to determine
compliance.
Salvaged and reused furniture more than one year old at the time of use is considered compliant, provided it meets the
requirements for any site-applied paints, coatings, adhesives, and sealants.
and/or

oPTion 3. MulTi-aTTribuTe assessMenT of ProduCTs


Use products that meet at least one of the criteria below. Each product can receive credit for each criterion met. The scope of
any environmental product declaration (EPD) must be at least cradle to gate.
Product-specific declaration.
Products with a publicly available, critically reviewed life-cycle assessment conforming to ISO 14044 that have at least a cradle
to gate scope are valued as one quarter (1/4) of a product for the purposes of credit achievement calculation.
Environmental Product Declarations which conform to ISO 14025, 14040, 14044, and EN 15804 or ISO 21930 and have at least a
cradle to gate scope.
Industry-wide (generic) EPD -- Products with third-party certification (Type III), including external verification, in which the
manufacturer is explicitly recognized as a participant by the program operator are valued as one half (1/2) of a product for
purposes of credit achievement calculation.
Product-specific Type III EPD -- Products with third-party certification (Type III), including external verification in which the
manufacturer is explicitly recognized as the participant by the program operator are valued as one whole product for purposes
of credit achievement calculation.
Materials reuse. Use salvaged, refurbished, or reused products.
Recycled content. Use products with recycled content. Recycled content is the sum of post-consumer recycled content plus one-
half the pre-consumer recycled content.
Extended producer responsibility. Products purchased from a manufacturer (producer) that participates in an extended
producer responsibility program or is directly responsible for extended producer responsibility.
Bio-based materials. Bio-based products must meet the Sustainable Agriculture Networks Sustainable Agriculture Standard.
Bio-based raw materials must be tested using ASTM Test Method D6866 and be legally harvested, as defined by the exporting
and receiving country. Exclude hide products, such as leather and other animal skin material.
Wood products. Wood products must be certified by the Forest Stewardship Council or USGBC-approved equivalent.

Products that meet the above criteria are valued according to source location (extraction, manufacture, and purchase point must be
within the distances noted below):
For credit achievement calculation, products sourced (extracted, manufactured, purchased) within 100 miles (160 km) of the project
site are valued at 200% of their base contributing cost.
569

Behind the intent


Sustainably sourced furniture and furnishings can improve indoor environmental quality, protect long-term public
health, and reduce a health care facilitys ecological footprint.
Minimizing emissions from furniture and furnishings reduces the risk of exposure for sensitive
patients. Persistent bioaccumulative toxins (PBTs) can travel far beyond their source point, becoming
more harmful the longer they persist in the food chain. PBTs have a wide range of health effects,
including cancer, endocrine disruption, brain and nervous system damage, birth defects, and impaired
childhood development. Avoiding materials with PBT chemicals, heavy metals, hexavalent chromium,
perfluorinated compounds, and other substances of concern reduces risks to ecosystems and lessens the
concentration of these substances in the population. Antimicrobial treatments may contain
nanomaterials, which can cross biological barriers that protect human organs and tissues. Given
uncertainty about the toxic effects and environmental infiltration of nanomaterials, a precautionary
approach regarding their use is appropriate.1
This credit encourages project teams to select furniture and furnishings without substances that harm indoor air
quality and human health. Additionally, it supports the use of products with environmentally responsible attributes
and products from manufacturers that have taken steps to document and disclose quantified environmental product
data in accordance with international standards.

SteP-BY-SteP GUidAnCe

SteP 1. identifY fUrnitUre And fUrniShinGS


Identify all free-standing furniture and medical furnishings that could contribute to credit achievement.
Examples of items that are eligible under all three options include office and lounge furniture, surgical tables, procedure and supply
carts, mobile technology carts, lifting and transfer aids, supply closet carts and shelving, and overbed tables (see MR Overview,
Qualifying Products and Exclusions).
Exclude base building elements, such as cabinets and casework; they are covered under the MR building product disclosure and
optimization credits. (Conversely, furniture and medical furnishings are not eligible under building product disclosure and
optimization.)

SteP 2. SPeCifY And SeleCt ComPliAnt ProdUCtS


Include performance requirements or sole-source compliant products in project specifications.
Many products may contribute to multiple options. Early product research can help the project team find these opportunities and
maximize the credit contribution of high-cost items.
Added microbial treatments are typical for mattresses and textiles. Identifying products that meet performance requirements and sustainable
requirements may involve additional research.
Urea formaldehyde typically appears in adhesives and pressed-wood products. These are found in furniture with veneer finishes or
composite wood cores. Alternatives are available.
Hexavalent chromium is used in chrome-plated products to protect against wear and tear. One standard is the European Unions
Restriction of Hazardous Substances Directive (RoHs), which limits the concentration of hexavalent chromium allowed in plating.
Because credit compliance is based on percentage of total cost, it may be helpful to develop the furniture and furnishing budget early
to ensure that the value of compliant products specified is sufficient to achieve the targeted point threshold.

SteP 3. trACk fUrnitUre And mediCAl fUrniShinG PUrChASeS


For each product expected to contribute to credit achievement, collect manufacturers documentation that includes each products
environmental characteristics (e.g., hazardous chemical content, emissions, and recycled content). Collect cost information for all
furniture and medical furnishings purchased for the project.

1. Green Guide for Health Care Technical briefs; Tom Lent, Low Emitting Materials, Tom Lent,
PBT Elimination form building Materials, and Lorissa MacAllister, Furniture and Medical
Furnishings. http://www.gghc.org/tools.technical.php (accessed August 14, 2013).
570

consider giving the contractor and vendors a tracking tool to record furniture and furnishing purchases. table 1 shows a sample
tracking tool that can be used to collect information and calculate credit compliance.
Examples of acceptable documentation from manufacturers include product data sheets, manufacturers letters, and test
reports.
components that make up less than 5% of the product by weight do not need to be included in the calculations.
if the actual cost to purchase a salvaged or reused item is not known, use its replacement value in the credit calculation:
obtain pricing for a comparable item in the local market, excluding labor and shipping.
if a vendor discount would typically be given to the product when purchased new, the replacement value should be the
discounted price, not the list price.
if the actual cost of the salvaged or reused item is greater than the replacement value, use the higher value (actual cost) of the
new, equivalent item.
tablE 1. Sample Tracking tool

total furniture material cost (excluding


$200,000
labor):

total sustainably sourced furniture and medical furnishings (option 1 +


$110,000
option 2 + option 3):

Percentage sustainably sourced furniture and medical furnishings: 55%

total points (30%: 1 point; 40%: 2 points): 2

Product information
Manufacturer or vendor Material cost total value as
description of product # Purchased
name per item purchased ($)

Workstation Chairs Sit-EZ Distributors $200.000 100 $20,000

Waiting Room Chairs Sit-EZ Distributors $150.00 25 $3,750

Modular Workstations NU Modular, Inc $1,000.00 100 $1000,000

chemical groups (option 1 = 4 minimum, option 2 = 2 minimum) option 2

Yes Yes Yes Yes No 4 No

Yes Yes Yes No No 3 Yes

n/a n/a n/a n/a n/a 0 No


571

option 3
option 1 and 2 totals option 3
total

$20,000 0% 0% 10% Yes No No Yes $42,000 0% $42,000

$3,750 0% 10% 5% No Yes No No $2,250 0% $2,250

$0 30% 0% No No Yes No $40,000 5% $42,000

Sub-total Option 3: $0 $15,188 $2,188 $20,000 $3,750 $50,000 $200 $84,250 $86,250

sTeP 4. CalCulaTe susTainable CriTeria value of all CoMPlianT ProduCTs


using the data collected in the tracking tool, calculate the percentage of materials, by cost, that complies with the requirements
for each option.
for options 1 and 2, the total value of each product that meets the criteria is included in the qualifying value for the credit.
for options 1 and 2, each component that makes up at least 5% of the products weight must meet the requirement for
chemical avoidance to qualify as sustainably sourced. Exclude components that constitute less than 5% (see Further
Explanation, Examples). additionally, for option 2, products must also meet emissions requirements for the
entire assembly.
for option 3, modify actual product costs as indicated in the credit requirements. this includes multipliers for certain options and
calculating the compliant value for assemblies.
for product declaration guidance, see MR credit Building Product Disclosure and optimization Environmental Product
Declarations, option 1 Environmental Product Declaration.
for guidance regarding materials reuse, recycled content, biobased content, certified wood, and extended producer
responsibility, see MR credit Building Product Disclosure and optimization sourcing of Raw Materials, option 2 Leadership
Extraction Practices.
for products that meet criteria for more than one option, the total value can be counted for each option for which the product is
fully compliant (see Further Explanation, Examples).

sTeP 5. deTerMine CrediT aChieveMenT

Equation 1. Percentage of sustainably sourced furniture and furnishings


Total % = { (Option 1 compliant value + Option 2 compliant value + Option 3 compliant value)
} 100

Total furniture and medical furnishing cost

Product cost = cost of the product contributing toward credit. for assemblies, the cost amount
contributing toward credit is based on weight (see MR Overview, Determining Product Cost). criterion valuation factor =
multiplier assigned to each sourcing criterion:
Products with product specific declarations, value .25, by cost
Products with industry wide (generic) EPD, value .5, by cost
Products with product specific type iii EPD, value 1.0, by cost
Materials reuse, value 1.0, by cost
Postconsumer recycled materials, value 1.0, by cost
Preconsumer recycled materials, value 0.5, by cost
Extended producer responsibility is valued at 50%; that is, the valuation factor is 0.5. Products that are part of an extended
producer responsibility program may be counted in their entirety even if only part of the product is recycled.
Biobased nonwood products meeting sustainable agriculture standard, 1.0 value
new wood products certified to fsc standards, value 1.0, by cost
Location valuation factor = multiplier for the extraction, manufacture, and purchase location (see MR Overview, Location Valuation
Factor).

furTher exPlanaTion

CalCulaTions
See calculation in Step-by-Step Guidance.

buildinG ProduCT disClosure and oPTiMiZaTion CrediTs referenCes


For information about EPDs and documentation of product-specific declarations, see MR Credit Building Product Disclosure and
OptimizationEnvironmental Product Declarations, Further Explanation.
For information about documentation for wood and biobased products, FSC chain of custody, recycled content definition and
assemble determination, and extended producer responsibility, see MR Credit Building Product Disclosure and Optimization
Sourcing of Raw Materials, Further Explanation.

exaMPles
Evaluating Chemical Content
A nurses station chair consists of treated fabric, plastic components, fastening hardware (bolts and screws), steel post, metal base, and
wheels. All components that constitute at least 5% of the products total weight must comply with the chemical content limits for
Option 1 or Option 2. Because it represents only 2% of the chairs weight, the fastening hardware does not need to comply.

Products That Comply with More Than One Option


A nurses station task chair has a materials cost of $500. According to the product data sheet, all components that constitute at least
5% of the chair, by weight, contain less than 100 ppm each of urea formaldehyde, mercury, lead, and hexavalent chromium.
Therefore, the chair complies with Option 1.
Additionally, the manufacturers documentation indicates that the chair has been tested and complies with the appropriate
ANSI/BIFMA testing methodology, and thus it meets Option 2 requirements.
Because the chair meets the criteria for both options, its full cost, $500, can be applied twice, for a total sustainability value of
$1,000.
573
(component does not (component does not of weight and excluded contain heavy metals and contain heavy metals and
from credit) is not plated with is not plated with hexavalent chromium) hexavalent chromium)

Percentage (%) denotes assembly components by weight

Figure 1. Example of product assemblys contribution to multiple sustainable criteria


CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

documentation option 1 option 2 option 3

MR furniture and medical furnishings calculator provided by USGBC X X X

Documentation of product claims for credit criteria X X X

relaTed CrediT TiPs


MR Credit Building Product Disclosure and OptimizationEnvironmental Product Declarations, Sourcing of Raw Materials,
and Material Ingredients. Built-in casework is considered permanently installed and is included in the total cost calculations for
materials in the three Building Product Disclosure and Optimization credits. It is therefore not included in the calculations for this
credit. Furniture and medical furnishings cannot be counted toward any Building Product Disclosure and Optimization credits.

ChanGes froM leed 2009


Air testing protocols for Option 2 have been updated to reflect leadership standards.
Requirements in Option 3 have been modified to reflect changes to related Materials and Resources credits.

referenCed sTandards
Restriction of the Use of Certain Hazardous Substances of the European Union Directive (EU RoHS): eur-lex.europa.eu

American National Standard and The Business and Institutional Furniture Manufacturers Association Standard M7.1
2011: ANSI/BIFMA M7.12011:bifma.org/standards/standards.html

Furniture Sustainability Standard and level Certification Program. American National Standard and
The Business and Institutional Furniture Manufacturers Association Standard e32011 for Furniture Sustainability:
ANSI/BIFMA e32011: levelcertified.org

International Standard ISO 140252006, Environmental labels and declarations, Type III environmental declarations,
Principles and procedures: iso.org

International Standard ISO 140402006, Environmental management, Life cycle assessment principals and frameworks:
iso.org

International Standard ISO 140442006, Environmental management, Life cycle assessment Requirements and
guidelines: iso.org
575

International Standard ISO 219302007, Sustainability in building construction, Environmental


declaration of building products: iso.org

International Standards ISO 140211999, Environmental Labels and Declarations, Self-Declared


Environmental Claims (Type II Environmental Labeling): iso.org

exeMPlary PerforManCe
Use at least 50%, by cost, of all freestanding furniture and medical furnishings that meet the credit criteria.
definiTions
added antimicrobial treatment a substance added to a product (e.g., paint, flooring) to kill or inhibit the growth of
microorganisms. Some products, such as linoleum, exhibit natural antimicrobial properties. Despite current
practice, science has not proven that antimicrobial treatments reduce infection transfer in building finishes more
effectively than standard cleaning procedures. Also known as added microbial agent. See U.S. EPA factsheet,
Consumer Products Treated with Pesticides (www.epa.gov/pesticides factsheets/treatart.htm).

engineered nanomaterial a substance designed at the molecular (nanometer) level. Because of its small size, it has novel properties
generally not seen in its conventional bulk counterpart. See the Australian National Industrial Chemicals Notification and Assessment
Scheme, nicnas.gov.au/publications/information_sheets/general_ information_sheets/nis_nanomaterials_pdf.pdf.

medical furnishing an item of furniture designed for use in health care. Examples include surgical tables; procedure, supply, and
mobile technology carts; lifting and transfer aids; supply closet carts and shelving; and overbed tables.

persistent bioaccumulative toxic chemical a substance that poses a long-term risk to both humans and the environment because it
remains in the environment for long periods, increases in concentration as it moves up the food chain, and can travel far from the
source of contamination. Often these substances can become more potent and harmful to ecosystems the longer they persist. See U.S.
EPAs website on persistent bioaccumulative toxic chemicals, www.epa.gov/pbt/.
MaTerials and resourCes CrediT

Design for flexibility


this credit applies to: healthcare (1 point)

inTenT

conserve resources associated with the construction and management of buildings by


designing for flexibility and ease of future adaptation and for the service life of
components and assemblies.

requireMenTs
Increase building flexibility and ease of adaptive use over the life of the structure by employing at least three of the following
strategies.
Use interstitial space. Design distribution zone utility systems and equipment including HVAC, plumbing, electrical, information
technology, medical gases, and life safety systems to serve the occupied zones and have the capacity to control multiple zones in
clinical spaces.
Provide programmed soft space, such as administration or storage, equal to at least 5% of departmental gross area (DGA). Locate
soft space adjacent to clinical departments that anticipate growth. Determine a strategy for future accommodation of displaced
soft space.
Provide shell space equal to at least 5% of DGA. Locate it such that it can be occupied without displacing occupied space.
Identify horizontal expansion capacity for diagnostic and treatment or other clinical space equal to at least 30% of existing floor
area (excluding inpatient units) without demolition of occupied space (other than at the connection point). Reconfiguration of
additional existing occupied space that has been constructed with demountable partition systems is permitted.
Design for future vertical expansion on at least 75% of the roof, ensuring that existing operations and service systems can
continue at or near capacity during the expansion.
Designate space for future above-grade parking structures equal to 50% of existing on-grade parking capacity, with direct access
to the main hospital lobby or circulation. Vertical transportation pathways that lead directly to the main hospital lobby or
circulation are acceptable.
Use demountable partitions for 50% of applicable areas.
Use movable or modular casework for at least 50% of casework and custom millwork. Base the calculation on the combined
value of casework and millwork, as determined by the cost estimator or contractor.
589

Behind the intent


Health care practices and technologies are rapidly evolving, often requiring changes to the physical layout of health
care facilities. In 2010, renovation projects accounted for more than 45% of the total cost of U.S. hospital
construction.1 Because health care facilities are not typically designed to accommodate future changes, the constant
renovations can produce more debris than the initial new construction, increasing waste and environmental
consequences over the life of the building. In addition, constant change can make it difficult to maintain energy
efficiency and cost-effective operation.
Health care facilities intentionally designed for adaptive use are easier to renovate, reducing the resource inputs
and waste generation associated with renovation. Movable wall partitions, for example, reduce the solid waste
generated by demolition of permanent walls while avoiding raw material extraction for new walls. Rooms that use
modular systems and standard design elements can be more easily altered for new technology and space
requirements, extending the life of the building. This credit concentrates on flexibility for the portions of the
building typically subject to change: the space plan (such as department layouts), services (such as HVAC or
water), and movable items (such as furniture). Concentrating such flexible systems in areas subject to frequent
renovations reduces source inputs and waste.

SteP-BY-SteP GUidAnCe

SteP 1. develoP flexiBilitY GoAlS


Establish goals and metrics for future flexibility to help focus the project teams efforts on a design that will work for both current
and long-term needs.
Obtain early commitment from the owner, architect, medical planner, design engineers, and contractor, among others, to design
the facility for future flexibility.
Work with the owner and other members of the project team in the predesign and schematic design phases to clarify possible
scenarios for future renovation and expansion, and discuss how the design can help accommodate those potential changes.
Resist the pressure to establish critical programmatic adjacencies and customize the building to specific program sizes and
functional requirements; doing so early in the design phase can preclude strategies that offer flexibility.
Determine which clinical programs are likely to grow, and locate shell or soft space to permit their expansion without major
disruption or reconfiguration.

SteP 2. identifY At leASt three StrAteGieS to meet Credit reqUirementS


Determine which design strategies outlined in the credit requirements will best help achieve the project teams goals for future
flexibility.
Some strategies focus on providing flexibility for future expansion; others prioritize changes within the existing building envelope,
such as space planning modifications, mechanical system upgrades, and technology improvements.
If expansion is anticipated, identify the likely size, location, and space types (see Further Explanation, Designing for Future
Expansion).
If the project site is constrained and vertical expansion is the only option, plan for additional structural, mechanical, and egress
requirements.
If flexibility is needed within the existing building envelope, select strategies like interstitial space, soft space, and shell space that
allow for changes to rooms and building systems (see Further Explanation, Designing for Future Flexibility within Existing Space).

SteP 3. PreliminArY CAlCUlAtionS


Conduct preliminary calculations to determine whether the strategy thresholds are achievable. Calculations that will be helpful
include the following:
Departmental gross area. Add the area of all clinical departments in the building program, starting from the centerline of walls (see
Further Explanation, Determining Departmental Gross Area).

1. Carpenter, David, and Suzanna Hoppszallern, 2010 Hospital Building Report: Proceed
with Caution, HFM Magazine (February 2010): 1115,
http://www.hfmmagazine.com/hfmmagazine/jsp/articledisplay.jsp?dcrpath=HFMMAGAZINE/Article/data/02FEB2010/1002H
FM_FEA_ CoverStory&domain=HFMMAGAZINE (accessed May 29, 2013).
590
591

Vertical expansion. calculate the roof area and identify a portion that could accommodate vertical expansion without critically
disrupting existing operations and service systems; it must be at least 75% of the total roof area.
critical disruption typically means hVac service is disrupted for critical areas or electricity for the building has to be cut
off. it is up to the project team to determine a reasonable threshold for critical disruption.
Vertical expansion may be infeasible if the structure is not designed to accommodate additional loads. Ensure that the design
of the structural elements (e.g., columns, bearing walls, lateral bracing, shear walls, transfer beams, foundations) can
accommodate increased vertical loads, lateral loads, sliding, and overturning moments.
future parking structure. calculate the area required to accommodate an additional 50% of existing on-grade parking in an
above-grade parking structure and identify an on-site location for this expansion, based on the credit requirements. the
expanded parking area must lead directly to the main lobby; the circulation pathway may include vertical systems such as
elevators, stairs, or escalators to direct occupants to the main lobby.
Demountable partitions. calculate the total length, in linear distance, of full-height interior partitions within and around
applicable areas. Ensure that the demountable partitions account for at least 50% of full-height interior partitions. to
incorporate demountable and reconfigurable systems, designs may include prepackaged systems and detailing may call for
screws and bolts in place of nails and adhesives. consider systems that enable lighting and controls to be moved throughout
an interior space without the need to rewire or reconfigure.
casework and millwork. calculate the value of casework and custom millwork that is movable or modular; it must be at least 50%
of the total value of all casework and millwork in the project. include delivery and taxes but not installation or labor.

sTeP 5. TraCk iMPleMenTaTion of sTraTeGies ThrouGhouT ProjeCT


Develop a system for tracking the implementation of selected strategies, particularly at major project milestones. strategies that support
future flexibility are often at risk of being removed during the design process because of space or budget pressures.
Planning for shell space early in the design process may help avoid costly changes when new programmatic requirements are
identified late in the design process.
Programmed soft space may be reduced to accommodate required space changes in the design development phase.
Review at risk strategies at major project milestones and work with the project team to ensure that optimal design flexibility is
maintained.
Ensure clear communication among all disciplines by clearly indicating strategies on a floor plan and in design documents.

Calculate the projects departmental gross area (DGA) by adding the area of all clinical departments in the building
program, starting from the centerline of walls.
Include everything interior to the department and all areas required to support that department, such as hallways,
interior walls and circulation spaces, and dedicated storage.
Do not include inpatient rooms, building equipment rooms, facilities departments, or storage and administration
areas not associated with a diagnostic, treatment, or clinical department.
592

adjoining rooms.

GA

Figure 2. Floor area included in Gross Area calculation

overall sTraTeGies for desiGninG for fuTure exPansion


Corridors and stairways should support future additions without demolition of occupied space. Locate stairs to
provide an alternative to elevator use, and avoid exit tunnels. This will cause less disruption during future
construction as well as reduce waste from demolition.
Oversize corridors, exit doors, and egress stairs to accommodate higher use. Design the structural system to
accommodate vertical expansion through increased vertical loads, lateral loads, sliding, and overturning moments of
structural elements (columns, bearing walls, lateral bracing, shear walls, transfer beams, foundations). If horizontal
expansion is planned, design the faade to accommodate new openings and additions.
It is recommended that structural serviceability issues resulting from future expansion, such as vibration, vertical
deflection, and drift, also be addressed.

aPPliCable areas for deMounTable ParTiTions


When determining which areas have linear surface applicable for demountable partitions, exclude the following:
Areas that require medical staff to have emergency access to patients or where safety is a concern. These may
be areas where drapery and screens are more appropriate privacy devices than walls.
Walls that have life, safety, or health requirements by code, such as fire separation, detention, or smoke
control. Examples include inpatient nursing units (such as ICU), surgery theaters, postanesthesia care units,
emergency department treatment areas, and acute trauma. If other areas are excluded, provide the rationale.
593

assigned to a function in an open area e.g., cubicles or workstations.

walls separating a department from adjoining areas; include internal walls, corridors, etc.

DGA

Figure 3 and 4. Net area and department gross area


594
595

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.

required doCuMenTaTion

documentation all projects

Description of overall flexible design strategy X

Calculations for departmental gross area showing areas required for each selected strategy X

Floor plans or other documentation for areas using flexible design strategies X

Calculations of floor area for soft space, shell space, expansion capacity, and future parking (if applicable) X

Calculations of linear area for demountable partitions and description of excluded areas (if applicable) X

Calculation of product costs for movable and modular casework (if applicable) X

relaTed CrediT TiPs


MR Prerequisite Construction and Demolition Waste Management Planning. Using modular systems and
standard design elements can reduce waste generation during the construction phase.

MR Credit Building Product Disclosure and OptimizationEnvironmental Product Declarations, Sourcing of


Raw Materials, and Material Ingredients. Built-in casework is considered permanently installed and is included in
the cost calculations for materials in the three related credits.

ChanGes froM leed 2009


There is no longer a minimum requirement for interstitial space.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.
596

definiTions
demountable partition a temporary interior wall that can be easily reconfigured. In a health care facility, acoustical
concerns and embedded equipment, as in a surgery suite, may prevent demountable partitions from being used
departmental gross area (DGA) the floor area of a diagnostic and treatment of clinical department, calculated from
the centerline of the walls separating the department from adjacent spaces. Walls and circulations space within the
department are included in the calculation. This calculation excludes inpatient units.

interstitial space an intermediate space located between floors with a walk-on deck, often used to run the majority
of the utility distribution and terminal equipment, thus permitting convenient installation, maintenance, and future
modifications modular and movable casework shelving and cabinetry designed to be easily installed, moved, or
reconfigured. In a retail setting, items that are movable but semipermanently attached using mechanical fastening
systems for operational use are considered furniture and not base building elements (e.g., a table or display bolted to
the floor, or shelving attached to a wall)

shell space an area designed to be fitted out for future expansion. Shell space is enclosed by the building envelope
but otherwise left unfinished.

soft space an area whose functions can be easily changed. For example, hospital administrative offices could be
moved so that this soft space could be converted to a laboratory. In contrast, a lab with specialized equipment and
infrastructure would be difficult to relocate.

structure elements carrying either vertical or horizontal loads (e.g., walls, roofs, and floors) that are considered
structurally sound and nonhazardous
597
MaTerials and resourCes CrediT

construction and Demolition


waste Management
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (12 points) retail (12 points) healthcare (12 points)

inTenT

to reduce construction and demolition waste disposed of in landfills and incineration


facilities by recovering, reusing, and recycling materials.

requireMenTs
Recycle and/or salvage nonhazardous construction and demolition materials. Calculations can be by weight or
volume but must be consistent throughout.
Exclude excavated soil, land-clearing debris, and alternative daily cover (ADC). Include wood waste converted to
fuel (biofuel) in the calculations; other types of waste-to-energy are not considered diversion for this credit.
However, for projects that cannot meet credit requirements using reuse and recycling methods, waste-to-energy
systems may be considered waste diversion if the European Commission Waste Framework Directive 2008/98/EC
and Waste Incineration Directive 2000/76/EC are followed and Waste to Energy facilities meet applicable European
Committee for Standardization (CEN) EN 303 standards.

oPTion 1. diversion (12 PoinTs)

Path 1. Divert 50% and Three Material Streams (1 point)


Divert at least 50% of the total construction and demolition material; diverted materials must include at least three
material streams.
or

Path 2. Divert 75% and Four Material Streams (2 points)


Divert at least 75% of the total construction and demolition material; diverted materials must include at least four
material streams.
or

oPTion 2. reduCTion of ToTal WasTe MaTerial (2 PoinTs)


Do not generate more than 2.5 pounds of construction waste per square foot (12.2 kilograms of waste per square meter)
of the buildings floor area.
599

Behind the intent


Diversion of construction waste has increased greatly in recent years because of new market incentives, better recycling
and reuse infrastructure, and more sophisticated sorting technology. However, the majority of diverted materials are
those that occur in high volume, such as structural waste, or are easily resold, valuable materials such as metals.
Both planning and implementation are critical to reducing construction waste. This credit rewards projects that
implement the plan created in MR Prerequisite Construction and Demolition Waste Management Planning. It
encourages the diversion of a greater quantity and diversity of materials across multiple material steams by setting
thresholds for both an overall diversion percentage and a minimum number of material streams. With an option that
rewards waste reduction, the credit also offers an alternative to diversion.
For more on the benefits of diverting construction and demolition waste, please refer to the prerequisite.

SteP-BY-SteP GUidAnCe

The process for waste management should be developed as part of the construction waste management (CWM) plan in the
corresponding prerequisite. Review the steps in MR Prerequisite Construction and Demolition Waste Planning and select an option.
Option 1 focuses on diverting construction and demolition waste from landfills by implementing the CWM plan created in the
prerequisite and meeting minimum thresholds.
Option 2 is appropriate for projects implementing source reduction strategies in both the design and construction phases. Before
selecting this option, estimate the amount of waste produced by the project to see whether the performance threshold is realistic.

Option 1. diversion

SteP 1. imPlement CWm PlAn


Implement the procedures outlined in the CWM plan developed for the corresponding prerequisite to achieve diversion goals and meet
minimum thresholds.
Establish on-site infrastructure, practices, and policies for off-site sorting, and develop a tracking system, as applicable. Identify at least
three material streams that will be diverted (see Further Explanation, Identifying Material Streams).
track all the construction and demolition waste leaving the site. Retain waste hauler reports for documentation. Record estimated
weight or volume of materials that are reused on site or salvaged for reuse on other projects by subcontractors or vendors.
Retain receipts and estimate weight or volume for materials donated to charities, reuse retailers, or other recipients that can verify and
track incoming and outgoing materials.
to contribute to this credit, commingled waste diversion must comply with one of the following requirements:
the waste-sorting facility provides a waste diversion percentage specific to the projects waste based on measurement of each
component waste material. Visual inspection is not an acceptable method of evaluation for documenting this percentage.
the project team uses the facilitys average diversion rate, which must be regulated by the local or state authority and must exclude
alternative daily cover (aDc). this system must be a closed system; shipping waste to another municipality to manage, thus burdening
another system, does not count as diverting the waste.

sTeP 2. CalCulaTe diversion raTe


applying Equation 1 to the total waste generated and diverted, determine the construction and demolition waste diversion rate. to
ensure that the credit requirements will be met, project teams should
600

calculate the diversion rate periodically (e.g., monthly or bimonthly) so that adjustments can be made to meet diversion goals.
Equation 1. Diversion rate

Diversion rate = Total waste diverted from landfill 100

Total waste produced by project

the performance threshold requires both a minimum diversion percentage and diversion of three (Path 1) or
four (Path 2) material streams.
Ensure that units are consistent for all materials, in either weight or volume.
Diverted waste includes all recycled, salvaged, reused, and donated materials.
aDc does not count as diversion but must be included in total construction and demolition Exclude hazardous at least
waste, land-clearing debris, soil, and landscaping materials.
Projects that cannot meet the credit threshold via reuse or recycling are eligible to claim di through waste-to-
energy systems, provided they meet applicable standards and requireme Further Explanation, Waste-to-
Energy). wood-derived fuel may contribute toward diversio waste.

sTeP 3. ProduCe CWM rePorT create a final waste report for the project that includes the following
version nts
information: (see
total construction and demolition waste produced by the project n.
types of waste material and quantity of each material
total waste diverted and diversion rate (percentage) the report must address aDc and other materials that are
included in the calculation even if t not count toward diversion. if a single hauler is used for all waste, this
company may be able t this report. if multiple haulers or diversion strategies are used, the project team must
compile management information from all sources into a single report.

hey do
o provide
waste

option 2. reduction of Total Waste generated


standard ls
and
sTeP 1. desiGn for reduCed WasTe
Project teams should consider design strategies that will greatly reduce the amount of waste on site. strategies such
as prefabrication, modular construction, and designs that use industry sizes greatly reduce the amount of waste that
needs to be managed and diverted from landfil incinerators (see Further Explanation, Source Reduction). sTeP
2. CalCulaTe ToTal WasTe reduCTion calculate threshold achievement using Equation 2.

Equation 2. Waste per area calculation


601

100
Total construction and demolition waste generated Waste per area =

Project gross floor area

under option 2, materials reused on site do not count as waste.


include all waste materials donated, sent to reuse facilities, or reused on other projects.
include all waste materials sent to recycling facilities, landfills, and incinerators.
602

One best practice is tracking waste throughout the entire project. The project team may determine the best strategy
for ongoing tracking, which will then feed into the construction and demolition waste management calculator
provided by USGBC or an equivalent tracking tool.
Web-based tools can provide contractors with an easy, step-by-step process for electronically tracking and
submitting waste management and recycling plans. Electronic tracking can save them time and money by identifying
materials that can be recycled, locating the nearest recycling facilities, following recycling progress in real time,
gathering comprehensive statistics, and creating reports regarding waste generation and recycling for project, clients,
company, government, as well as for green rating systems.
Some tools provide LEED credit templates so that data can be transferred directly to LEED report formats.

tablE 1. Sample waste-tracking tool

diverted waste per report date

Material stream
sept oct nov dec
total units

Plastic 1.25 2.5 10 5 18.75 yards

Carpet 2.5 2.5 2.5 0 7.5 yards

Paper/Cardboard 5 2.5 2.5 5 15 yards

Clean Wood 0 25 0 1.25 26.25 yards

Metal 1.25 2.5 5.5 7 16.25 yards

Sheetrock 2.5 2.5 4 5 14 yards

Brick/Concrete Masonry 10.5 2.5 5.5 8.75 27.25 yards

Asphalt Shingles 10 0 0 0 10 yards

total diverted waste 135 yards

Landfill 10.75 7.5 15 10 43.25 yards

Screen Fines (ADC) 5 1.25 0 2.5 8.75 yards

6" Minus (ADC) 1.25 1.25 5 5.5 13 yards

total landfill/adc waste 65 yards


603

total waste Percent 200 yards


(%) diverted

67.5 %

idenTifyinG MaTerial sTreaMs


Under Option 1 of this credit, project teams must divert at least three material streams from landfill. A material
stream is defined as a flow of materials coming from a job site into markets for building materials. A stream can be
either of the following:
a specific material category that is diverted in a specific way; or
a mixture of several material categories that are diverted in a specific way.
Examples of material streams include deconstructed materials sent to reuse markets, commingled waste sent to
mixed-waste recycling facility, source separation where each material is sent to a specific facility, manufacturers or
suppliers take-back of materials, and reuse of deconstructed materials on-site.
As a best practice, a material stream should constitute at least 5% (by weight or volume) of total diverted
materials. The option requires that multiple material streams be diverted for several reasons: to stimulate markets for
recovered materials by keeping materials separated at the job site, thus increasing recycling rate of materials; to
encourage better project planning, job site diversion best practices, and new sorting and diversion techniques; and to
encourage manufacturers to use closed-loop product systems.

WasTe-To-enerGy
Waste-to-energy may be considered a viable diversion strategy if the project team follows the European Commission
Waste Framework Directive 2008/98/EC and the European Commission Waste Incineration Directive 2000/76/
EC. These standards consist of performance metrics of both efficiency and emissions for different types of energy
recovery systems. In addition, the facility must meet the applicable European standards based on the fuel type. See
Referenced Standards for more information on these directives:
EN 303-11999/A12003, Heating boilers with forced draught burners
EN 303-21998/A12003, Heating boilers with forced draught burners
EN 303-31998/AC2006, Gas-fired central heating boilers
EN 303-41999, Heating boilers with forced draught burners
EN 303-52012, Heating boilers for solid fuels
EN 303-62000, Heating boilers with forced draught burners
EN 303-72006, Gas-fired central heating boilers equipped with a forced draught burner

Project teams pursuing this compliance option must demonstrate that reuse and recycling strategies were exhausted
before sending material to waste-to-energy facilities.
The combustion of wood or wood-derived fuel is not considered waste-to-energy and is exempt from the
criteria above.

sourCe reduCTion
Source reduction eliminates waste produced by a project in the following three ways:
Prefabrication is a viable alternative for many wall assemblies. Because prefabrication occurs off site in a
dedicated facility, the manufacturer can achieve high efficiencies in its use of equipment and materials, thereby
reducing waste.
Modular designs are likely to have a longer lifespan if they use of durable materials and permanent fastening.
They are also safer to build because large assemblies are constructed in controlled environments, reducing
workers exposure to elevated work tasks.
Designing for standard material lengths eliminates large amounts of off-cuts and scrap. If incorporated early in
the design process, this strategy does not add additional cost to a project.

Under Option 2, exclude on-site reused materials. Materials reused on site are not considered waste for the purposes
of calculating this option only.

CaMPus
604

Group Approach
All buildings in the group may be documented as one. Multiple buildings on a campus may share waste hauling
contracts and on-site collection equipment. Data aggregation is allowed, provided that each building included is
pursuing the same option.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

documentation option 1 option 2

MR Construction and Demolition Waste Management calculator or equivalent tool, tracking


total and diverted waste amounts and material streams X

Documentation of recycling rates for commingled facilities (if applicable) X

Justification narrative for use of waste-to-energy strategy (if applicable) X

Documentation of waste-to-energy facilities adhering to relevant EN standards (if


applicable) X

Total waste per area X

relaTed CrediT TiPs


MR Prerequisite Construction and Demolition Waste Management Planning. The diversion accomplished in
this credit should be done according to the plan developed in the related prerequisite.

ChanGes froM leed 2009


A compliance option has been added for total project waste reduction per gross floor area of the project.
Multiple material streams must be diverted to earn the credit for waste diversion (Option 1).
ADC has been specifically excluded from diversion calculations. In LEED 2009, it was allowed to count as
diverted waste.
Waste-to-energy may count as a diversion method if the facility meets European Union requirements for waste
management and emissions into air, soil, surface water, and groundwater.

referenCed sTandards
Certification of Sustainable Recyclers: recyclingcertification.org

European Commission Waste Framework Directive 2008/98/EC:


ec.europa.eu/environment/waste/framework/index.htm
eur-lex.europa.eu/LexUriServ/LexUriServ.do?uri=OJ:L:2008:312:0003:0030:en:PDF

European Commission Waste Incineration Directive 2000/76/EC:


europa.eu/legislation_summaries/environment/waste_management/l28072_en.htm
central2013.eu/fileadmin/user_upload/Downloads/Document_Centre/OP_Resources/Incineration_
Directive_2000_76.pdf

EN 303-11999/A12003, Heating boilers with forced draught burners, Terminology, general requirements,
testing and marking: cen.eu/cen/Products/Search/Pages/default.aspx
605
EN 303-21998/A12003, Heating boilers with forced draught burners, Special requirements for boilers
with atomizing oil burners: cen.eu/cen/Products/Search/Pages/default.aspx

EN 303-31998/AC2006, Gas-fired central heating boilers, Assembly comprising a boiler body and a
forced draught burner: cen.eu/cen/Products/Search/Pages/default.aspx
EN 303-41999, Heating boilers with forced draught burners, Special requirements for boilers with forced
draught oil burners with outputs up to 70 kW and a maximum operating pressure of 3 bar, Terminology,
special requirements, testing and marking: cen.eu/cen/Products/Search/Pages/default.aspx

EN 303-52012, Heating boilers for solid fuels, manually and automatically stoked, nominal heat output of up
to 500 kW: cen.eu/cen/Products/Search/Pages/default.aspx

EN 303-62000, Heating boilers with forced draught burners, Specific requirements for the domestic hot
water operation of combination boilers with atomizing oil burners of nominal heat input not exceeding 70 kW:
cen.eu/cen/Products/Search/Pages/default.aspx

EN 303-72006, Gas-fired central heating boilers equipped with a forced draught burner of nominal heat
output not exceeding 1000 kW: cen.eu/cen/Products/Search/Pages/default.aspx

exeMPlary PerforManCe
Achieve both Option 1 (either Path 1 or Path 2) and Option 2.

definiTions
alternative daily cover (ADC) material other than earthen material placed on the surface of the active face of a
municipal solid waste landfill at the end of each operating day to control vectors, fires, odors, blowing litter, and
scavenging. Generally these materials must be processed so they do not allow gaps in the exposed landfill face.
(CalRecycle)

clean waste nonhazardous materials left over from construction and demolition. Clean waste excludes lead and
asbestos.

commingled waste building waste streams that are combined on the project site and hauled away for sorting into
recyclable streams. Also known as single-stream recycling.

land-clearing debris and soil materials that are natural (e.g., rock, soil, stone, vegetation). Materials that are
manmade (e.g., concrete, brick, cement) are considered construction waste even if they were on site.

source separated construction or demolition waste materials that are sorted into separate bins on the project site
(aka on-site). This waste strategy often isolates waste materials targeted for reuse, donation, or recycling programs.
Typically, sorted materials on-site include metals, wood, ceiling tiles, furniture, and concrete.

waste diversion a management activity that disposes of waste through methods other than incineration or
landfilling. Examples include reuse and recycling.

waste-to-energy the conversion of nonrecyclable waste materials into usable heat, electricity, or fuel through a
variety of processes, including combustion, gasification, pyrolization, anaerobic digestion, and landfill gas (LFG)
recovery
Indoor
Environmental Quality
(eq)
overvieW
The Indoor Environmental Quality (EQ) category rewards decisions made by project teams about indoor air quality
and thermal, visual, and acoustic comfort. Green buildings with good indoor environmental quality protect the
health and comfort of building occupants. High-quality indoor environments also enhance productivity, decrease
absenteeism, improve the buildings value, and reduce liability for building designers and owners. 1 This category
addresses the myriad design strategies and environmental factorsair quality, lighting quality, acoustic design,
control over ones surroundingsthat influence the way people learn, work, and live.
The relationship between the indoor environment and the health and comfort of building occupants is complex
and still not fully understood. Local customs and expectations, occupants activities, and the buildings site, design,
and construction are just a few of the variables that make it difficult to quantify and measure the direct effect of a
building on its occupants.2 Therefore, the EQ section balances the need for prescriptive measures with more
performance-oriented credit requirements. For example, source control is addressed first, in a prerequisite, and a
later credit then specifies an indoor air quality assessment to measure the actual outcome of those strategies.
The EQ category combines traditional approaches, such as ventilation and thermal control, with emerging
design strategies, including a holistic, emissions-based approach (Low-Emitting Materials credit), source control
and monitoring for user-determined contaminants (Enhanced Indoor Air Quality Strategies credit), requirements for
lighting quality (Interior Lighting credit), and advanced lighting metrics (Daylight credit). A new credit covering
acoustics is now available for all projects using a BD+C rating system.

1. U.S. Environmental Protection Agency, Health Buildings Healthy People: A Vision for
the 21st Century, epa.gov/iaq/pubs/hbhp.html (October 2001) (accessed July 25,
2013).
2. Mitchell, Clifford S., Junfeng Zhang, Torben Sigsgaard, Matti Jantunen, Palu J.
Lioy, Robert Samson, and Meryl H. Karol, Current State of the
Science: Health Effects and Indoor Environmental Quality, Environmental
Health Perspectives 115(6) (June 2007).
608

Cross-CuTTinG issues
floor area CalCulaTions and floor Plans
For many of the credits in the EQ category, compliance is based on the percentage of floor area that meets the
credit requirements. In general, floor areas and space categorization should be consistent across EQ credits. Any
excluded spaces or discrepancies in floor area values should be explained and highlighted in the documentation.
See Space Categorization, below, for additional information on which floor area should be included in
which credits.

sPaCe CaTeGoriZaTion
The EQ category focuses on the interaction between the occupants of the building and the indoor spaces in which
they spend their time. For this reason, it is important to identify which spaces are used by the occupants, including
any visitors (transients), and what activities they perform in each space. Depending on the space categorization, the
credit requirements may or may not apply (Table 1).

occupied versus unoccupied space


All spaces in a building must be categorized as either occupied or unoccupied. Occupied spaces are enclosed areas
intended for human activities. Unoccupied spaces are places intended primarily for other purposes; they are
occupied only occasionally and for short periods of timein other words, they are inactive areas.

Examples of spaces that are typically unoccupied include the following:


Mechanical and electrical rooms
Egress stairway or dedicated emergency exit corridor
Closets in a residence (but a walk-in closet is occupied)
Data center floor area, including a raised floor area
Inactive storage area in a warehouse or distribution center
For areas with equipment retrieval, the space is unoccupied only if the retrieval is occasional.

regularly versus nonregularly occupied spaces


Occupied spaces are further classified as regularly occupied or nonregularly occupied, based on the duration of the
occupancy. Regularly occupied spaces are enclosed areas where people normally spend time, defined as more than
one hour of continuous occupancy per person per day, on average; the occupants may be seated or standing as they
work, study, or perform other activities. For spaces that are not used daily, the classification should be based on the
time a typical occupant spends in the space when it is in use. For example, a computer workstation may be largely
vacant throughout the month, but when it is occupied, a worker spends one to five hours there. It would then be
considered regularly occupied because that length of time is sufficient to affect the persons well-being, and he or
she would have an expectation of thermal comfort and control over the environment.
Occupied spaces that do not meet the definition of regularly occupied are nonregularly occupied; these are areas
that people pass through or areas used an average of less than one hour per person per day.
Examples of regularly occupied spaces include the following:
Airplane hangar Hospital dialysis and
Auditorium infusion area
Auto service bay Hospital exam room
Bank teller station Hospital operating room
Conference room Hospital patient room
Correctional facility cell Hospital recovery area
or day room Hospital staff room
Data center network Hospital surgical suite
operations center Hospital waiting room
Data center security Hospital diagnostic and
operations center treatment area
Dorm room Hospital laboratory
Exhibition hall Hospital nursing station
Facilities staff office Hospital solarium
Facilities staff workstation Hospital waiting room
Food service facility dining area Hotel front desk
Food service facility kitchen area Hotel guest room
Gymnasium Hotel housekeeping area
Hospital autopsy and morgue Hotel lobby
Hospital critical-care area Information desk
Meeting room
Examples of nonregularly occupied spaces include the
following:
Break room Hospital short-term charting
Circulation space space
Copy room Hospital prep and cleanup area
Corridor in surgical suite
Fire station apparatus bay Interrogation room
Hospital linen area Lobby (except hotel lobby)*
Hospital medical record area Locker room
Hospital patient room bathroom Residential bathroom

Natatorium
Open-office workstation
Private office
Reception desk
Residential bedroom
Residential dining room
Residential kitchen
Residential living room
610

Residential office, den,


workroom
Retail merchandise area and
associated circulation
Retail sales transaction area
School classroom
School media center
School student
activity room School
study hall
Shipping and receiving office
Study carrel
Warehouse materials-
handling area

Residential laundry area


Residential walk-in closet
Restroom
Retail fitting area
Retail stock room
Shooting range
Stairway
* Hotel lobbies are considered regularlyoccupied because people often
congregate, work on laptops, and spend more time there than they
do in an office building lobby.

occupied space subcategories


Occupied spaces, or portions of an occupied space, are further categorized as individual or shared multioccupant,
based on the number of occupants and their activities. An individual occupant space is an area where someone
performs distinct tasks. A shared multioccupant space is a place of congregation or a place where people pursue
overlapping or collaborative tasks. Occupied spaces that are not regularly occupied or not used for distinct or
collaborative tasks are neither individual occupant nor shared multioccupant spaces.

Examples of individual occupant spaces include the following:


Bank teller station Hospital patient room Open-office workstation
Correctional facility cell Hotel guest room Private office
or day room Medical office Reception desk
Data center staff workstation Military barracks with Residential bedroom
Hospital nursing station personal workspaces Study carrel
Examples of shared multioccupant spaces include the following:
Active warehouse and storage Airplane hangar Auditorium
Auto service bay Hospital dialysis and Meeting room
Conference room infusion area Natatorium
Correctional facility cell Hospital exam room Retail merchandise area
or day room Hospital operating room and associated circulation
Data center network Hospital Retail sales transaction area
operations center surgical suite School classroom
Data center security Hospital School media center
operations center School student
waiting room
Exhibition hall activity room School
Hospital diagnostic and
Facilities staff office treatment area study hall
Food service facility dining area Hospital laboratory Shipping and receiving
Food service facility Hospital solarium office
kitchen area Gymnasium
Hotel front desk Warehouse materials-
Hospital autopsy and morgue handling area
Hotel housekeeping area
Hospital critical-care area
Hotel lobby
Occupied spaces can also be classified as densely or nondensely occupied, based on the concentration of occupants
in the space. A densely occupied space has a design occupant density of 25 people or more per 1,000 square feet (93
square meters), or 40 square feet (3.7 square meters) or less per person. Occupied spaces with a lower density are
nondensely occupied.

Table 1 outlines the relationship between the EQ credits and the space categorization terms. If the credit is listed, the
space must meet the requirements of the credit.

tablE 1. Space types in EQ credits

space category Prerequisite or credit

occupied space Minimum Indoor Air Quality Performance, ventilation rate procedure and natural ventilation procedure
Minimum Indoor Air Quality Performance, monitoring requirements
Enhanced Indoor Air Quality Strategies, Option 1 C
Enhanced Indoor Air Quality Strategies, Option 1 D
Enhanced Indoor Air Quality Strategies, Option 1 E
Enhanced Indoor Air Quality Strategies, Option 2 B
Enhanced Indoor Air Quality Strategies, Option 2 E
Indoor Air Quality Assessment, Option 2, Air Testing (sampling must be representative of all occupied spaces)
Thermal Comfort (New Construction, Schools, Retail, Hospitality), design requirements
Acoustic Performance (New Construction, Data Centers, Warehouses and Distribution Centers, Hospitality)

regularly occupied space Thermal Comfort, design requirements (Data Centers)


Interior Lighting, Option 2, strategy A
Interior Lighting, Option 2, strategy D
Interior Lighting, Option 2, strategy E
Interior Lighting, Option 2, strategy G
Interior Lighting, Option 2, strategy H
Daylight
Quality Views

individual occupant Thermal Comfort, control requirements


space Interior Lighting, Option 1

shared multioccupant Thermal Comfort, control requirements


space Interior Lighting, Option 1
612

densely occupied space Enhanced Indoor Air Quality Strategies, Option 2 C

Table 2 outlines the relationship between the EQ credits and the space categorization terms specific to each rating
system (see Definitions). Unless otherwise stated, if the credit is listed, the space must meet the requirements of
the credit.
tablE 2. Rating systemspecific space classifications

rating system space type Prerequisite or credit

Minimum Acoustic Performance


schools Classroom and core learning spaces Acoustic Performance (Schools)

Interior Lighting*
hospitality Guest rooms Thermal Comfort, control requirements*

Thermal Comfort, control requirements


healthcare Patient rooms Interior Lighting, Option 2, Lighting Quality

healthcare Staff areas Interior Lighting, Option 2, Lighting Quality

Daylight
healthcare Perimeter area Quality Views

healthcare Inpatient units Quality Views

Thermal Comfort, design requirements


Warehouses &
Office areas Quality Views
distribution centers

Thermal Comfort, design requirements


Warehouses &
Areas of bulk storage, sorting, and distribution Quality Views
distribution centers

Thermal Comfort, control requirements


retail Office and administrative areas Interior Lighting, Option 2, Lighting Quality

retail Sales areas Interior Lighting, Option 2, Lighting Quality

*Hotel guest rooms are excluded from the credit requirements.

The following credits are not affected by space classifications:


Environmental Tobacco Smoke Control
Enhanced Indoor Air Quality Strategies, Option 1
A Enhanced Indoor Air Quality Strategies, Option 1
B
Enhanced Indoor Air Quality Strategies, Option 2 A
Enhanced Indoor Air Quality Strategies, Option 2 D (no specific spaces; applicable spaces are determined by
the project team)
Low-Emitting Materials
Construction Indoor Air Quality Management Plan
Indoor Air Quality Assessment, Option 1, Flush-Out (the floor area from all spaces must be included in
calculation for total air volume; the flush-out must be demonstrated at the system level.)
Interior Lighting, Option 2, strategy B
Interior Lighting, Option 2, strategy C
Interior Lighting, Option 2, strategy F
Acoustic Performance (Healthcare)
TriCky sPaCes
Pay extra attention to how the following types of spaces are classified in specific credits.

residential
Minimum Indoor Air Quality Performance and Environmental Tobacco Smoke have specific requirements and
considerations for residential projects.
See the Further Explanation, Project Type Variations sections in Thermal Comfort and
Interior Lighting for guidance on providing appropriate controllability in residential buildings. auditoriums
Exceptions to Daylight and Quality Views are permitted. See the Further Explanation, Project Type
Variations sections in Daylight and Quality Views.

Gymnasiums
See the Further Explanation, Project Type Variations section in Thermal Comfort for
guidance on dealing with high levels of physical activity.
Exceptions to Quality Views are permitted. See the Further Explanation, Project Type
Variations section in Quality Views.

Transportation Terminals
For Thermal Comfort and Interior Lighting, Option 1, Lighting Control, most of the areas in a transportation
terminal can be considered shared multioccupant. Most areas in transportation terminals are also regularly
occupied.

dormitories and Military barracks


These spaces fall in-between a work space and residence.
Dorm rooms or military barracks with personal workspaces are considered individual occupant spaces.
Military barracks without personal workspaces are considered shared multioccupant.

industrial facilities
For Thermal Comfort and Interior Lighting, Option 1, Lighting Control, most of the active warehouse and
storage areas are considered multioccupant.
Most areas in industrial facilities are also regularly occupied.
614
616

indoor environMenTal qualiTy PrerequisiTe

Minimum indoor air


Quality Performance
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to contribute to the comfort and well-being of building occupants by establishing


minimum standards for indoor air quality (iaQ).

requireMenTs
neW ConsTruCTion, Core and shell, sChools, reTail, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

Meet the requirements for both ventilation and monitoring.

ventilation

Mechanically ventilated spaces

oPTion 1. ashrae sTandard 62.12010

For mechanically ventilated spaces (and for mixed-mode systems when the mechanical ventilation is activated),
determine the minimum outdoor air intake flow for mechanical ventilation systems using the ventilation rate
procedure from ASHRAE 62.12010 or a local equivalent, whichever is more stringent.
Meet the minimum requirements of ASHRAE Standard 62.12010, Sections 47, Ventilation for Acceptable
Indoor Air Quality (with errata), or a local equivalent, whichever is more stringent.
oPTion 2. Cen sTandards en 152512007 and en 137792007

Projects outside the U.S. may instead meet the minimum outdoor air requirements of Annex B of Comit
Europen de Normalisation (CEN) Standard EN 152512007, Indoor environmental input parameters for design
and assessment of energy performance of buildings addressing indoor air quality, thermal environment, lighting
and acoustics; and meet the requirements of CEN Standard EN 137792007, Ventilation for nonresidential
buildings, Performance requirements for ventilation and room conditioning systems, excluding Section 7.3,
Thermal environment; 7.6, Acoustic environment; A.16; and A.17.

naturally ventilated spaces


For naturally ventilated spaces (and for mixed-mode systems when the mechanical ventilation is inactivated),
determine the minimum outdoor air opening and space configuration requirements using the natural ventilation
procedure from ASHRAE Standard 62.12010 or a local equivalent, whichever is more stringent. Confirm that
natural ventilation is an effective strategy for the project by following the flow diagram in the Chartered
Institution of Building Services Engineers (CIBSE) Applications Manual AM10, March 2005, Natural
Ventilation in Nondomestic Buildings, Figure 2.8, and meet the requirements of ASHRAE Standard 62.12010,
Section 4, or a local equivalent, whichever is more stringent.

all spaces
The indoor air quality procedure defined in ASHRAE Standard 62.12010 may not be used to comply with this
prerequisite.

Monitoring

Mechanically ventilated spaces


For mechanically ventilated spaces (and for mixed-mode systems when the mechanical ventilation is activated),
monitor outdoor air intake flow as follows:
For variable air volume systems, provide a direct outdoor airflow measurement device capable of measuring
the minimum outdoor air intake flow. This device must measure the minimum outdoor air intake flow with
an accuracy of +/10% of the design minimum outdoor airflow rate, as defined by the ventilation
requirements above. An alarm must indicate when the outdoor airflow value varies by 15% or more from the
outdoor airflow setpoint.
For constant-volume systems, balance outdoor airflow to the design minimum outdoor airflow rate defined
by ASHRAE Standard 62.12010 (with errata), or higher. Install a current transducer on the supply fan, an
airflow switch, or similar monitoring device.

naturally ventilated spaces


For naturally ventilated spaces (and for mixed-mode systems when the mechanical ventilation is inactivated),
comply with at least one of the following strategies.
Provide a direct exhaust airflow measurement device capable of measuring the exhaust airflow. This device
must measure the exhaust airflow with an accuracy of +/10% of the design minimum exhaust airflow rate.
An alarm must indicate when airflow values vary by 15% or more from the exhaust airflow setpoint.
Provide automatic indication devices on all natural ventilation openings intended to meet the minimum
opening requirements. An alarm must indicate when any one of the openings is closed during occupied
hours.
Monitor carbon dioxide (CO2 ) concentrations within each thermal zone. CO2 monitors must be between 3
and 6 feet (900 and 1 800 millimeters) above the floor and within the thermal zone. CO2 monitors must have
an audible or visual indicator or alert the building automation system if the sensed CO 2 concentration
exceeds the setpoint by more than 10%. Calculate appropriate CO 2 setpoints using the methods in ASHRAE
62.12010, Appendix C.
618

Core and shell only

Mechanical ventilation systems installed during core and shell construction must be capable of meeting
projected ventilation levels and monitoring based on the requirements of anticipated future tenants.

residenTial only

In addition to the requirements above, if the project building contains residential units, each dwelling unit must
meet all of the following requirements.
Unvented combustion appliances (e.g., decorative logs) are not allowed.
Carbon monoxide monitors must be installed on each floor of each unit.
All indoor fireplaces and woodstoves must have solid glass enclosures or doors that seal when closed.
Any indoor fireplaces and woodstoves that are not closed combustion or power-vented must pass a
backdraft potential test to ensure that depressurization of the combustion appliance zone is less than 5 Pa.
Space- and water-heating equipment that involves combustion must be designed and installed with closed
combustion (i.e., sealed supply air and exhaust ducting) or with power-vented exhaust, or located in a
detached utility building or open-air facility.
For projects in high-risk areas for radon, EPA Radon Zone 1 (or local equivalent for projects outside the
U.S.), design and construct any dwelling unit on levels one through four above grade with radon-
resistant construction techniques. Follow the techniques prescribed in EPA Building Radon Out; NFPA
5000, Chapter 49; International Residential Code, Appendix F; CABO, Appendix F; ASTM E1465; or a
local equivalent, whichever is most stringent.

healThCare

Meet the following requirements for both ventilation and monitoring.

Mechanically ventilated spaces


For mechanically ventilated spaces (and for mixed-mode systems when the mechanical ventilation is activated),
determine the minimum outdoor air intake flow for mechanical ventilations systems using the ventilation rates
in ASHRAE Standard 1702008, Section 7; the requirements of the 2010 FGI Guidelines for Design and
Construction of Health Care Facilities (Table 2.12); or a local equivalent, whichever is most stringent. For any
area not covered in 170 or the FGI guidelines, follow ASHRAE 62.1 or a local equivalent, whichever is more
stringent and meet the minimum requirements of ASHRAE Standard 1702008, Sections 68, Ventilation of
Health Care Facilities (with errata) or a USGBC-approved equivalent standard for projects outside the U.S.

naturally ventilated spaces


For naturally ventilated spaces (and for mixed-mode systems when the mechanical ventilation is inactivated),
determine the minimum outdoor air opening and space configuration requirements using the natural ventilation
procedure of ASHRAE Standard 62.12010 (with errata) or a local equivalent, whichever is more stringent.
Confirm that natural ventilation is an effective strategy for the project by following the flow diagram in Figure
2.8 of the Chartered Institution of Building Services Engineers (CIBSE) Applications Manual AM10, March
2005, Natural Ventilation in Nondomestic Buildings.
Mechanically ventilated spaces
For mechanically ventilated spaces (and for mixed-mode systems when the mechanical ventilation is activated),
provide a direct outdoor airflow measurement device capable of measuring the minimum outdoor air intake
flow. This device must measure the minimum outdoor air intake flow with an accuracy of +/10% of the design
minimum outdoor airflow rate defined by the ventilation requirements above. An alarm must alert staff
whenever the outdoor airflow value varies by 15% or more from the outdoor airflow setpoint.
619

naturally ventilated spaces


For naturally ventilated spaces (and for mixed-mode systems when the mechanical ventilation is inactivated),
comply with at least one of the following strategies.
Provide a direct exhaust airflow measurement device capable of measuring the exhaust airflow with an
accuracy of +/10% of the design minimum exhaust airflow rate. An alarm must indicate when airflow
values vary by 15% or more from the exhaust airflow setpoint.
Provide automatic indication devices on all natural ventilation openings intended to meet the minimum
opening requirements. An alarm must indicate when any one of the openings is closed during occupied
hours.
Monitor carbon dioxide (CO2 ) concentrations within each thermal zone. CO2 monitors must be between 3
and 6 feet (900 and 1 800 millimeters) above the floor and within the thermal zone. CO 2 monitors must
have an audible or visual indicator or alert the building automation system if the sensed CO 2 concentration
exceeds the setpoint by more than 10%. Calculate appropriate CO2 setpoints by using the methods in
ASHRAE 62.12010, Appendix C.
620

Behind the intent


By diluting pollutants created by a buildings occupants and other contaminant sources, ventilation contributes
to the occupants comfort and well-being. The exact connections between ventilation rates and occupants
health are still being researched, but a multidisciplinary scientific review of the current state of knowledge
shows some strong associations.1 Maintaining good indoor air quality (IAQ) depends on controlling pollutant
sources, removing contaminants from outdoor air, and supplying at least some outdoor air, among other factors.
The standards referenced in this prerequisite outline well-tested methods for determining the amount of outdoor
air each type of space requires. These standards were chosen because they strike a balance between providing
fresh air and maintaining energy efficiency.
Different kinds of occupants, activities, and equipment in a building will make for different IAQ
parameters, so requirements vary both by space type in a building and by project type. For example,
residential projects must meet additional prescriptive requirements that protect occupants from indoor
contaminants, such as combustion byproducts and radon, and health care facilities have more stringent
ventilation and space pressurization requirements to prevent cross-contamination.
Intelligent ventilation design is only the first step. Monitoring, as required by this prerequisite, helps
maintain IAQ during all stages of a buildings operation. Even though occupants may not notice reductions in
outdoor airflow or exhaust airflow, indoor air pollutants begin to build up the moment proper ventilation ceases.
The combination of intelligent ventilation design with monitoring provides confidence that occupants enjoy
comfort and well-being.

SteP-BY-SteP GUidAnCe

healthcare projects, see Further Explanation, Rating System Variations.

SteP 1. evAlUAte oUtdoor Air qUAlitY


Investigate local outdoor air quality at the project location. If pursuing Option 1 for mechanically ventilated spaces, or using
naturally ventilated spaces, follow ASHRAE 62.12010, Section 4, or a local equivalent, whichever is more stringent. If pursuing
Option 2 for mechanically ventilated spaces, see Comit Europen de Normalisation (CEN) Standard EN 137792007, Section
6.2.3, Outdoor Air.
Use the results of this analysis to inform ventilation strategy selection and system design. For example, natural ventilation may
not be appropriate in high-pollution areas, where outdoor air requires significant filtration. Outdoor air quality may affect
mechanical equipment filtration specifications.

SteP 2. SeleCt ventilAtion StrAteGY


Determine whether mechanical ventilation, natural ventilation, or a mixed-mode approach is appropriate for the project.
Consider how the buildings form, location, orientation, programming, and depth of the floor plate can create opportunities
for low-energy, high-quality natural ventilation or mixed-mode systems. For help in determining whether natural ventilation
is feasible for a building or space, see Chartered Institution of Building Services Engineers (CIBSE) Applications Manual
AM10, March 2005, Natural Ventilation in Non-Domestic Buildings, Figure 2.8 (flow chart).
ASHRAE Standard 62.12010 requires mechanical ventilation systems in addition to natural ventilation, unless specific
exceptions are met. See ASHRAE Standard 62.12010, Section 6.4.
If mechanical ventilation is preferred, consider separating ventilation from thermal conditioning with a dedicated outdoor air
system. These systems ensure that the correct amount of ventilation air is provided while minimizing overventilation and
reducing energy consumption.
Core and Shell, Healthcare, and residential projects: see Further Explanation, Rating System Variations and Project Type
Variations.

1. Sundell, Jan, Hal Levin, and Davor Novosel, Ventilation Rates and Health:
Report of an Interdisciplinary Review of the Scientific Literature (National
Center for Energy Management and Building Technologies Task 06-01,
September 2006),
621

ncembt.org/downloads/Sundell%20J_VentilationRatesAndHealthReportOfAnInterdisciplinaryReviewOfTheScientificLiterature_N
CEMBT-070914.pdf (accessed June 10, 2013).
sTeP 3. CaTeGoriZe sPaCes create a table of all rooms and spaces in the project and identify the following
for each: Ventilation strategy
net occupiable space, as defined in ashRaE standard 62.12010, page 4, or room floor area if using cEn standard 15251
occupancy category, as listed in ashRaE standard 62.12010, table 6-1 or cEn standard 15251, table B.2
if applicable, identify whether the building is very low polluting, low polluting, or not low polluting (see cEn standard 15251,
annex c).
Design occupancy (see Getting Started, Occupancy) it may be appropriate to group rooms or spaces into ventilation zones
(see Further Explanation, Types of Mechanical Ventilation Systems).

sTeP 4. idenTify aPProPriaTe PrerequisiTe requireMenTs


follow the steps below for mechanical ventilation or natural ventilation, depending on the ventilation strategy used in each
space.
for mixed-mode systems, projects must comply with mechanical ventilation requirements when the mechanical system is
active, and natural ventilation requirements when the mechanical ventilation system is inactive.

Mechanically ventilated spaces (and Mixed-Mode spaces When a Mechanical


ventilation is active)

sTeP 1. deTerMine PreliMinary hvaC sysTeM ConfiGuraTion


identify the following basic mechanical system features, which will affect the calculation of outdoor air required:
single-zone, 100% outdoor air, or multiple-zone systems
underfloor, overhead, or side air distribution and location of return grilles
supply air temperature: cooling only or heating and cooling Variable air
volume (VaV) or constant volume (cV) supply

sTeP 2. CalCulaTe required ouTdoor airfloW under oPTion 1


complete the ventilation rate procedure in ashRaE standard 62.12010, section 6.2, to determine the minimum amount of
outdoor air that must be supplied by each ventilation system.
complete a separate ventilation rate procedure calculation for each ventilation system.
account for all occupied spaces in the calculation. Perform ventilation rate procedure calculations for worst-case conditions,
which typically occur in the heating mode when supply airflows are lowest or supply air temperature is highest. from table
6-2 of the standard, select the zone air distribution effectiveness (Ez) value that corresponds to the air distribution
configuration of the worst-case conditions. Ez is typically less than 1.0 when the system is in heating mode. if Ez is greater
than 1.0, see Ea Prerequisite Minimum Energy Performance, Further Explanation, Common Issues with Energy Modeling,
Ventilation (zone air distribution effectiveness).
as applicable, evaluate and document assumptions for all variables required for the ventilation rate procedure calculation.
these variables include the percentage of total design airflow rate at condition analyzed (Ds), the primary air fraction of
supply air at condition analyzed (Ep), the system ventilation efficiency (Ev), and the fraction of local recirculated air that is
representative of system return air (Er).
for special conditions that apply to systems designed to respond to varying operating conditions, such as with demand-
controlled ventilation, see Further Explanation, Considerations for Variable Operating Conditions.
Ensure that the appropriate method is selected for each system in the project. the ventilation rate procedure calculation differs
for single-zone, 100% outdoor air, and multiple-zone systems. suggested methods are as follows:
for single-zone systems or 100% outdoor air systems, use the calculator provided by usGBc or a user-generated spreadsheet.
the 62MZcalc spreadsheet is not applicable to these systems and should not be used to perform the ventilation calculations.
for multiple-zone systems, use the 62MZcalc spreadsheet. this includes VaV and cV systems in which one or more air handlers
supply a mixture of outdoor air and recirculated air to more than one ventilation zone (see Further Explanation, Calculations
for Multiple-Zone Systems).
Energy modeling software may also be used to perform ventilation rate procedure calculations for all three system types.
Direct outputs from the programs are acceptable, provided they include sufficient information about the values used for all
variables in the calculation.
if the local code is more stringent than ashRaE 62.12010, see Further Explanation, Local Equivalent to ASHRAE 62.12010.
622

alTernaTive sTeP 2. CalCulaTe required ouTdoor airfloW under oPTion 2 follow the calculations outlined in cEn
standard 152512007, annex B, to determine the minimum amount of outdoor air that must be supplied by each
ventilation system.

sTeP 3. revise desiGn To MeeT ouTdoor air requireMenTs, if neCessary


if the ventilation calculations in step 2 indicate that the preliminary design does not provide enough outdoor air to meet the
selected reference standard, revise the design and recalculate the minimum amount of outdoor air to confirm compliance.
for single-zone and 100% outdoor air systems, increase the amount of outdoor air supplied by the system. for multiple-zone
systems, increase supply airflow to the critical zone or increase the amount of outdoor air supplied by the system.
in the final calculations, ensure that the net occupiable space, design occupancy, number of air handlers, and outdoor air
volume are consistent with the projects mechanical schedules and documentation provided for other LEED credits. create a
summary table that lists the required outdoor air intake flow and design outdoor air intake flow for each ventilation system.

sTeP 4. MeeT MiniMuM requireMenTs option 1. ashrae

standard 62.12010

confirm compliance with sections 4 through 7.


indicate whether the project is in a nonattainment area for fine particulate matter (PM2.5), and if so, confirm that filters
with minimum efficiency reporting values (MERV) of 11 or higher have been or will be installed.
indicate whether the project is in an area where ozone exceeds the most recent three-year average, annual fourth-highest
daily maximum eight-hour average ozone concentration of 0.107 ppm, and if so, confirm that the project has or will have
air-cleaning devices for ozone.
if using a local code instead of ashRaE 62.12010, see Further Explanation, Local Equivalent to ASHRAE 62.12010.

option 2. Cen standards en 152512007 and en 137792007


confirm compliance with the requirements in cEn standard 137702007, excluding section 7.3 thermal environment, 7.6
acoustic environment, a.16, and a.17.

sTeP 5. iMPleMenT airfloW MoniTorinG


incorporate airflow monitoring equipment into the hVac system design. the technique for monitoring outdoor air depends on
the hVac system. for VaV systemsfor example, a 100% outdoor air energy recovery unit with demand-controlled ventilation,
or any system that provides a variable amount of supply or outdoor aira direct outdoor airflow measurement device must
measure the intake flow rate (figure 1).
indirect measurements, such temperature or current transducers, cannot directly measure the airflow rate and thus are not
allowed for VaV systems.
if a 100% outdoor air system provides ventilation air to the return of downstream terminal devices (e.g., fan coil units, heat
pumps), the measurement device needs to measure the outdoor airflow rate at the 100% outdoor air unit only, not at each
terminal device. the ventilation rate procedure must still be calculated for each terminal device.
for device requirements, see the specific language in the prerequisite requirements.
623
624

for constant volume systems, balancing ensures that the correct amount of outdoor air is being supplied to the building.
once the system has been balanced, a current transducer on the supply fan, airflow switch, pressure transducer, or similar
monitoring device must be installed.
if a 100% outdoor air system provides ventilation air to the return of downstream terminal devices (e.g., fan coil units, heat
pumps), the measurement device needs to be installed at the 100% outdoor air system only, not at each terminal device.
the ventilation rate procedure must still be calculated to each terminal device.
for all systems, retain equipment cut sheets showing the accuracy of the monitoring device(s), copies of control sequences and
diagrams, and test and balance reports that show airflow setpoints for each ventilation system.

naturally ventilated spaces (and Mixed-Mode systems When Mechanical ventilation is


inactivated)

sTeP 1. ConfirM naTural venTilaTion effeCTiveness


use chartered institution of Building services Engineers (ciBsE) applications Manual aM10, natural Ventilation in non-Domestic
Buildings, figure 2.8 (flow chart), to confirm that natural ventilation is appropriate. Retain a copy of the flow chart path for the
project.

sTeP 2. idenTify CeilinG heiGhTs and naTural venTilaTion oPeninGs


collect the following information for each naturally ventilated space and add to the table of rooms and spaces:
Minimum ceiling height in the space
Location of natural ventilation openings (on one side, two opposite sides, or two adjacent sides) size of the natural
ventilation openings (openable area)

sTeP 3. PerforM naTural venTilaTion ProCedure


use the natural ventilation procedure in ashRaE 62.12010, section 6.4, to determine the size of openings required in each
space and the maximum distance from the openings that can be considered naturally ventilated.
compare the calculation results with the design and revise, if necessary, to ensure that all spaces meet the requirements of
the standard.
if the project includes an engineered natural ventilation system approved by the authority having jurisdiction, the
requirements of section 6.4 do not apply (see Further Explanation, Authority Having Jurisdiction Exception).
confirm compliance with the exhaust ventilation requirements of ashRaE standard 62.12010, section 6.5.

sTeP 4. ConfirM MeChaniCal sysTeM exCePTion or CoMPlianCe


if the project qualifies for an exception to the mechanical ventilation requirement in ashRaE 62.12010, section 6.4, prepare an
explanatory narrative.
if the project does not qualify for exception, follow the step-by-step instructions for mechanical ventilation systems to
demonstrate compliance with ashRaE 62.12010 when mechanical ventilation is active (see Further Explanation, Natural
Ventilation Exceptions).

sTeP 5. iMPleMenT MoniTorinG sysTeM


incorporate airflow monitoring equipment into the natural ventilation system design through one of the following three
monitoring strategies.
614 direct exhaust airflow measurement device
incorporate exhaust airflow monitoring equipment that has an accuracy of +/10% of the design minimum exhaust airflow rate.
naturally ventilated systems induce passive air movement from openings to the point of exhaust, requiring that airflow
measurement devices be placed at the exhaust location.
configure the exhaust airflow monitoring equipment to generate an alarm when airflow values vary by 15% or more from the
exhaust airflow setpoint.
Retain equipment cutsheets for the monitors, plans indicating sensor locations, and copies of control sequences and diagrams.
alarmed openings for naturally ventilated spaces
identify all windows, louvers, and trickle vents used for natural ventilation.
Each opening counted as a natural ventilation intake for this prerequisite must have an alarm under this strategy. for example,
an office with two windows intended to provide natural ventilation must have alarms installed on both windows. however, if
only one window is counted as a natural ventilation intake, only one window is required to have an alarm.

Carbon dioxide (Co2) monitors


install a co2 sensor in each thermal zone.
co2 sensors must be located in the breathing zone, as defined in the prerequisite requirements (figure 2). co2 sensors installed
in return air ducts cannot be used to meet the requirements.
Determine co2 concentration setpoint(s) using the methods in ashRaE 62.12010, appendix c. see ASHRAE 62.12010 Users Manual,
Appendix A, for calculations and examples. configure the co2 monitoring system to generate an audible or visual alarm to the
system operator if the differential co2 concentration exceeds the setpoint by more than 10%.
626
627
628

For mechanical ventilation, Option 1, see ASHRAE 62.12010, Section 6.2, and ASHRAE 62.12010 Users
Manual, Chapter 6.2. Refer to ASHRAE Journal articles 2 for additional information on the calculations.

For mechanical ventilation, Option 2, see CEN Standards EN 152512007 and EN 137792007.

For natural ventilation, see ASHRAE 62.12010, Section 6.4, and ASHRAE 62.12010 Users Manual, Chapter
6.4.

naTural venTilaTion exCePTions


ASHRAE Standard 62.12010, Section 6.4, requires naturally ventilated spaces to include a mechanical
ventilation system unless one of the following exceptions applies:
Ventilation openings comply with Section 6.4 and are permanently open.
Ventilation openings comply with Section 6.4 and have controls that prevent them from being closed during
times of expected occupancy.
The naturally ventilated zone is not served by heating or cooling equipment.
The system is an engineered natural ventilation system approved by the authority having jurisdiction (see
Further Explanation, Authority Having Jurisdiction Exception).

TyPes of MeChaniCal venTilaTion sysTeMs


ASHRAE 62.12010 defines a ventilation zone as any area with similar occupancy categories, occupant
density, zone air distribution effectiveness, and zone primary airflow per unit area. This differs from the
definition of a thermal zone.

There are three main types of mechanical ventilation systems.

Single-zone system
This system delivers a mixture of outdoor air and recirculated air to only one ventilation zone. For example, a
single rooftop unit that provides ventilation and conditioned air to three separate offices may be considered a
single-zone system, provided the offices are similar, as defined above.
Alternatively, a single rooftop unit that provides ventilation and conditioned air to an office and a conference
room would not be considered a single-zone system, since these two spaces differ in occupancy category and
occupant density, even though the unit itself is often considered single-zone because it only has one thermal
zone.
In this case, the unit must be analyzed using the method for multiple-zone recirculating systems.
A separate ventilation rate procedure calculation must be made for each single-zone system serving the
building.

100% outdoor air system


This type of system delivers only outdoor air directly to one or more ventilation zones. The ventilation air cannot
contain any recirculated air. For example, an energy recovery unit that provides 100% outdoor ventilation air to
each space via a separate distribution system and mixes this air with air from only the same zone would be
considered a 100% outdoor air system.
Alternatively, an energy recovery unit that provides 100% outdoor ventilation air to zone-level fan coil units
that mix outdoor air with return air from other ventilation zones before delivering it to the space would not be
considered a 100% outdoor air system. In this case, each fan coil unit must be analyzed as either a single-zone or
a multiple-zone recirculating system.
A separate ventilation rate procedure calculation must be made for each 100% outdoor air system serving the
building.
629
2. Stanke, Dennis, Single-Zone & Dedicated-OA Systems, ASHRAE Journal (October 2004);
Single-Path Multiple-Zone System Design, ASHRAE Journal (January 2005); Designing
Dual-Path Multiple-Zone Systems, ASHRAE Journal (May 2005).
Multiple-zone recirculating system
This type of system delivers a mixture of outdoor air and recirculated air to more than one ventilation zone.
Typical examples include a constant volume rooftop unit that serves more than one ventilation zone or a VAV
system that serves an entire building.
A separate ventilation rate procedure calculation must be made for each multiple-zone recirculating system
serving the building (see Further Explanation, Calculations for Multiple-Zone
Recirculating Systems).

CalCulaTions for MulTiPle-Zone reCirCulaTinG sysTeMs


Because of the complexity of the calculations for multiple-zone recirculating systems, project teams must use the
62MZCalc spreadsheet, or energy modeling software to perform the ventilation rate procedure calculations and
determine the amount of outdoor air required at the system level.

System ventilation efficiency


Multiple-zone system calculations need to account for the inefficiency that occurs when the zones have different
ratios of outdoor ventilation air to supply the air required for thermal conditioning. The calculations account for
this through system ventilation efficiency (Ev) and by determining the critical zone.
The critical zone is the zone with the highest proportion of required outdoor air to provided supply air.
Critical zones are often densely occupied spaces, such as conference rooms. When all zones are entered into the
62MZCalc spreadsheet, the critical zone for the system is determined automatically.
For large projects, it may not be feasible to enter each individual zone into the 62MZCalc spreadsheet. In
these cases, the mechanical engineer can determine the outdoor air required for the system simply by identifying
the potentially critical zone(s). For a detailed discussion of identifying critical zones, see ASHRAE Standard
62.12010, Appendix AA3.1, Selecting Zones for Calculation, and ASHRAE 62.12010 Users Manual,
Example 6-L.

Diversity factor
Alternatively, the multiple-zone system calculations may include a diversity factor to account for the movement
of occupants between spaces, per ASHRAE Standard 62.12010, Section 6.2.5.3.1. For example, in a school, it
is reasonable to assume that not all rooms are occupied simultaneously, because students and staff would not be
in a classroom if they are eating lunch in the cafeteria. In this case, diversity can be applied, provided the
classroom and cafeteria are served by the same ventilation system.
Diversity may not be applied to either single-zone or 100% outdoor air systems. If applying diversity, all
calculations and assumptions must be included with the documentation.
If preliminary calculations indicate that a multiple-zone system does not comply with ASHRAE 62.12010
outdoor air requirements, consider the following before increasing outdoor air at the air-handling unit(s):
Increase the amount of supply air (e.g., zone primary airflow, Vpz) to the critical zone. This has the effect
of decreasing the primary outdoor air fraction, Zpz, which will increase system efficiency and reduce the
total amount of outdoor air required.
For systems with VAV terminal units, increase the minimum terminal unit flow rate setting for the
critical zone. This has the same effect described above.

ConsideraTions for variable oPeraTinG CondiTions


ASHRAE 62.12010 permits ventilation systems to reflect or respond to changes in zone occupancy in two ways,
time-average population and dynamic reset. These two strategies cannot be applied simultaneously, however.

Time-average population. In spaces where peak occupancy occurs over only a short period, a time-average
design population may be used, per ASHRAE 62.12010, Section 6.2.6.2 (see ASHRAE 62.12010 Users
Manual, Examples 6-W, 6-X, 6-Y, 6-Z, and 6-AA). Project teams must include all calculations and assumptions
used when submitting the ventilation rate procedure calculations for time-average population.

Dynamic reset. The system varies the flow of outdoor air as operating conditions change, thereby reducing the
amount of energy needed to condition outdoor air. Demand-controlled ventilation is one of the most common
630
reset strategies. Refer to ASHRAE 62.12010, Section 6.2.7, for dynamic reset requirements, some of which
include the following:
A minimum level of outdoor, based on the area outdoor air rate, must be provided to each ventilation zone
at all times when dynamic reset is implemented. Refer to the ASHRAE standards Section 6.2.7.1.2.
The ventilation system must be controlled to provide the required amount of outdoor air in each zone, based
on current occupancy. For a multiple-zone recirculating system, a single CO2 sensor mounted in the return
duct does not meet the requirements of ASHRAE 62.12010, since it does not guarantee that the
appropriate amount of outdoor air will be provided to the critical zones. Refer to ASHRAE 62.12010
Users Manual, Appendix A, and the ASHRAE Journal3 for demand-controlled ventilation approaches for
multiple-zone systems and for CO2 setpoint calculations.

loCal equivalenT To ashrae sTandard 62.12010


If local code is more stringent than ASHRAE 62.12010 for the system design, use the local code.

For mechanically ventilated spaces, prepare the following documentation:


A detailed summary comparing the two standards requirements
A comparison demonstrating that outdoor air requirements established by the local code for occupants and
for floor area are at least as stringent as the ASHRAE standard
Evidence that the local code incorporates the zone- and system-level efficiency of the ventilation systems in
an equivalent or more stringent way than the ASHRAE ventilation rate procedure

For naturally ventilated spaces, prepare the following documentation:


A detailed summary comparing the two standards requirements for fenestration opening area, distance
from window, and ceiling height
A description of the engineered ventilation modeling approach, and documentation of approval by the local
code authority

auThoriTy havinG jurisdiCTion exCePTion


In some situations, compliance with this prerequisite is acceptable through an authority having jurisdiction
exception. With this exception, the local code authority (the authority having jurisdiction) approves the plans and
specifications used for the buildings engineered natural ventilation approach. There are three possible situations
for this exception: (1) the local code is ASHRAE Standard 62.12010, (2) the ventilation code governing the
project is any code other than ASHRAE Standard 62.12010, and (3) USGBC is serving as the authority having
jurisdiction for the purposes of LEED certification.

If USGBC is the authority having jurisdiction, a ventilation strategy that meets the intent of ASHRAE 62.12010
but does not meet the requirements of the ventilation rate procedure may be approved. It is highly recommended
that project teams contact USGBC for approval of the engineered natural ventilation approach as early as
possible, rather than waiting until the system has been fully designed.

If the local code is ASHRAE Standard 62.12010, provide the following documentation:
Evidence that ASHRAE Standard 62.12010 (or a later version) is required for local building code
compliance
A description of the engineered ventilation modeling approach
Documentation of plan approval by the local code authority

If the ventilation code governing the project is other than ASHRAE Standard 62.12010, provide the following:
Evidence that the alternate code is at least as stringent as ASHRAE 62.12010 in its entirety (see
Further Explanation, Local Equivalent to ASHRAE Standard 62.12010).
A description of the engineered ventilation modeling approach
Documentation of plan approval by the local code authority

If USGBC is serving as the authority having jurisdiction for the purposes of LEED certification, provide the
following:
631
3. Stanke, Dennis, Dynamic Reset for Multiple-Zone Systems,
ASHRAE Journal (March 2010).
A description of the engineered ventilation modeling approach
Drawings and calculations or airflow analyses
Evidence that the projects engineered natural ventilation system meets the intent of ASHRAE 62.12010.
This documentation must clearly identify how the project does not meet the standards natural ventilation
requirements, and how the ventilation design has been engineered to meet the intent of the standard.

oCCuPied versus oCCuPiable


ASHRAE Standard 62.12010 requires occupiable spaces to be ventilated. For consistency with other
LEED credits, this prerequisite uses the term occupied. Spaces classified as occupiable per Standard 62 are
considered occupied for the purposes of LEED certification (see Definitions).

exaMPles
For mechanical ventilation, see ASHRAE 62.12010 Users Manual, Examples 6-F through 6-V.

For natural ventilation, see ASHRAE 62.12010 Users Manual, Examples 6-AC through 6-AF.

raTinG sysTeM variaTions


Core and Shell
If the scope of the core-and-shell project includes mechanical systems, the project team must comply with both
the ventilation and monitoring requirements. Make reasonable assumptions about the distribution of spaces and
ensure that air handlers are capable of providing enough outdoor air for anticipated occupants and space types.
For example, a typical buildout by an office tenant will include office spaces, corridors, and conference rooms.
If these spaces are all served by the air handling unit, the system-level outdoor air must be sufficient to meet the
outdoor air requirements of all three space types. If the occupancy is unknown, see Getting Started,
Occupancy.
If the scope of the core-and-shell project does not include mechanical systems, the project is exempt from the
ventilation and monitoring requirements. See EQ Overview.

Healthcare
Review Steps 13 in Step-by-Step Guidance. For mechanically ventilated spaces and mixed-mode spaces
when mechanical ventilation is active, evaluate whether the spaces are ventilated according to ASHRAE
Standard 170 2008, Section 7; the 2010 Facility Guidelines Institute (FGI) Guidelines for Design and
Construction of Health Care Facilities (Table 2.12); or a local equivalent, whichever is most stringent. For any
space type not covered by these standards, use ASHRAE Standard 62.12010 or a local equivalent, whichever is
more stringent, and follow Steps 2, 3, and 5 in Step-by-Step Guidance for mechanically ventilated spaces
and mixed-mode spaces when mechanical ventilation is active. Ensure that the design meets the minimum
requirements of ASHRAE Standard 1702008, Sections 68, or a local equivalent, whichever is more stringent.
For naturally ventilated spaces, follow Step-by-Step Guidance for naturally ventilated spaces and
mixed-mode systems when mechanical ventilation is inactivated.

Data Centers
All occupied spaces in data centers, including offices and control rooms, must meet ventilation requirements.

Warehouses and Distribution Centers


Both warehouses and distribution centers (e.g., shipping and receiving) are listed as an occupancy category in
Table 6-1 of ASHRAE 62.12010. Therefore, these spaces must meet either the mechanical or natural
ventilation requirements. If ventilation cannot be provided to these spaces due to extenuating circumstances,
contact USGBC.

ProjeCT TyPe variaTions


Residential
Residential projects and units must comply with the ventilation requirements outlined above as well as all
requirements for combustion appliances and radon-resistance listed in the residential only credit language in the
632
rating system. Gas ranges must have hoods that exhaust air directly to the outdoors. No pressure testing is
required if closed-combustion or power-vented fireplaces and stoves are used.
To minimize the infiltration and concentration of radon gas, the National Building Code, NFPA 5000, Chapter
49 has incorporated several building techniques, including sealing, home pressurization, soil depressurization,
and ventilation.
Provide outdoor air to each unit directly from the outdoors. Project teams using exhaust ventilation systems
must specify how outdoor air is delivered at the flow rate required by ASHRAE 62.12010. Do not use systems
that rely on transfer air from pressurized hallways or corridors, adjacent dwelling units, attics, or elsewhere.

Apparatus Bays in Fire Stations


Typically, these spaces are not designed for human occupancy and would not be required to meet the prerequisite
requirements. If these spaces will be occupied, however, then they must be ventilated according to the applicable
reference standard for this prerequisite.

Vehicle Repair Facilities and Maintenance Bays


These space types include military buildings where trucks, tanks, aircraft, and other vehicles are being serviced.
Because these are occupied spaces, they must meet the prerequisite requirements.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project must pursue the prerequisite individually.

required doCuMenTaTion
new construction, core and shell, schools, retail, data centers, Warehouses and distribution centers, hospitality

naturally
option 1 option 2 ventilated Mixed Mode
documentation

Confirmation that project meets minimum requirements of


ASHRAE 62.12010, Sections 47, or CEN Standard 137792007 X X X

Confirmation that project has MERV 11 or higher filters (if


X X X
project is in nonattainment area for PM2.5)
Ventilation rate procedure or CEN calculations and documentation
X X X
of assumptions for calculation variables
Confirmation that project meets minimum requirements of
ASHRAE Standard 62.12010, Section 7, and exhaust ventilation
X X
requirements of Section 6.5

Documentation of CIBSE flow diagram process for project X X

Natural ventilation procedure calculations and ventilation


X X
opening information
Any natural ventilation exception from mechanical ventilation
X X
system (ASHRAE 62.12010, Section 6.4)
Any exception from authority having jurisdiction X X

Controls drawing showing monitoring devices (outdoor airflow


X X X X
measuring device, current transducer, airflow switch, or similar
monitor, automatic indication device, CO2 sensor)
633
healthcare

Mechanically naturally
documentation ventilated ventilated Mixed mode

Confirmation that project meets minimum requirements of ASHRAE Standard 170-


2008, Sections 6-8 X X

If applicable, air balance summary table to demonstrate that the minimum OA


changes, min total air changes, and space pressurization relationships provided are X X
consistent with the FGI or ASHRAE Standard 170

If applicable, ventilation rate procedure calculations and documentation of


assumptions for calculation variables X X

Documentation of CIBSE flow diagram process for project X X

Natural ventilation procedure calculations and ventilation opening information X X

Any natural ventilation exception from mechanical ventilation system (ASHRAE


62.12010, Section 6.4) X X

Any exception from authority having jurisdiction X X

Controls drawing showing monitoring devices (outdoor airflow measuring device,


current transducer, airflow switch, or similar monitor, automatic indication device, X X X
CO2 sensor)

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance. Outdoor air can increase the amount of energy needed to
heat and cool the building. Dynamic reset, such as demand-controlled ventilation, can reduce energy use.

EQ Credit Enhanced Indoor Air Quality Strategies. Airflow monitoring and increased ventilation addressed
by this prerequisite will assist in earning the related credit.

EQ Credit Indoor Air Quality Assessment. The buildings minimum outdoor air ventilation rate may affect the
duration of the flush-out required for Option 2, Occupied Flush-Out, of the related credit.

ChanGes froM leed 2009


ASHRAE Standard 62.1 has been updated to version 2010 from version 2007.
ASHRAE 62.12010 natural ventilation calculations now consider window configuration and ceiling
height.
ASHRAE 62.12010 now requires supplementary mechanical ventilation systems for naturally ventilated
spaces in some cases.
Project teams are required to confirm the appropriate application of natural ventilation through CIBSE
AM10, Figure 2.8 (flow chart).
Projects outside the U.S. are now allowed to demonstrate achievement via CEN requirements (rather than
ASHRAE 62.12010).
This prerequisite now includes the monitoring requirements previously included in Indoor Environmental
Quality Credit 1, Outdoor Air Delivery Monitoring. Additionally, the monitoring requirements now
distinguish between variable air volume and constant volume systems.
This prerequisite now includes specific requirements for residential projects. These requirements are mostly
taken from LEED for Homes, Indoor Environmental Quality Credit 2, Combustion Venting.
634

referenCed sTandards
ASHRAE 62.12010: ashrae.org

ASHRAE Standard 1702008: ashrae.org

2010 FGI Guidelines for Design and Construction of Health Care Facilities: fgiguidelines.org

CEN Standard EN 152512007: cen.eu

CEN Standard EN 137792007: cen.eu

CIBSE Applications Manual AM10, March 2005: cibse.org

exeMPlary PerforManCe
Not available.

definiTions
occupiable space an enclosed space intended for human activities, excluding those spaces that are intended
primarily for other purposes, such as storage rooms and equipment rooms, and that are occupied only
occasionally and for short periods of time (ASHRAE 62.12010)

occupied space an enclosed space intended for human activities, excluding those spaces that are intended
primarily for other purposes, such as storage rooms and equipment rooms, and that are only occupied
occasionally and for short periods of time. Occupied spaces are further classified as regularly occupied or
nonregularly occupied spaces based on the duration of the occupancy, individual or multioccupant based on the
quantity of occupants, and densely or nondensely occupied spaces based on the concentration of occupants in the
space.

unoccupied space an area designed for equipment, machinery, or storage rather than for human activities. An
equipment area is considered unoccupied only if retrieval of equipment is occasional.
indoor environMenTal qualiTy PrerequisiTe

Environmental tobacco
smoke control
this prerequisite applies to:
new Construction data Centers
Core and shell Warehouses and distribution Centers
schools hospitality retail healthcare

inTenT

to prevent or minimize exposure of building occupants, indoor surfaces, and ventilation air
distribution systems to environmental tobacco smoke.

requireMenTs
neW ConsTruCTion, Core and shell, reTail, daTa CenTers,
Warehouses and disTribuTion CenTers, hosPiTaliTy, healThCare

Prohibit smoking inside the building.


Prohibit smoking outside the building except in designated smoking areas located at least 25 feet (7.5 meters)
from all entries, outdoor air intakes, and operable windows. Also prohibit smoking outside the property line in
spaces used for business purposes.
If the requirement to prohibit smoking within 25 feet (7.5 meters) cannot be implemented because of code,
provide documentation of these regulations.
Signage must be posted within 10 feet (3 meters) of all building entrances indicating the no-smoking policy.
residenTial only oPTion 1. no sMokinG

Meet the requirements above.

or oPTion 2. CoMParTMenTaliZaTion of sMokinG areas

Prohibit smoking inside all common areas of the building. The prohibition must be communicated in building
rental or lease agreements or condo or coop association covenants and restrictions. Make provisions for
enforcement.
Prohibit smoking outside the building except in designated smoking areas located at least 25 feet (7.5 meters)
from all entries, outdoor air intakes, and operable windows. The no-smoking policy also applies to spaces outside
the property line used for business purposes.
If the requirement to prohibit smoking within 25 feet (7.5 meters) cannot be implemented because of code,
provide documentation of these regulations.
636

Signage must be posted within 10 feet (3 meters) of all building entrances indicating the no-smoking policy.

Each unit must be compartmentalized to prevent excessive leakage between units:


Weather-strip all exterior doors and operable windows in the residential units to minimize leakage from
outdoors.
Weather-strip all doors leading from residential units into common hallways.
Minimize uncontrolled pathways for the transfer of smoke and other indoor air pollutants between
residential units by sealing penetrations in the walls, ceilings, and floors and by sealing vertical chases
(including utility chases, garbage chutes, mail drops, and elevator shafts) adjacent to the units.
Demonstrate a maximum leakage of 0.23 cubic feet per minute per square foot (1.17 liters per second per
square meter) at 50 Pa of enclosure (i.e., all surfaces enclosing the apartment, including exterior and party
walls, floors, and ceilings).

sChools

Prohibit smoking on site.


Signage must be posted at the property line indicating the no-smoking policy.
637

behind The inTenT


Tobacco use kills more than five million people worldwide every year.1 Smoking also puts nonsmokers at risk by
exposing them to environmental tobacco smoke (ETS), often called secondhand smoke. In 2006, nearly half of all
nonsmoking Americans were regularly exposed to secondhand smoke. 2 ETS exposure at home or in the workplace
increases nonsmokers risk of developing lung cancer, heart disease, and other serious health problems. 3
Prohibiting indoor smoking is the only way to fully eliminate the health risks associated with ETS. 4 For this
reason, designated indoor smoking rooms are not allowed in LEED-certified buildings. Only residential projects
are excepted, because of legal ownership issues. The prerequisite also prohibits smoking in outdoor areas used for
business purposes. A business that uses a public sidewalk or courtyard for seating or kiosks still maintains control
over those areas, even though they are typically outside the property boundary line. They are included under this
prerequisite because the business owner still has control over the smoking policy in these areas.
Restricting the introduction of ETS into the building interior not only benefits human health, it also improves the
longevity of building surfaces, air distribution systems, furniture, and furnishings when compared with those in
buildings that allow smoking.5

sTeP-by-sTeP GuidanCe

sTeP 1. deTerMine sMoke-free loCaTions


obtain confirmation from the owner that smoking is prohibited inside the building. Residential projects may allow smoking in
specific units, with specific requirements for ensuring that those units are adequately isolated (see Further Explanation, Project Type
Variations).
identify the location of building openings, including entries, outdoor air intakes, and operable windows. identify the property line
and the location of outdoor areas used for business purposes, both inside and outside the property line. indicate these elements
on a site plan, map, or sketch.
Emergency exits do not qualify as building openings if the doors are alarmed, because alarmed doors will not be opened. Emergency
exits without alarms qualify as building openings. sTeP 2. desiGnaTe loCaTions of exTerior sMokinG areas
Determine whether the project has or will have designated outdoor smoking areas. Locate any area designated for smoking at least
25 feet (7.5 meters) from smoke-free areas, based on the information gathered in step 1. the 25-foot (7.5-meter) distance is a
straight-line calculation.
consider design strategies that may encourage people to use the designated smoking area, such as covered seating.
Educate occupants on the smoking policy and encourage them to self-police. this is particularly important in retail situations.
ashtrays signal that smoking is allowed in a particular area. Be sure these are placed outside the 25foot (7.5-meter) perimeter.

sTeP 3. ConfirM ThaT sMokinG is ProhibiTed in nondesiGnaTed areas


Provide confirmation from the owner that smoking outside designated areas is prohibited in any space used by the building for
business purposes, even if the space falls outside the property line. Examples of spaces used for business purposes include sidewalk
seating, kiosks, and courtyards.
smoking must be prohibited in areas within 25 feet (7.5 meters) from building openings.

1. World Health Organization, WHO Report on the Global Tobacco Smoke Epidemic
(Geneva, Switzerland, 2009), who.int/tobacco/mpower/2009/gtcr_ download/en/index.html (accessed June
10, 2013).
2. U.S. Department of Health and Human Services, The Health Consequences of
Involuntary Exposure to Tobacco Smoke: A Report of the Surgeon General
(Atlanta, Georgia, 2006). surgeongeneral.gov/library/reports/secondhandsmoke/report-index.html (accessed June
10, 2013).
3. Ibid.
4. Ibid.
5. Mudarri, D.H., The Costs and Benefits of Smoking Restrictions: An
Assessment of the Smoke-Free Environment Act of 1993 (H.R.3434)
(Washington, DC: Environmental Protection Agency, Office of Radiation and Indoor
Air, Indoor Air Division, 1994), tobaccodocuments.org/landman/89268337-8360.html (accessed June
10, 2013).
638

if smoking cannot be prohibited for the full 25-foot (7.5-meter) distance because of code restrictions, provide documentation
of the regulation (see Further Explanation, Code Limitations and Restrictions).
smoking in the prohibited area is not allowed, even when the 25-foot (7.5-meter) distance extends beyond the property
line. the boundary of the space for business purposes, other than a building opening, indicates the end of a nonsmoking area (see
Further Explanation, Property Line LessThan 25 Feet from the Building).

sTeP 4. deTerMine loCaTions of no- sMokinG siGnaGe


Post signage within 10 feet (3 meters) of all building entrances indicating that smoking is not allowed.
school projects must post signage at the property line adjacent to all pedestrian and vehicular entrances indicating the no-
smoking policy for the school site.
Language on the signage is up to the project team. two examples of successful language include
no smoking allowed within 25 feet and smoking is allowed in designated smoking areas only. it may be helpful to
stripe sidewalks to show the no-smoking boundary.

furTher exPlanaTion

ProPerTy line less Than 25 feeT (7.5 MeTers) froM The buildinG
Projects with a property line less than 25 feet (7.5 meters) from the building must consider space usage when
determining the outdoor smoking policy. The no-smoking requirement still applies to spaces outside the property
line used for business purposes. Public sidewalks are not considered used for business purposes, but smoking must
still be prohibited on sidewalks within 25 feet (7.5 meters) of openings. Building staff should be educated about this
policy so that they can direct smokers to designated smoking areas and away from entrances or windows.
Examples of common business activities that would require the smoking prohibition include outdoor seating,
outdoor stadium areas, courtyards, and banking kiosks.
FigurE 1. Example site plan with no smoking areas
639

Code

liMiTaTions and resTriCTions


Many local governments ban smoking in the workplace and in public spaces. These regulations do not always meet
the 25-foot (7.5-meter) distance for exterior smoking required by this prerequisite. In most cases, LEED projects can
extend the smoking ban to the required 25 feet (7.5 meters), regardless of existing code. However, if existing code
explicitly prohibits this, building owners may still achieve the prerequisite by providing documentation of the code.
640

raTinG sysTeM variaTions


Healthcare
The residential-only Option 2 Compartmentalization of Smoking Areas is available to Healthcare projects that have
a clinical need to permit residents to smoke.

ProjeCT TyPe variaTions


Multitenant
Owners and property management teams for multitenant buildings may find it useful to communicate the interior
and exterior smoking policy in tenant guidelines, handbooks, or similar documents.

Residential Healthcare
Residential health care projects, such as long-term care facilities, may allow smoking inside residential units if there
is a clinical need to permit residents to smoke. Examples of clinical needs include medical treatments for substance
abuse and psychiatric programs.

Residential
Residential projects are the only project type that may choose to allow smoking indoors in specific units. If smoking
is permitted in residential projects, leakage from smoking units to other areas of the building must be prevented.
Confirm the following requirements:
All applicable doors and windows are weather-stripped.
All residential units are sealed in applicable places.
Testing results demonstrate compliance with the identified leakage rate requirements (see Referenced
Standards).
641

Smoking must be prohibited in all building common areas. This prohibition must be communicated through rental
or lease agreements, or condo or co-op association covenants and restrictions.
Prohibiting smoking on private residential balconies is a best practice for protecting nearby nonsmoking units
and balconies from ETS infiltration. Consider prohibiting smoking on balconies in lease agreements.
All units must be compartmentalized because of potential tenant turnover. The following strategies are
recommended to achieve proper air sealing:
Use caulk for cracks and smaller gaps.
Use expanding foam sealant for larger openings.
Use mastic to seal all ducts.
Use high-quality, durable, exterior-grade weatherstrip on all exterior doors, operable windows, and doors
leading from residential units into common hallways.
Confirm that all recessed can lights in insulated ceilings are airtight and IC-rated.
Block stud cavities at changes in ceiling height and joist cavities under attic kneewall.
Use sealed exterior sheathing and/or netting for dense insulation at attic kneewall.

Seal the following areas:


Bottom plate to subfloor
Penetrations in the top plate
Drywall to framing
Window and door rough openings with expanding foam
Gaps in exterior wall sheathing
Exterior walls of fireplace chase
Shower and tub drains
Cantilevered floor above supporting wall
Seams in band joist between conditioned floors
Electrical and communication boxes

Properly seal all penetrations in unit walls, ceilings, and floors, including the following:
Perimeter doors, windows, and baseboards
Plumbing and electrical penetrations, including outlets and switches, through insulated floors, ceilings, and
walls
Recessed lights and fans in insulated ceilings
Dropped ceilings and cantilevered floors
Exhaust vent penetrations
Sheathing, including exterior light fixtures
Band joist, including exhaust ducts
Through drywall in attached garage
Insulated subfloor, including HVAC boots

Properly seal airpath connections to all vertical chases adjacent to smoking units:
Utility chases
Garbage chutes
Mail drops
Elevator shafts
All other adjacent vertical chases

Compartmentalization is achieved when individual residential units are adequately isolated from adjacent units and
spaces. This must be demonstrated for all units. The most common way to meet this requirement is to conduct a
642

blower door test that follows either the RESNET standards, Energy Star Multifamily Testing Protocol, ASTM
E77903, or ASTM E1827-11 (see Referenced Standards).
Consider having a building performance technician visit the job site to explain proper air-sealing techniques
before insulation and drywall are installed. Perform blower door testing after drywall is installed and before
painting. Testing a single representative unit first can help identify any leakages and pinpoint areas where additional
sealing is likely to be required in other units. Use the test results to improve the construction process so that the
remaining units pass the test.
A sampling rate of at least one in seven smoking units can be used, per the Residential Manual for Compliance
with Californias 2001 Energy Efficiency Standards, Chapter 4.
The results must demonstrate a maximum leakage of 0.23 cubic feet per minute per square foot (1.17 liters per
second per square meter) at 50 Pa of enclosure.
Teams may use another air leakage test, such as tracer gas testing, provided that the same performance results as
a blower door test can be documented. Testing must follow CEN Standard EN 1779 or CEN Standard EN 13185 with
EN 13192.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Eligible.

required doCuMenTaTion
all projects residential projects
documentation where smoking is where smoking is

prohibited permitted

Description of projects no-smoking policy, including information on how policy is communicated


to building occupants and enforced X X

Copy of no-smoking policy, signed letter from owner describing projects no-smoking policy and
X
enforcement, or copy of any legally binding covenants or restrictions to verify status of residential
units as nonsmoking
Door schedule demonstrating weather-stripping at exterior unit doors and doors leading from
units to common hallways X

Differential air pressure test report for units in project building X

Scaled site plan or map showing the location of designated outdoor smoking and
no-smoking areas, location of property line, and site boundary and indicating 25-foot (7.5-meter) X X
distance from building openings
Drawings, photos, or other evidence of signage communicating no-smoking policy X X

Any code or landlord restrictions that prevent establishment of no-smoking requirements X X

relaTed CrediT TiPs


None.
ChanGes froM leed 2009
643

Designated interior smoking rooms are no longer permitted, with the exception of residential spaces. This
change recognizes the overwhelming evidence and broad consensus that exposure to ETS harms human
health, and it supports higher indoor air quality in LEED projects.
The no-smoking policy has been expanded to apply to spaces outside the property line if the space is used for
business purposes and is within 25 feet (7.5 meters) of building openings or outdoor air intakes.
A specific requirement for the location of exterior posted signs has been added.
The acceptable procedure for demonstrating compliance with air leakage requirements in residential projects
has been expanded. This change allows teams to use testing procedures other than blower door testing.

referenCed sTandards
Standard Test Method for Determining Air Leakage Rate by Fan Pressurization, ASTM E779-03: astm.org

Standard Test Methods for Determining Airtightness of Buildings Using an Orifice Blower Door, ASTM
E1827-11: astm.org

Nondestructive testing, Leak testingCriteria for method and technique selection, CEN Standard EN 1779
1999: cen.eu

Nondestructive testing, Leak testing, Tracer gas method, CEN Standard EN 131852001: cen.eu

Nondestructive testing, Leak testing, Calibration of reference leaks for gases, CEN Standard EN 13192
2001: cen.eu

RESNET Standards: resnet.us/standards

ENERGY STAR Multifamily Testing Protocol: energystar.gov/ia/partners/bldrs_lenders_raters

exeMPlary PerforManCe
Not available.

definiTions
None.
indoor environMenTal qualiTy PrerequisiTe

Minimum acoustic
Performance
this prerequisite applies to: schools

inTenT

to provide classrooms that facilitate teacher-to-student and student-tostudent


communication through effective acoustic design.

requireMenTs hvaC

background noise

Achieve a maximum background noise level of 40 dBA from heating, ventilating, and air-conditioning (HVAC)
systems in classrooms and other core learning spaces. Follow the recommended methodologies and best
practices for mechanical system noise control in ANSI Standard S12.602010, Part 1, Annex A.1; the 2011
HVAC Applications ASHRAE Handbook, Chapter 48, Noise and Vibration Control (with errata); AHRI
Standard 8852008; or a local equivalent for projects outside the U.S.

exterior noise
For high-noise sites (peak-hour Leq above 60 dBA during school hours), implement acoustic treatment and other
measures to minimize noise intrusion from exterior sources and control sound transmission between classrooms
and other core learning spaces. Projects at least one-half mile (800 meters) from any significant noise source (e.g.,
aircraft overflights, highways, trains, industry) are exempt. reverberation Time
Adhere to the following reverberation time requirements.
Classrooms and Core learning spaces < 20,000 Cubic feet
(566 Cubic Meters)
Design classrooms and other core learning spaces to include sufficient sound-absorptive finishes for compliance
with the reverberation time requirements specified in ANSI Standard S12.602010, Part 1, Acoustical
Performance Criteria, Design Requirements and Guidelines for Schools, or a local equivalent for projects
outside the U.S. oPTion 1
For each room, confirm that the total surface area of acoustic wall panels, ceiling finishes, and other sound-
absorbent finishes equals or exceeds the total ceiling area of the room (excluding lights, diffusers, and grilles).
Materials must have an NRC of 0.70 or higher to be included in the calculation.
or

oPTion 2
645

Confirm through calculations described in ANSI Standard S12.60-2010 that rooms are designed to meet
reverberation time requirements as specified in that standard.

Classrooms and Core learning spaces 20,000 Cubic feet


(566 Cubic Meters)
Meet the recommended reverberation times for classrooms and core learning spaces described in the NRC-
CNRC Construction Technology Update No. 51, Acoustical Design of Rooms for Speech (2002), or a local
equivalent for projects outside the U.S.

exceptions
Exceptions to the requirements because of a limited scope of work or to observe historic preservation
requirements will be considered.
646
647

sTeP-by-sTeP GuidanCe

sTeP 1. idenTify all ClassrooMs and oTher Core learninG sPaCes


Determine which rooms and spaces are covered by this prerequisite (see EQ Overview for a list of space types that are
considered classrooms and other core learning spaces, and see Further Explanation, Excluded Space Types and Further
Explanation, Project Type Variations, Schools).

sTeP 2. revieW aCousTiC CriTeria


Evaluate how the three acoustic performance areas addressed by this prerequisite affect each applicable space:
hvaC background noise. Engineers or acoustic experts will need to analyze a-weighted sound pressure levels resulting from
hVac equipment.
exterior noise. Engineers and designers will need to minimize exterior noise intrusion through design strategies that reduce
noise source level.
reverberation time. Designers will need to specify sound-absorbing treatments and/or revisit room size to address
reverberation time.
Prepare a log or spreadsheet to record the pertinent acoustic information for each space.
Determine how the acoustic requirements fit into the design process so that each can be addressed by the responsible party at
the appropriate time.

sTeP 3. address hvaC baCkGround noise


identify equipment and air distribution elements that could contribute to hVac background noise in core learning spaces.
when selecting and designing hVac systems, consider basic acoustic design techniques from 2011 hVac applications ashRaE
handbook, chapter 48, noise and Vibration control, page 48.8.
consider specific source design considerations from 2011 hVac applications ashRaE handbook, chapter 48, noise and Vibration
control, pages 48.848.30.
compile acoustic performance data at the specific operating points from the hVac equipment manufacturers data.
consider source-receiver paths when locating core learning spaces, and hVac equipment. for example, noise-generating hVac
equipment could be placed above a corridor rather than above a classroom.

sTeP 4. verify hvaC baCkGround noise


Determine a-weighted sound pressure levels for each core learning space through one or more of the following methods.
consider sound pressure levels from hVac equipment only; plumbing, lighting, and electrical may be excluded.
calculate sound pressure levels per 2011 hVac applications ashRaE handbook, chapter 48, noise and Vibration control. follow
the steps in the hVac noise-Reduction Design Procedures section of the handbook (pages 48.3848.41). the dBa method and
a 40-dBa sound pressure limit may be used instead of the referenced noise criteria method. calculations may be done in the
design phase.
calculate sound pressure levels per ahRi standard 8852008, Procedure for Estimating occupied space sound Levels in the
application of air terminals and air outlets. follow the steps outlined in section 6, calculation Procedures for Estimating
sound Levels in occupied spaces (pages 1126). a sound pressure limit of 40 dBa may be used in lieu of the dBa and dBc
levels shown in table 15 of the standard. calculations may be done in the design phase.
Measure sound pressure levels per ansi s12.602010, Part 1, american national standard acoustical Performance criteria,
Design Requirements, and Guidelines for schools, annex a.1. a sound pressure limit of 40 dBa may be used in lieu of the dBa
and dBc levels shown in tables 1 and 2 of the standard. the measurements must be performed during postconstruction in
furnished spaces with hVac systems operating in typical conditions and while no occupants are present. noises from sources
other than hVac systems should be minimized or turned off during testing.
Measure sound pressure levels per 2011 hVac applications ashRaE handbook, chapter 48, noise and Vibration control. follow
field measurement guidelines from the Determining compliance section. follow guidelines from the Room noise
Measurements section. a sound pressure limit of 40 dBa may be used in lieu of the dBa and dBc levels shown in table 1 of
the handbook. the measurements must
be performed during postconstruction in furnished spaces with hVac systems operating in typical conditions and while no
occupants are present. noises from sources other than hVac systems should be minimized or turned off during testing.
a local standard, procedure, or handbook that is equivalent to one of the above methods may also be used. additionally, a
sound rating method other than the standard weighted decibel method (dBa method), such as the noise criteria (nc), room
criteria (Rc), room criteria neutral (Rcn), balanced noise criteria (ncB), a-room criteria (Rc Mark ii), or dBc methods, may be
used.
648

Prepare a narrative that describes the methods followed and a summary report with measurements or calculations.

sTeP 5. deTerMine PresenCe of exTerior noise sourCes


assess the project site for exterior noise sources. sources of exterior noise can often be readily identified through a site visit
during normal school hours. Predicted noise sources may also be identified through study of neighborhood maps or aerial
photography that show adjacent site uses. if the site is in the flyover area of an airport, Ldn data are typically available online in
noise exposure maps (nEMs).
identify significant noise sources within mile (800 meters) of the face of the building. Examples of significant sources are
major transit corridors, industrial or manufacturing facilities, outdoor concert or sports venues, rail lines, and air traffic lanes.
if there are no significant noise sources, skip the exterior Leq measurement, and skip step 6.
conduct acoustic readings on the project site using a sound meter that can measure equivalent continuous noise levels (Leq)
measured in a-weighted decibels (dBa) (see Further Explanation, Understanding Peak-Hour Leq). Measure exterior noise
during the normal period of school hours and repeat as necessary to capture intermittent noise sources such as train and
airplane traffic. Record site observations, noting the source, direction, and intensity of the exterior noise, so that the project
team can develop design strategies for noise mitigation. if applicable, data from the nEM may be used in lieu of taking
measurements.
if peak-hour Leq measurements exceed 60 dBa, the project is considered a high-noise site and the team must implement noise
reduction measures (step 6). if the peak-hour Leq measurements are below 60 dBa, the team may skip step 6.
it is acceptable to forgo measuring Leq if it is already known that the project is on a high-noise site. sTeP 6. for hiGh-noise

siTes, iMPleMenT Measures To MiniMiZe exTerior noise inTrusion


Minimize the amount of exterior noise in core learning spaces.
Explore strategies that reduce the source or occurrence of noise, if collaboration with the noisegenerating property owner is
possible.
Define the path(s) of noise on the site, and identify how each measure implemented creates a barrier or dampening effect
between the source and the receiving core learning space. include acoustic treatments as appropriate.
Refer to 2011 hVac applications ashRaE handbook, chapter 48, noise and Vibration control, sound control for outdoor
Equipment (pages 48.3334), for additional design guidance.
the appropriate combination of strategies depends on the type and regularity of noise sources. Example strategies include the
following:
site barriers, such as earth berms and site walls
architectural barriers, such as other building spaces and courtyards
architectural material barriers, such as dense wall construction and offset studs
construction best practices, such as sound sealants and window and door gaskets

sTeP 7. desiGn for oPTiMuM reverberaTion TiMes use sound-absorptive materials or other strategies to limit
reverberation time in core learning spaces.
sound absorptive materials can be applied to any planar surface in the space. while applying treatment to the walls
is typically the most effective way forward, a sound absorptive ceiling is generally the most cost effective for a
classroom. consider using absorptive wall surfaces or treatments in spaces that primarily require hard surfaces,
such as teaching laboratories.
for spaces that will accommodate seating, consider soft or upholstered backs and seats. Refer to ansi 12.60
2010, annex c, for additional design guidance.
649
650

option 1. Total Compliant acoustic finish area exceeds Ceiling area


calculate the total ceiling area for the core learning space, excluding diffusers, grilles, and light fixtures. if the ceiling is
sloped, consider the ceiling area to be the total area of that sloped surface (minus grilles and light fixtures). if the ceiling has
multiple surfaces or levels, use the entire ceiling surface (minus grilles and light fixtures). include vertical and sloped ceiling
elements in the ceiling area calculation.
the total area of compliant sound absorbing treatment must equal or exceed the total ceiling area calculated in the previous
step. sound absorbing treatments may be applied to the ceiling or wall, or may be free hanging acoustic features.
collect manufacturers documentation to verify the nRc of each acoustic finish material is 0.7 or higher. Record the
area of each acoustic finish material for credit documentation (see Further Explanation, Examples). option 2. ansi
standard s12.602010 Compliance
follow the procedures described in ansi standard s12.602010, annex a.4, to confirm that the reverberation time for each
space complies with the maximum permitted reverberation times in table 1 of the standard (footnote e of the table may be
excluded). Reverberation times are 0.6 seconds or 0.7 seconds, based on space volume.
Reverberation time must be verified at 500, 1000, and 2000 hz. calculation and measurement options are available. Retain
calculations or measurements for credit documentation. for detailed reverberation time calculations, see EQ credit acoustic
Performance, Further Explanation.

sTeP 10. ConfirM aPProPriaTe reverberaTion TiMes for sPaCes 20,000 CubiC feeT (566 CubiC MeTers) and larGer
follow the procedures described in nRc-cnRc construction technology update no. 51, acoustical Design of Rooms for speech
(2002), to confirm that the reverberation time for each space complies with figure 3 of the standard. Reverberation times vary
from approximately 0.45 seconds to 1.23 seconds, based on space volume, use, and type.
Reverberation time must be verified at 500, 1000, and 2000 hz using calculations or measurements. Retain calculations or
measurement logs for credit documentation. for detailed reverberation time calculations, see EQ credit acoustic Performance,
Further Explanation.

furTher exPlanaTion

exaMPles
Example 1. 100% acoustic ceiling treatment (Option 1)
A project team has calculated the area of the diffusers and recessed lighting and subtracted it from the total area
of the ceiling. The remaining area, 1,350 square feet (125 square meters), has been specified with an acoustic
ceiling material rated 0.70 NRC; the rating is documented with testing data supplied by the manufacturer.
Because the ceiling material is compliant and covers the entire adjusted ceiling area, the project meets the
requirements.
Figure 2. Example of 100% acoustic ceiling treatment
651

Example 2. Total acoustic finish area (Option 1)


A project team has calculated the area of the diffusers and the recessed lighting and subtracted it from the total
area of the ceiling. The remaining area, 1,350 square feet (125 square meters), dictates the total amount of
acoustic treatment needed. This team has elected to use 1,140 square feet (105 square meters) of acoustic ceiling
tile and added three wall panels of acoustic treatment that totals 210 square feet (20 square meters). For both the
ceiling tile and the wall material, the team specifies material that exceeds the credit minimum rating of 0.70
NRC, a rating that is verified by manufacturer-supplied testing data. Because the total area with compliant
acoustic finish equals the adjusted ceiling area, the project achieves the prerequisite.

exCluded sPaCe TyPes


652

Prerequisite requirements do not apply to natatoriums, auditoriums, music performance spaces,


teleconferencing rooms, or special education rooms, such as those for severely acoustically challenged
students. These spaces require special acoustical design and treatment that are not within the scope of this
prerequisite or the referenced standards.

undersTandinG Peak-hour leq

Peak-hour Leq is the equivalent continuous noise level (Leq ) for the peak hour. In lay terms, Leq is an energy-
average of the noise level over a specified sample time. Most modern sound meters can measure L eq. Teams
should follow common industry practice for determining Leq, and source the methodology for their calculations.

ProjeCT TyPe variaTions


Schools
Schools projects with limited scope or historical preservation restrictions may still be able to achieve the
prerequisite if the team implements as many measures as feasible for each requirement and proposes alternative
means to meet the intent.
Strategies may extend to technological, behavioral, or other unconstructed methods of providing acceptable
acoustic conditions for classrooms and core learning spaces. For example, a project may not be allowed to
change exterior and interior finishes or replace windows and doors of designated historical structures, but the
project may be able to modify the exterior landscape, install suspended acoustic treatments, and specify soft
seating to meet the intent of the prerequisite.
Provide a detailed narrative about what is and is not under the project teams control. Document and describe
all acoustic mitigation strategies undertaken to meet the intent.

inTernaTional TiPs
Local equivalents to ANSI Standard S12.602010, Part 1, and NRC-CNRC Construction Technology Update
No. 51, Acoustical Design of Rooms for Speech (2002), are acceptable.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project must pursue the prerequisite individually. For exterior noise, the L eq
measurements and measures to minimize noise intrusion may be appropriate for the entire campus.
required doCuMenTaTion
Spaces with identical size and material treatments may be documented together. To reduce documentation
burden, calculations and measurements can also be based on acoustically critical spaces or room types or worst-
case combinations of room assemblies.

all
documentation projects

Summary report of measurements and calculations documenting compliance with selected


background noise reference standard X

Description of exterior noise sources (or lack thereof) within -mile (800-meter) radius X

Leq calculations and narrative describing when measurements were taken (if required) X
Exterior noise
Description or drawings of measures and strategies implemented to minimize exterior noise
(if required) X
653

Option 1, documentation showing materials with NRC of 0.70 or higher X


reverberation time,
spaces less than Option 2, calculations or measurements showing that reverberation times meet the ANSI S12.60
20,000 ft2 (1 860 m2) X
2010 or requirements

reverberation time,
spaces 20,000 ft2 Calculations or measurements showing that reverberation times meet NRC-CNRC Construction
X
(1 860 m2) or larger Technology Update No. 51 requirements

relaTed CrediT TiPs


EQ Credit Acoustic Performance. This related credit defines additional acoustic performance criteria that
build on the fundamentals of this prerequisite.

ChanGes froM leed 2009


The maximum allowable background noise has been revised from 45 dBA to 40 dBA.
An exterior noise requirement has been added to minimize exterior noise intrusion into classrooms and
core learning spaces.
The ANSI referenced standard has been updated to ANSI S12.602010.
The ASHRAE referenced standard has been updated to 2011 HVAC Applications ASHRAE Handbook,
Chapter 48, Noise and Vibration Control.
For spaces 20,000 cubic feet (566 cubic meters) or larger, the referenced standard for reverberation time
has changed to NRC-CNRC Construction Technology Update No. 51. This standard specifies variable
reverberation time and total sound absorption values depending on the size of the space.
Exceptions for projects with limited renovation scopes or strict historic preservation requirements have
been added.

referenCed sTandards
AHRI Standard 8852008, Procedure for Estimating Occupied Space Sound Levels in the Application of
Air Terminals and Air Outlets: ahrinet.org

American National Standards Institute (ANSI)/ASHRAE Standard S12.602010, Acoustical Performance


Criteria, Design Requirements, and Guidelines for Schools: asastore.aip.org
2011 HVAC Applications, ASHRAE Handbook, Chapter 48, Noise and Vibration Control: ashrae.org

NRC-CNRC Construction Technology Update No. 51, Acoustic Design of Rooms for Speech, 2002: nrc-
cnrc.gc.ca

exeMPlary PerforManCe
Not available.

definiTions
654

classroom or core learning space a space that is regularly occupied and used for educational activities. In such
space, the primary functions are teaching and learning, and good speech communication is critical to students
academic achievement. (Adapted from ANSI S12.60)
655
indoor environMenTal qualiTy CrediT

Enhanced indoor air Quality


strategies
this credit applies to:
new Construction (12 points) data Centers (12 points)
Core and shell (12 points) Warehouses and distribution Centers (12 points) schools (12 points) hospitality (12
points) retail (12 points) healthcare (12 points)

inTenT

to promote occupants comfort, well-being, and productivity by improving indoor air


quality.

requireMenTs

oPTion 1. enhanCed iaq sTraTeGies (1 PoinT)

Comply with the following requirements, as applicable.

Mechanically ventilated spaces:


A. entryway systems;
B. interior cross-contamination prevention; and
C. filtration.

Naturally ventilated spaces:


A. entryway systems; and
B. natural ventilation design calculations.

Mixed-mode systems:
A. entryway systems;
B. interior cross-contamination prevention;
C. filtration;
D. natural ventilation design calculations; and
E. mixed-mode design calculations.
A. Entryway Systems
Install permanent entryway systems at least 10 feet (3 meters) long in the primary direction of travel to capture dirt and particulates
entering the building at regularly used exterior entrances. Acceptable entryway systems include permanently installed grates, grilles,
slotted systems that allow for cleaning underneath, rollout mats, and any other materials manufactured as entryway systems with
equivalent or better performance. Maintain all on a weekly basis.
Warehouses and disTribuTion CenTers only

Entryway systems are not required at doors leading from the exterior to the loading dock or garage but must be installed between these
spaces and adjacent office areas.

healThCare only

In addition to the entryway system, provide pressurized entryway vestibules at high-volume building entrances.

B. Interior Cross-Contamination Prevention


Sufficiently exhaust each space where hazardous gases or chemicals may be present or used (e.g., garages, housekeeping and laundry
areas, copying and printing rooms), using the exhaust rates determined in EQ
Prerequisite Minimum Indoor Air Quality Performance or a minimum of 0.50 cfm per square foot (2.54 l/s per square meter), to create
negative pressure with respect to adjacent spaces when the doors to the room are closed. For each of these spaces, provide self-closing
doors and deck-to-deck partitions or a hard-lid ceiling.

C. Filtration
Each ventilation system that supplies outdoor air to occupied spaces must have particle filters or air-cleaning devices that meet one of
the following filtration media requirements:
minimum efficiency reporting value (MERV) of 13 or higher, in accordance with ASHRAE Standard 52.22007; or
Class F7 or higher as defined by CEN Standard EN 7792002, Particulate Air Filters for General Ventilation, Determination of
the Filtration Performance.

Replace all air filtration media after completion of construction and before occupancy.

daTa CenTers only

The above filtration media requirements are required only for ventilation systems serving regularly occupied spaces.

D. Natural Ventilation Design Calculations


Demonstrate that the system design for occupied spaces employs the appropriate strategies in Chartered Institution of Building Services
Engineers (CIBSE) Applications Manual AM10, March 2005, Natural Ventilation in NonDomestic Buildings, Section 2.4.

E. Mixed-Mode Design Calculations


Demonstrate that the system design for occupied spaces complies with CIBSE Applications Manual 132000, Mixed Mode Ventilation.
647

oPTion 2. addiTional enhanCed iaq sTraTeGies (1 PoinT)

Comply with the following requirements, as applicable.

Mechanically ventilated spaces (select one):


A. exterior contamination prevention;
B. increased ventilation;
C. carbon dioxide monitoring; or
D. additional source control and monitoring.

Naturally ventilated spaces (select one):


A. exterior contamination prevention;
B. additional source control and monitoring; or
C. natural ventilation room by room calculations.

Mixed-mode systems (select one):


A. exterior contamination prevention;
B. increased ventilation;
C. additional source control and monitoring; or D. natural ventilation room-by-room calculations.

A. Exterior Contamination Prevention


Design the project to minimize and control the entry of pollutants into the building. Ensure through the results of computational fluid
dynamics modeling, Gaussian dispersion analyses, wind tunnel modeling, or tracer gas modeling that outdoor air contaminant
concentrations at outdoor air intakes are below the thresholds listed in Table 1 (or local equivalent for projects outside the U.S.,
whichever is more stringent).
tablE 1. Maximum concentrations of pollutants at outdoor air intakes

Pollutants Maximum concentration standard

Allowable annual average


or
8-hour or 24-hour average where an annual
Those regulated by National Ambient Air National Ambient Air Quality Standards
standard does not exist
Quality Standards (NAAQS) (NAAQS)
or
Rolling 3-month average

B. Increased Ventilation
Increase breathing zone outdoor air ventilation rates to all occupied spaces by at least 30% above the minimum rates as
determined in EQ Prerequisite Minimum Indoor Air Quality Performance.

C. Carbon Dioxide Monitoring


Monitor CO2 concentrations within all densely occupied spaces. CO2 monitors must be between 3 and 6 feet (900 and
1 800 millimeters) above the floor. CO2 monitors must have an audible or visual indicator or alert the building
automation system if the sensed CO2 concentration exceeds the setpoint by more than 10%. Calculate appropriate
CO2 setpoints using methods in ASHRAE 62.12010, Appendix C.

D. Additional Source Control and Monitoring


For spaces where air contaminants are likely, evaluate potential sources of additional air contaminants besides CO 2.
Develop and implement a materials-handling plan to reduce the likelihood of contaminant release. Install
monitoring systems with sensors designed to detect the specific contaminants. An alarm must indicate any unusual
or unsafe conditions.

E. Natural Ventilation Room-by-Room Calculations


Follow CIBSE AM10, Section 4, Design Calculations, to predict that room-by-room airflows will provide effective
natural ventilation.
649

sTeP 3. CoMPly WiTh aPProPriaTe sTraTeGy requireMenTs for each strategy required for a given spaces ventilation
system, follow the appropriate set of steps. Prepare a narrative indicating the system type and strategies pursued, detailing
how compliance was achieved.

option 1. enhanced iaq strategies entryway systems

sTeP 1. idenTify aPPliCable enTries


identify all regularly used exterior entrances to the building (see Further Explanation, Regularly Used Exterior Entrances, Rating
System Variations, and Project Type Variations).

sTeP 2. inCorPoraTe PerManenT enTryWay sysTeMs inTo desiGn


Determine which type of permanent entryway system will be installed and incorporate into the project drawings and specifications
(see Further Explanation, Selecting a Permanent Entryway System). indicate the compliant entryways on project plans.

sTeP 3. iMPleMenT MainTenanCe sTraTeGy


Determine how the entryway systems will be maintained on a weekly basis. consider modifying standard operating procedures, cleaning
programs, and vendor requirements to include entryway maintenance.

interior cross-contamination Prevention

sTeP 1. idenTify all sPaCes needinG inTerior Cross-ConTaMinaTion PrevenTion identify spaces where hazardous gases or
chemicals may be handled or used, as indicated in the credit requirements.
open garages are exempt from this requirement.
include housekeeping and laundry areas even if green cleaning policies are adopted.
copying and printing rooms with convenience printers and copiers only may be excluded. the definition of convenience printers
and copiers is left to the discretion of the design team; convenience machines are generally small units shared by many office
personnel for short printing and copying jobs.

sTeP 2. develoP ConTaMinanT ConTrol desiGn


work with the architect and mechanical designer to develop a contaminant control design for all spaces needing interior cross-
contamination prevention and incorporate strategies into the project drawings and specifications.
include self-closing doors and either deck-to-deck partitions or a hard-lid ceiling for each space, as indicated in the credit
requirements.
Design the exhaust system such that each space has negative pressure, as indicated in the credit requirements. use the
exhaust rates from EQ Prerequisite Minimum indoor air Quality Performance or 0.50 cfm per square foot, whichever is
greater (see Further Explanation, Exhaust Rates for Interior Cross-Contamination Prevention).
additional ductwork and exhaust fans may be needed to provide the required ventilation. Possible strategies to achieve the
necessary ventilation economically include stacking all high-pollutant source areas and locating rooms with hazardous material
adjacent to outside walls and each other.
Filtration media

sTeP 1. sPeCify CoMPlianT filTraTion Media


identify all hVac equipment that supplies outdoor air to occupied spaces and specify outdoor air filtration media that meet the
credit requirements for minimum efficiency reporting value (MERV) ratings or filtration class. all outdoor air supplied to occupied
spaces must be filtered.
Ensure that specified air-handling equipment is designed to accommodate the required filter media. otherwise, customizationresizing
ductwork, increasing fan capacity to maintain air delivery despite
the added resistance of MERV 13 (f7) filtration, or other modifications to system designmay be required.
Mixed return and outdoor air can also be filtered with MERV 13 (f7) or higher, but this is not required.
if the project design includes a dedicated outdoor air system with local distribution systems, the filtration requirement applies only to the dedicated
outdoor air system.

sTeP 2. rePlaCe filTraTion before oCCuPanCy


Replace all filters after completion of construction but before occupancy. for Data center projects, see Further Explanation, Rating System Variations.

natural ventilation design calculations sTeP 1. revieW sTandard

Review the basic forms of ventilation strategy presented in chartered institution of Building service
Engineers applications (ciBsE) Manual aM10, natural Ventilation in non-Domestic Buildings, section 2.4: single-sided ventilation, single opening, double
opening, cross-ventilation, stack ventilation, doubleskin facade ventilation, mechanically assisted strategies, and night ventilation. identify which
ventilation strategies apply to the project.

sTeP 2. ConfirM rules of ThuMb for esTiMaTinG effeCTiveness of naTural venTilaTion


use the rules of thumb or guidance from ciBsE aM10 as applicable to the project. Prepare diagrams and narratives to explain how each applicable rule of
thumb or guidance was considered. the documentation should supplement the natural ventilation calculations for EQ Prerequisite Minimum indoor air
Quality Performance.
Room-by-room calculations found in ciBsE aM10, section 4, are not required for this option.

mixed-mode ventilation design calculations sTeP 1. revieW sTandard

Review the mixed-mode design strategies presented in chartered institution of Building service Engineers (ciBsE) applications Manual aM13, Mixed-
Mode Ventilation, section 2.1: contingency design, complementary design, and zone design. identify which mixed-mode strategy applies to the project.
if the complementary design is selected, also identify the operational strategy based on ciBsE aM13, section 2.2. use ciBsE aM13, figure 2.1, as the
iteration strategy to optimize the mixed mode system.

sTeP 2. ConfirM ThaT desiGn folloWs aPProPriaTe Mixed-Mode sTraTeGies


use the guidance and strategies from ciBsE aM13 (section 2.1, section 2.2, and figure 2.1) as applicable to the project. Prepare diagrams and narratives to
explain how the guidance was considered. the documentation should supplement that prepared for EQ Prerequisite Minimum indoor air Quality
Performance and requirement D (natural ventilation design calculations) in this credit.

option 2. additional enhanced iaq strategies


Determine which strategy the project will implement, based on table 2.

exterior contamination Prevention

sTeP 1. desiGn ouTdoor air inTakes To MiniMiZe and ConTrol enTry of


PolluTanTs
consider locating outdoor air intakes away from nearby sources of pollutants. air intakes located onethird of the way up the side of the building tend to
work best.1 Locate air intakes away from loading docks and roadways. also avoid below-grade locations in areaways and locations near roof-mounted
exhausts.2 ashRaE 62.12010, table 5-1, lists minimum separation distances for air intakes (see Further Explanation, International Tips).

1. Spengler, J.D., J.M. Samet, and J.F. McCarthy, Indoor Air Quality Handbook (New York:
McGraw-Hill, 2001).
2. Ibid.
651

sTeP 2. seleCT ModelinG Tool


Determine which modeling tool, of the list in the credit requirements, will be used to verify compliance with pollution
concentration requirements. consider whether the software can accurately capture expected meteorological conditions, potential
pollutant plumes, and contaminant concentrations at the projects outdoor air intakes.

sTeP 3. CoMPleTe level 1 sCreeninG


Model contaminant travel at worst-case meteorological conditions. worst-case conditions should be based on the wind speed and
direction, with a direct line of sight from each pollutant source to the project building.
once worst-case conditions have been identified, perform a simulation to determine whether concentrations for the pollutants
regulated by national ambient air Quality standards (naaQs) at outdoor air intakes are below the allowable annual average, eight-
hour or 24-hour average where an annual standard does not exist, or the rolling three-month average. if all pollutant
concentrations are well below the required thresholds, no further modeling is required.

sTeP 4. CoMPleTe level 2 sCreeninG


if the Level 1 screening indicates that pollutant concentrations are barely compliant or noncompliant, perform a Level 2 screening to
reassess pollutant concentrations. use more detailed inputs pertaining to atmospheric processes, building geometry, and emissions
concentrations. if the precise composition of chemical exhaust from a source is unpublished, document how the team arrived at its
components and concentrations.
the Level 2 screening should confirm one of the following outcomes:
the concentrations for the pollutants regulated by naaQs at outdoor air intakes are below the allowable annual average, eight-
hour or 24-hour average where an annual standard does not exist, or the rolling three-month average.
the indoor concentrations for the pollutants regulated by naaQs are below 2.5% of the allowable annual average, eight-hour or
24-hour average where an annual standard does not exist, or the rolling three-month average. indoor analyses may require a
different modeling technique than that used in the Level 1 dispersion analysis. if the Level 2 screening indicates that pollutant
concentrations are noncompliant, consider modifying air filtration or the locations of the outdoor air intakes.

increased ventilation

sTeP 1. deTerMine voluMe of ouTdoor air required


use the ventilation standard or code and the calculation methodology selected for EQ Prerequisite Minimum indoor air Quality
Performance to determine the 30% increase.
follow the prerequisites steps for mechanical ventilation systems to determine the amount of outdoor air that must be supplied
by each ventilation system. to meet the credit requirements, the system must deliver 30% more outdoor air to the occupied
spaces at all times the space is occupied. for multiplezone recirculating systems, this will likely increase the required outdoor air
intake for the system by more than 30%.
for projects that use ashRaE 62.12010, see Further Explanation, Determining Increased Ventilation Rate.
Exhaust rates are excluded from the credit requirements.

sTeP 2. revise desiGn To MeeT ouTdoor air requireMenTs, if neCessary


see EQ Prerequisite Minimum indoor air Quality Performance for recommended modifications for specific mechanical ventilation
system types.
carBon dioxide (co2) monitoring sTeP 1. idenTify densely

oCCuPied sPaCes

Review ventilation calculations developed for EQ Prerequisite Minimum indoor air Quality Performance or the projects furniture
plans to identify all spaces with an occupant density greater than 25 people per 1,000 square feet (93 square meters).
652
sTeP 2. desiGn Co2 MoniTorinG sysTeM incorporate co2 sensors into the design for each
densely occupied space.
co2 sensors must be located in the breathing zone, as defined in the credit requirements. co2 sensors installed in return air ducts cannot
be used to meet the requirements.
Determine co2 concentration setpoint(s) using the methods in ashRaE 62.12010, appendix c. see ASHRAE 62.12010 Users Manual,
Appendix A, for calculations and examples.
configure the co2 monitoring system to generate an alarm if the differential co2 concentration exceeds the setpoint by more
than 10%. alarms may be audible or visual indicators to space occupants or building automation system alerts. co2 sensors
may be incorporated into the hVac control system, for example, to open zone VaV dampers when the setpoint is exceeded.
however, this is not required.

sTeP 3. insTall and CoMMission Co2 sensors


During construction, install co2 sensors per the design. include co2 sensors in the commissioning process for Ea Prerequisite
fundamental commissioning and Verification.

additional source control and monitoring

sTeP 1. deTerMine PoTenTial ConTaMinanT sourCes


List potential indoor air contaminants that may be present in the project spaces. consider typical substances found in the
particular building type, and review activities and processes that will occur. substances might include cleaning supplies,
laboratory chemicals, or materials required for manufacturing.

sTeP 2. idenTify PrioriTy ConTaMinanTs and exPosure liMiTs


from the list of potential sources, identify the priority contaminantsthose that pose the greatest risk to occupants health. for
each priority contaminant, identify a reference standard and an exposure limit. sTeP 3. desiGn and insTall MoniTorinG sysTeM
install a permanent monitoring system to continuously monitor concentrations of priority contaminants.
configure the system to generate an alarm when unusual or unsafe concentrations occur.
Retain documentation that describes how alarm setpoints were established.
include the contaminant monitoring system in the commissioning process for Ea Prerequisite fundamental commissioning and
Verification.

sTeP 4. develoP and iMPleMenT MaTerials handlinG Plan


Develop a materials handling plan to limit human exposure to priority contaminants and ensure that the monitoring system is
effective. for example, a materials handling plan may require that a particular solvent be stored and used in a single room that
is properly ventilated and equipped with sensors connected to an alarm.

natural ventilation room-By-room calculations


666

sTeP 1. deTerMine required floW raTes follow ciBsE aM10, section 4.1, to determine
the desired airflow rates.

sTeP 2. deTerMine oPeninG siZes


follow ciBsE aM10, sections 4.1.2, 4.1.3, 4.1.4, 4.2, and 4.3, as applicable, to determine whether the design will produce sufficient
airflow rates and to optimize opening sizes, locations, and characteristics. these sections offer many calculation options. all
options are acceptable, provided inputs and results are justified and reasonable.

sTeP 3. ConfirM CoMPlianCe


create a table of all naturally ventilated spaces in the project, opening characteristics, desired flow rates, and calculated flow
rates. indicate how seasonal conditions and different wind conditions were considered.
Determine the free area of natural ventilation openings and the required opening area. confirm that natural ventilation openings
meet or exceed the sizes calculated for all spaces. the documentation should supplement that developed for EQ Prerequisite
Minimum indoor air Quality Performance and option 1, requirement D (natural ventilation design calculations) in this credit.
653

See Definitions to help in identifying regularly used entrances.


For renovation or additions where the scope of the project does not include an exterior
entrance, entryway systems do not need to be installed. However, if the project scope includes
an entrance that would qualify as a highvolume exterior entrance, then the team must ensure
that appropriate entryway systems are also installed.
See Rating System Variations for considerations for Warehouses and Distribution Centers and
Healthcare.

seleCTinG a PerManenT enTryWay sysTeM


Permanent entryway systems must catch and hold dirt particles and prevent contamination of the building
interior. Acceptable permanent entryway systems include the following:
Permanently installed grates
Grilles
Slotted systems that allow for cleaning underneath
Rollout mats
Carpet tile specifically designed for entryway system or similar use
Other materials manufactured for use as an entryway system or similar that performs at least as well as the
above systems

Typical building carpeting is not an acceptable permanent entryway system.


Consider permanent entryway systems that have solid backings. A nonporous backing captures dirt and
moisture and helps prevent contaminants from collecting underneath. Consider permanent entryway systems
made with mold- and mildew- resistant materials.
The permanent entryway system should be at least 10 feet (3 meters) long. Exceptions to the 10-foot (3-
meter) distance are allowed if the team submits documentation verifying that the proposed entryway system
performs at least as well as a full-length system. The selected product should be appropriate for the projects
climate. Areas with high precipitation, for example, may need to install more absorbent mats to prevent
occupants from slipping.
Evaluate maintenance requirements when selecting the permanent entryway system. All permanent entryway
systems must be maintained on a weekly basis.

exhausT raTes for inTerior Cross-ConTaMinaTion PrevenTion


In general, exhaust rates are prescribed by the ventilation standard or code used in EQ
Prerequisite Minimum Indoor Air Quality Performance. However, if this standard or code
does not set a requirement for a particular space type, a minimum exhaust rate of 0.5 cubic
feet per minute (cfm) per square foot (2.54 liters per second, l/s, per square meter) must be
used.
ASHRAE 62.12010, Table 6-4, lists numerous spaces whose exhaust requirements exceed
the 0.5 cfm per square foot (2.54 l/s per square meter) rate. Exhaust rates for these spaces
must be maintained at all times, even when the building is not occupied.
If supply air is being provided to the room, the exhaust rate must be sufficient to create a
negative pressure with respect to adjacent spaces when the doors to the room are closed.
No recirculation of the air from these rooms is permitted.
668
deTerMininG inCreased venTilaTion raTes
When using ASHRAE 62.12010, use the following process to determine the 30% increase in
ventilation for the breathing zone:
Single-zone or 100% outdoor air system. Calculate the required outdoor intake flow using the ventilation
rate procedure and multiple the result by 1.3.
Multiple-zone recirculating system. At the system level, multiply the uncorrected outdoor air requirements
for the system, Vou, by 1.3. Multiply the outdoor airflow (Vbz ) in the critical zones breathing zone by 1.3.
Recalculate the system ventilation efficiency, Ev, based on the revised values for Vou and critical zone V bz. This
will likely increase the required outdoor air intake for the system (V ot ) by more than 30%.

raTinG sysTeM variaTions


Warehouses and Distribution Centers
For Option 1 Entryway Systems, exterior entrances to loading docks and garages are not required to have
entryway systems. Regularly used entrances from these areas into adjacent spaces in the building (typically
office areas of the building) must have entryway systems.

Healthcare
For Option 1 Entryway Systems, in addition to the entryway system, provide pressurized entryway vestibules at
highvolume building entrances.

Data Centers
For Option 1 Filtration, the requirements apply only to ventilation systems serving regularly occupied spaces
(see EQ Overview).

ProjeCT TyPe variaTions


Residential Projects
For Option 1 Entryway Systems, the systems are required only at the ground level, for each residential entrance
from the outdoors.

inTernaTional TiPs
For Option 2 Exterior Contamination Prevention, local guidelines for maximum concentrations of pollutants at
air intakes may be followed, provided they are at least as stringent as the U.S. EPA guideline.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
655

required doCuMenTaTion
documentation option 1 option 2

Entryway systems: scaled floor plans showing locations and measurements X

Interior cross-contamination prevention: list of rooms, areas, exhaust rate, separation method X

X
Filtration: mechanical schedules highlighting MERV or class ratings for all units that supply outdoor air
Natural ventilation design: calculations and narrative demonstrating appropriate strategies per referenced
X
standard
Mixed mode design: calculations and narrative demonstrating appropriate strategies per referenced standard
X

Exterior contamination prevention: narrative describing type of modeling; model output reports highlighting
contaminant levels and required thresholds X

Increased ventilation: confirmation (calculations are documented under EQ Prerequisite Minimum Indoor Air
Quality Performance) X

Carbon dioxide monitoring: list of densely occupied spaces, space type, design CO 2 concentrations, floor plan
showing sensor locations, narrative describing CO2 setpoints X

Additional source control and monitoring: description of likely air contaminants and how they were identified, X

description of materials handling plan, plans showing installed monitoring system


Natural ventilation: room-by-room calculations, narrative, and diagrams demonstrating effective natural
ventilation per referenced standard X

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance. Increased
filtration and increased ventilation affect energy consumption. Consider incorporating energy efficiency
measures, such as dedicated outdoor air systems, economizers, and demand-controlled ventilation, to reduce or
eliminate potential energy penalties.

EQ Prerequisite Minimum Indoor Air Quality Performance. The ventilation system referenced in the related
prerequisite must be consistent with this credit.

ChanGes froM leed 2009


Portions of IEQ Credit 1 Outdoor Air Delivery Monitoring, IEQ Credit 2 Increased
Ventilation, and IEQ Credit 5 Indoor Chemical and Pollutant Source Control have been
combined into a single credit.
Meeting the requirements of interior cross-contamination prevention no longer
requires a calculation of a minimum pressure differential. However, the exhaust rates
from the ventilation standard in EQ Prerequisite Minimum Indoor Air Quality
Performance must be used. For spaces that do not have a requirement from this
standard, a minimum exhaust rate of 0.5 cubic feet per minute per square foot (2.54
liters per second per square meter) must be used.
Additional options regarding naturally ventilated spaces have been included.
Additional guidance has been incorporated for warehouses, distribution centers, health care
facilities, data centers, and residential projects.
An option for filtration media requirements, CEN Standard EN 7792002, Particulate Air Filters
for General Ventilation, Determination of the Filtration Performance, has been added.

referenCed sTandards
ASHRAE Standard 52.22007: ashrae.org

CEN Standard EN 7792002: cen.eu

ASHRAE Standard 62.12010: ashrae.org

Chartered Institution of Building Services Engineers (CIBSE) Applications Manual AM10, March 2005:
cibse.org
670
Chartered Institution of Building Services Engineers (CIBSE) Applications Manual 13, 2000: cibse.org

National Ambient Air Quality Standards (NAAQS): epa.gov/air/criteria.html

exeMPlary PerforManCe
Achieve both Option 1 and Option 2 and incorporate an additional Option 2 strategy.

definiTions
densely occupied space an area with a design occupant density of 25 people or more per 1,000 square feet (93
square meters)

occupied space an enclosed space intended for human activities, excluding those spaces that are intended
primarily for other purposes, such as storage rooms and equipment rooms, and that are only occupied
occasionally and for short periods of time. Occupied spaces are further classified as regularly occupied or
nonregularly occupied spaces based on the duration of the occupancy, individual or multioccupant based on the
quantity of occupants, and densely or nondensely occupied spaces based on the concentration of occupants in
the space.

regularly occupied space an area where one or more individuals normally spend time (more than one hour per
person per day on average) seated or standing as they work, study, or perform other focused activities inside a
building. The one-hour timeframe is continuous and should be based on the time a typical occupant uses the
space. For spaces that are not used daily, the one-hour timeframe should be based on the time a typical occupant
spends in the space when it is in use.

regularly used exterior entrance a frequently used means of gaining access to a building. Examples include the
main building entrance as well as any building entryways attached to parking structures, underground parking
garages, underground pathways, or outside spaces. Atypical entrances, emergency exits, atriums, connections
between concourses, and interior spaces are not included.

indoor environMenTal qualiTy CrediT

Low-Emitting Materials
this credit applies to:
new Construction (13 points) data Centers (13 points)
Core and shell (13 points) Warehouses and distribution Centers (13 points) schools (13 points)
hospitality (13 points) retail (13 points) healthcare (13 points)

inTenT

to reduce concentrations of chemical contaminants that can damage air quality, human
health, productivity, and the environment.

requireMenTs
This credit includes requirements for product manufacturing as well as project teams. It covers volatile
organic compound (VOC) emissions into indoor air and the VOC content of materials, as well as the
testing methods by which indoor VOC emissions are determined. Different materials must meet
different requirements to be considered compliant for this credit. The building interior and exterior are
organized in seven categories, each with different thresholds of compliance. The building interior is
defined as everything within the waterproofing membrane. The building exterior is defined as
everything outside and inclusive of the primary and secondary weatherproofing system, such as
waterproofing membranes and air- and water-resistive barrier materials.
OptiOn 1. prOduct categOry calculatiOns

Achieve the threshold level of compliance with emissions and content standards for the number of product
categories listed in Table 2.

Table 1. Thresholds of compliance with emissions and content standards for 7 categories of materials

Category Threshold emissions and content requirements

Interior paints and coatings applied At least 90%, by volume, for General Emissions Evaluation for paints and coatings applied to
on site emissions; 100% for VOC content walls, floors, and ceilings
VOC content requirements for wet applied products

Interior adhesives and sealants At least 90%, by volume, for General Emissions Evaluation
applied on site (including flooring emissions; 100% for VOC content VOC content requirements for wet applied products
adhesive)

Flooring 100% General Emissions Evaluation

Composite wood 100% not covered by other Composite Wood Evaluation


categories

Ceilings, walls, thermal, and acoustic 100% General Emissions Evaluation


insulation Healthcare, Schools only
Additional insulation requirements

Furniture (include in calculations if At least 90%, by cost Furniture Evaluation


part of scope of work)

Healthcare and Schools Projects only: At least 90%, by volume Exterior Applied Products
Exterior applied products

tablE 2. Points for number of compliant categories of products

compliant categories Points

new construction, core and shell, retail, data centers, Warehouses and distribution centers,
hospitality projects without furniture

2 1

4 2

5 3

new construction, core and shell, retail, data centers, Warehouses and distribution centers,
hospitality projects with furniture

3 1

5 2

6 3
672
schools, healthcare without furniture

3 1

5 2

6 3

schools, healthcare with furniture

4 1

6 2

7 3
673
oPTion 2. budGeT CalCulaTion MeThod

If some products in a category do not meet the criteria, project teams may use the budget calculation method
(Table 3).
tablE 3. Points for percentage compliance, under budget calculation method

Percentage of total Points

50% and < 70%

70% and < 90%

90%

The budget method organizes the building interior into six assemblies:
flooring;
ceilings;
walls;
thermal and acoustic insulation;
furniture; and
Healthcare, Schools only: exterior applied products.

Include furniture in the calculations if it is part of the scope of work. Walls, ceilings, and flooring are defined as
building interior products; each layer of the assembly, including paints, coatings, adhesives, and sealants, must be
evaluated for compliance. Insulation is tracked separately.

Determine the total percentage of compliant materials according to Equation 1.


Equation 1. Total percentage compliance

for projects without = { ________________________________________________________________________ Total % compliant

( % compliant walls + % compliant ceilings + % compliant flooring + % compliant insulation )


}
furniture
4

( % compliant walls + % compliant ceilings + % compliant flooring + % compliant insulation )

Total % compliant +
for projects without
furniture
=( % compliant furniture )

Equation 2. System percentage compliant


________________________________________________________________________ }
compliant compliant compliant of layer 1

}
of layer 2 of layer 3

( surface area + surface area + surface area + ... ) 100


74

Flooring, walls, {(
)
ceilings, insulation =
% compliant total total total

surface area + surface area + surface area + ...


of layer 1 of layer 2 of layer 3
Equation 3. Furniture systems compliant, using ANSI/BIFMA evaluation

0.5 cost compliant with 7.6.1 of ANSI/BIFMA e3-2011 +

} 100

% compliant for { cost compliant with 7.6.2 of ANSI/BIFMA e3-2011

=
furniture
total furniture cost
Calculate surface area of assembly layers based on the manufacturers documentation for application.

If 90% of an assembly meets the criteria, the system counts as 100% compliant. If less than 50% of an assembly
meets the criteria, the assembly counts as 0% compliant.

Manufacturers claims. Both first-party and third-party statements of product compliance must follow the
guidelines in CDPH SM V1.12010, Section 8. Organizations that certify manufacturers claims must be
accredited under ISO Guide 65.

Laboratory requirements. Laboratories that conduct the tests specified in this credit must be accredited under
ISO/IEC 17025 for the test methods they use.

emissions and Content requirements


To demonstrate compliance, a product or layer must meet all of the following requirements, as applicable.

Inherently nonemitting sources. Products that are inherently nonemitting sources of VOCs (stone, ceramic,
powder-coated metals, plated or anodized metal, glass, concrete, clay brick, and unfinished or untreated solid
wood flooring) are considered fully compliant without any VOC emissions testing if they do not include integral
organicbased surface coatings, binders, or sealants.

General emissions evaluation. Building products must be tested and determined compliant in accordance
with California Department of Public Health (CDPH) Standard Method v1.12010, using the applicable
exposure scenario. The default scenario is the private office scenario. The manufacturers or third-party
certification must state the exposure scenario used to determine compliance. Claims of compliance for wet-
applied products must state the amount applied in mass per surface area.
675
Manufacturers claims of compliance with the above requirements must also state the range of total VOCs
after 14 days (336 hours), measured as specified in the CDPH Standard Method v1.1:
0.5 mg/m3 or less;
between 0.5 and 5.0
mg/m3; or 5.0 mg/m3 or
more.

Projects outside the U.S. may use products tested and deemed compliant in accordance with either (1) the CDPH
standard method (2010) or (2) the German AgBB Testing and Evaluation Scheme (2010). Test products either
with (1) the CDPH Standard Method (2010), (2) the German AgBB Testing and Evaluation Scheme (2010), (3)
ISO 160003: 2010, ISO 16000-6: 2011, ISO 16000-9: 2006, ISO 16000-11:2006 either in conjunction with
AgBB, or with French legislation on VOC emission class labeling, or (4) the DIBt testing method (2010). If the
applied testing method does not specify testing details for a product group for which the CDPH standard method
does provide details, use the specifications in the CDPH standard method. U.S. projects must follow the CDPH
standard method.

Additional VOC content requirements for wet-applied products. In addition to meeting the general
requirements for VOC emissions (above), on-site wet-applied products must not contain excessive levels of
VOCs, for the health of the installers and other tradesworkers who are exposed to these products. To
demonstrate compliance, a product or layer must meet the following requirements, as applicable. Disclosure of
VOC content must be made by the manufacturer. Any testing must follow the test method specified in the
applicable regulation.
All paints and coatings wet-applied on site must meet the applicable VOC limits of the California Air
Resources Board (CARB) 2007, Suggested Control Measure (SCM) for Architectural Coatings, or the
South Coast Air Quality Management District (SCAQMD) Rule 1113, effective June 3, 2011.
All adhesives and sealants wet-applied on site must meet the applicable chemical content requirements of
SCAQMD Rule 1168, July 1, 2005, Adhesive and Sealant Applications, as analyzed by the methods
specified in Rule 1168. The provisions of SCAQMD Rule 1168 do not apply to adhesives and sealants
subject to state or federal consumer product VOC regulations.
For projects outside the U.S., all paints, coatings, adhesives, and sealants wet-applied on site must either
meet the technical requirements of the above regulations, or comply with applicable national VOC control
regulations, such as the European Decopaint Directive (2004/42/EC), the Canadian VOC Concentration
Limits for Architectural Coatings, or the Hong Kong Air Pollution Control (VOC) Regulation.
If the applicable regulation requires subtraction of exempt compounds, any content of intentionally added
exempt compounds larger than 1% weight by mass (total exempt compounds) must be disclosed.
If a product cannot reasonably be tested as specified above, testing of VOC content must comply with
ASTM D2369-10; ISO 11890, part 1; ASTM D6886-03; or ISO 11890-2.
For projects in North America, methylene chloride and perchloroethylene may not be intentionally added in
paints, coatings, adhesives, or sealants.

Composite Wood Evaluation. Composite wood, as defined by the California Air Resources Board, Airborne
Toxic Measure to Reduce Formaldehyde Emissions from Composite Wood Products Regulation, must be
documented to have low formaldehyde emissions that meet the California Air Resources Board ATCM for
formaldehyde requirements for ultra-low-emitting formaldehyde (ULEF) resins or no added formaldehyde
resins.
Salvaged and reused architectural millwork more than one year old at the time of occupancy is considered
compliant, provided it meets the requirements for any site-applied paints, coatings, adhesives, and sealants.

Furniture evaluation. New furniture and furnishing items must be tested in accordance with ANSI/BIFMA
Standard Method M7.12011. Comply with ANSI/BIFMA e3-2011 Furniture Sustainability Standard, Sections
7.6.1 and 7.6.2, using either the concentration modeling approach or the emissions factor approach. Model the
test results using the open plan, private office, or seating scenario in ANSI/BIFMA M7.1, as appropriate.
USGBC-approved equivalent testing methodologies and contaminant thresholds are also acceptable. For
classroom furniture, use the standard school classroom model in CDPH Standard Method v1.1. Documentation
submitted for furniture must indicate the modeling scenario used to determine compliance.
76
Salvaged and reused furniture more than one year old at the time of use is considered compliant, provided it
meets the requirements for any site-applied paints, coatings, adhesives, and sealants.

healThCare, sChools only

Additional insulation requirements. Batt insulation products may contain no added formaldehyde, including
urea formaldehyde, phenol formaldehyde, and urea-extended phenol formaldehyde.

Exterior applied products. Adhesives, sealants, coatings, roofing, and waterproofing materials applied on site
must meet the VOC limits of California Air Resources Board (CARB) 2007 Suggested Control Measure (SCM)
for Architectural Coatings, and South Coast Air Quality Management District (SCAQMD), Rule 1168, effective
July 1, 2005. Small containers of adhesives and sealants subject to state or federal consumer product VOC
regulations are exempt.
Projects outside North America may use either the jurisdictional VOC content requirements or comply with the
European Decopaint Directive (2004/42/EC, to be updated to most current version when available) Phase II, for
water-borne coatings, as analyzed according to ISO 11890 parts 1 and 2, instead of the CARB and SCAQMD
regulatory standards.
Two materials are prohibited and do not count toward total percentage compliance: hot-mopped asphalt for
roofing, and coal tar sealants for parking lots and other paved surfaces.
Behind the intent
Many types of chemicals, both engineered and naturally occurring, are present everywhere. Volatile organic
compounds (VOCs) are chemicals that are released into the air from numerous materialssome of them natural,
humanmade, plant-based, and from animals, including people. Prolonged exposure to high concentrations of
some VOCs has been linked to a wide range of chronic health problems such as asthma, chronic obstructive
pulmonary disease, and cancer. Short-term exposure to VOCs can also cause acute reactions, such as eye, nose,
and throat irritation.
Some VOCs are present in the natural environment; however, higher concentrations of VOCs are typically
found indoors, where reduced air ventilation and numerous sources of VOCs may exist. Although completely
eliminating exposure to all VOCs is impossible, specifying low-emitting and nonemitting products will
significantly reduce the strength and quantity of VOC exposure indoors.
Project teams should specify products that meet the compliance thresholds established by recognized
standards, or choose products classified as inherently nonemitting (see Further Explanation, About the
Referenced Standards). Ideally, all interior building materialsfrom furniture and furnishings to thermal and
acoustic insulation and the interior finishes of all floors, walls, and ceilingswould be compliant. This credit,
however, uses a holistic systems approach that rewards teams for partial compliance, recognizing compliance of
product assemblies even if some of their elements do not meet the applicable standard.
This credit addresses each layer of wall, flooring, and ceiling interior finisha methodology that is
conservatively protective of occupants, given that the emissions from layers that are not directly exposed to air are
tested separately.
Air concentration measurements from chamber testing are a much better predictor of emissions over time than
VOC content limits. However, chamber emissions testing is generally more expensive, less widely adopted for
wet-applied products, and unable to evaluate emissions generated at the time of application. The credit still limits
VOC for on-site wet-applied products, in part to avoid environmental damage (e.g., smog formulation) and in
part to protect the people who apply these products or are exposed to them during installation.

SteP-BY-SteP GUidAnCe

SteP 1. ReSeARCh And SPeCifY low- oR nonemittinG finiSheS And fURnitURe


Review project documents to identify all applicable products and specify them as low- or nonemitting.
Research products that meet the requirements by having one or more of the following characteristics:
677
The product is inherently nonemitting. Examples of nonemitting products are stone, ceramic, powdercoated metals, plated or
anodized metal, glass, concrete, clay brick, and unfinished or untreated solid wood flooring, provided they do not include
integral organic-based surface coatings, binders, or sealants (see Further Explanation, Inherently Nonemitting Materials).
The manufacturer has self-declared the products compliance and provides appropriate documentation, as outlined in the
credit requirements.
The product has third-party certification of compliance.
In most cases, turning to third-party certification to recognized guidelines, such as California Department of Public Health (CDPH)
Standard Method v1.1, is the easiest way to find and specify products; in other cases, self-declared compliance to a standard,
such as South Coast Air Quality Management District (SCAQMD) Rule 1113, is widespread and sufficient. Check that the
appropriate version of the testing method was used to test the product. Check the USGBC website for an up-to-date listing of
certification programs that test to the referenced standards. (see Further Explanation,Testing Standards).
Provide the contractor with detailed specifications to ensure that the team has the information needed to meet the credit
requirements. The design team should specifically call out products that have been researched and confirm that they meet the
credit requirements.
Request the specific documentation that will be required for the certification review, such as material safety data sheets
(MSDS), third-party certificates, and test reports from subcontractors; this will help in procuring compliant products.
Certificates must state the testing methodology and the model as appropriate. the units must be stated and be consistent with
those as required. for wet-applied products, the manufacturer must state each products classification and application
according to the referenced standards definitions or be otherwise justified; how its used in the project does not count as
justification. for example, a defined roof coating is not a carpet adhesive simply because it was used this way on the project. if
the product is classified as a roof coating under scaQMD, it must meet the appropriate limit for roof coatings.
specifying only compliant products is the easiest way to ensure that the credit requirements are met and the building will have
the lowest possible emissions. But option 2 allows project teams to substitute a noncompliant product if necessary.
for the options that apply to interior applied products, the credit requirements need to be met for all products and materials
installed within the waterproofing membrane (see Further Explanation, Definitions of Building Interior and Exterior).

sTeP 2. PerforM ConsTruCTion subMiTTal revieWs


During construction, coordinate a review of the construction submittals to ensure that selected products meet the credit
requirements and do not exceed the allocated Voc emissions.
Because meeting these credit requirements is not typical for all construction teams and suppliers, conducting a LEED-specific
preconstruction meeting to review the credit requirements in detail and stress their importance will aid in successful product
procurement.
any product substitutions should be carefully reviewed by the design team and contractor for compliance with credit
requirements. some manufacturers have a list of LEED compliant products on their websites. such lists are good resources for
design teams and contractors to consult when sourcing products that may meet the requirements of this credit.

sTeP 3. seleCT one oPTion


Based on the research performed and products purchased in each category identified in the credit requirements, determine
which option is more appropriate for the project.
option 1 is simpler but less flexible, since partial credit (i.e., less than the minimum percentage compliance required) in one
category cannot be combined with partial credit in another category. if the minimum percentage compliance cannot be
attained in a category, project teams must use option 2.
option 2 offers a budget calculation method that categorizes building interior products and materials into six assemblies. if
at least 50% of an assembly is compliant, partial credit for that assembly can be combined with partial credit from another
assembly to earn points, which ensures that teams can receive partial credit for specifying compliant low-emitting products
or materials in each assembly category if full compliance is not readily achievable.
option 2 may also allow the project to achieve more points and demonstrate higher overall compliance, even if the option 1
requirements are also feasible.

option 1. Product Category Calculations

sTeP 1. idenTify all aPPliCable ProduCTs


List all specified interior paints, coatings, adhesives, sealants, flooring, composite wood, ceilings, walls, thermal and acoustic
insulation, and furniture, as applicable to the projects scope of work.
78
During the construction submittal review process, obtain manufacturer documentation confirming compliance for each
product category. all products must comply with each applicable threshold requirement. if two requirements exist, the
product must comply with both requirements.
the most effective way to track this credit is for one team member to keep a running list of products and their compliance
information (e.g., Voc content, emissions testing, emissions percentage by volume), with manufacturers documentation.
healthcare and schools projects have an additional category, exterior products, that they may choose to pursue.
furniture is considered part of the scope if it is installed at the time of occupancy, regardless of who specified or provided it.
adhesives, sealants, paints, and coatings used on site with flooring products are considered interior adhesives and sealants or
interior paints and coatings, as appropriate. the flooring itself must meet the requirements of the flooring product category.
679
80

if some layers of an assembly are noncompliant, calculate the weighted average using Equation 2.
at least 50% of an assembly must be compliant to contribute to credit compliance: if less than 50% of the assembly is
compliant, it counts as 0%; if 90% of the assembly meets the criteria, it counts as 100% compliant. if some furniture is
noncompliant, calculate the percentage of compliance using Equation 3. for healthcare and schools projects, see Further
Explanation, Rating System Variations.

As VOC emissions test methods and related criteria have advanced, the choices in standards have significantly
improved. In the very early days of LEED, only proprietary criteria and incomplete standards were available,
which did not promote competition between laboratories or provide consistent comparisons between products.
However, after much research and work in this area, qualified laboratories, manufacturers, and third-party
certification organizations are now available to support the choice of safe interior materials (see Further
Explanation, Testing Standards).
The science behind these credit criteria is complex. Compliance with the credit requires testing agencies to
measure millionths of a gram of a chemical compound in a cubic meter of air under tightly controlled laboratory
conditions, and then equate these measurements to standard building conditions to correlate the results with
realworld conditions.

Selection of the referenced standards included consideration of the following factors:


Leadership and scientific basis of target criteria (necessary for market transformation)
Rigor of the standards (specificity, consistency, repeatability across competing assessors)
Standard development process (proprietary business interest, open balanced
consensus) Market adoption (balanced with other factors but high enough to ensure
credit success)
Harmonization with best practices (necessary for efficiency and economical application)

When multiple, competing criteria exist, purchasers find it difficult to make meaningful comparisons
among products and materials. If compliance with all cited standards were required, manufacturers (and
ultimately customers) would pay for duplicative tests and evaluations, wasting precious time and resources. Thus,
harmonization on baseline standards is essential for market clarity and efficiency.

inherenTly noneMiTTinG MaTerials


Naturally occurring materials and products that are made from inorganic materials (e.g., granite) emit either very
low or no VOCs. USGBC recognizes that such products do not need to undergo testing to prove they do
not emit VOCs. For the purposes of this credit, untreated and unfinished solid wood (not engineered wood)
flooring can also be considered nonemitting even though such flooring will likely emit some amount of
formaldehyde naturally. This applies only to flooring materials, not to wood paneling or cabinetry.
681
TesTinG sTandards
CDPH Standard Method v1.1
This credit uses the California Department of Public Health (CDPH) Standard Method for the Testing and
Evaluation of Volatile Organic Chemical Emissions from Indoor Sources Using Environmental Chambers, v.
1.12010, for the emissions testing and requirements of all products and materials except furniture. The method,
widely recognized as a leadership standard for its stringent scientific criteria and detailed specificity, was
developed through an open, consensus process. It uses the chronic reference exposure levels established by the
California Office of Environmental Health Hazard Assessment, which include some of the most stringent criteria
in use. It also adopted and incorporated the first edition of the ANSI/BIFMA M7.1 standard test method for
furniture.
There is no total volatile organic compound (TVOC) pass-fail requirement in the CDPH standard, which
focuses on measuring and limiting individual VOCs. However, this credit requires manufacturers using the
CDPH standard to also disclose the range of TVOC for each product, a requirement intended to provide greater
transparency for project teams, especially when they are comparing similar materials. Though TVOC alone is a
crude measurement not suitable for health-based determinations of acceptability, it is useful as a general indicator
in combination with individual VOC measurements, since higher TVOC may suggest the need for additional
investigation.

CARB ATCM composite wood formaldehyde regulation


This credit uses the California Air Resources Board (CARB) 93120 Airborne Toxic Control Measure (ATCM)
for formaldehyde emissions from composite wood products. It provides a way to determine the compliance of
composite wood materials used in products not covered by full VOC testing in other categories. CARB 93120
ATCM is required in California but widely used internationally.
This credit uses not the minimum requirements of the CARB 93120 ATCM but the more stringent
requirements for ultra-low-emitting formaldehyde (ULEF) resins or no added formaldehyde based resins, as
defined in the CARB ATCM. These criteria are some of the strongest available for formaldehyde emissions from
composite wood.
Although composite wood compliance with the CARB formaldehyde criteria is beneficial, chamber testing for
a broader range of individual VOCs emitted from assembled products that include composite wood in
combination with other components can provide a better determination of a products potential effect on indoor
air quality. Therefore, the composite wood criteria of this credit do not apply to composite wood covered by the
full VOC testing of other categories.

ANSI/BIFMA standards
This credit requires that all furniture VOC emissions testing be conducted in accordance with the ANSI/BIFMA
M7.12011 Standard Test Method for Determining VOC Emissions from Office Furniture Systems, Components
and Seating. The second edition of this standard incorporates important advances that include defining an
emissions factor approach for compliance, refining the mathematical estimation procedures for nonmeasured time
points, and adding specific, highly detailed surface area calculation requirements to ensure consistency.
This credit also requires furniture to comply with the low-emitting requirements in the ANSI/BIFMA e3
2011 Furniture Sustainability Standard. This standard includes both the historical VOC emissions requirements
for furniture from earlier versions of LEED and the health-based requirements from the 2010 version of the
CDPH standard, both as concentration limits and as maximum emissions factors. These emissions factor limits
effectively increase the stringency of the standard and make it easier for furniture component suppliers to modify
their products for compliance.

International standards
Recognizing the need for additional compliance options for projects outside the U.S., this credit also references
select international standards, which can be used only under specific conditions because of the complicated
nature of air quality standards.
The German AgBB Testing and Evaluation Scheme (2010) is a leading industry standard that can be used
for this credit, with some limitations. The AgBB standard does not represent a European consensus but does
share common attributes with several European counterparts. It addresses six times more individual VOC
requirements than the CDPH standard, and it specifies TVOC and total semivolatile organic compound
(TSVOC) limits for all nonregulated substances. However, the standard has limitations, including the following:
82
The formaldehyde limit value of 10 g/m at 28 days must also be met when using the AgBB alternative, as
specified for class A+ in French compulsory VOC emissions class labeling.
The AgBB requirements use different exposure scenario conditions than CDPH. Because VOC emissions
from building materials generally decrease over time, the point in time for determining compliance is
critical. The more time there is for off-gassing to occur, the easier it may be to meet the standard, even
though in many cases the difference is minor (most emissions decay within the first week). CDPH requires
compliance at 14 days; the full AgBB requirements apply at three or 28 days, which this credit does not
take into account.
Similarly, this credit allows the use of the ISO 16000 series standards when combined with the AgBB standard,
the cited French legislation (Decree no 2011-321 and arrt of 19 April 2011), or the DIBT method (German
Institute for Building Technology, Principles of Health Assessment of Construction
Products in Indoor Environments, 2010 dibt.de/de/ data/Aktuelles_Ref_II_4_6.pdf). The ISO
16000 series standards do not contain enough detail to be cited alone for testing in this credit. The same
requirements for formaldehyde also apply in each of these cases.

Referenced mass VOC regulatory standards


The U.S. regulatory system for adhesives and sealants captures a limited range of listed product categories and
excludes small packages intended for consumer use. The leading CARB and SCAQMD regulations are well
ahead of other state and national regulations. Historically, CARB has developed the suggested control measure
(SCM) coatings regulatory framework later adopted by some U.S. states and Canada. SCAQMD created a
widely cited regulatory system for sealants and adhesives packaged and designed for commercial applications.
This credit includes requirements for all product categories found in the referenced standards. Product
categories that are not listed do not need to be tracked. The credit incorporates various district, state, and
national regulations limiting the overall VOC content in coatings, sealants, and adhesives. These regulatory
limits serve as a minimum requirement, in addition to emissions testing standards listed in the general emissions
requirements. Because of divergent regulatory development processes, the coatings categories, category
definitions, and VOC limits vary between CARB SCM and SCAQMD Rule 1113. Suppliers should provide
information on the proper categorization of their materials consistent with definitions in the referenced
regulations.
For projects outside the U.S., existing national VOC regulations may serve as the credit requirement. The
Canadian VOC Concentration Limits for Architectural Coatings and the Hong Kong Air Pollution Control
(VOC) Regulation are examples of local regulations deemed equivalent to the CARB SCM and SCAQMD
Rule 1113. Project teams should contact USGBC to determine additional equivalent regulations. Establishing
parity or a direct comparison with cited U.S. regulations is difficult, given varying definitions of product
categories, the VOC status of specific solvents, and varying applications of the less-water and exempt-solvent
approaches.
Information on any VOC compounds exempt from regulation is required for credit compliance. Cited regulatory
limits do not include the VOC content of colorants added to coatings at the point of sale. Pretinted flat, nonflat,
industrial maintenance coatings and stains include the VOC content of all ingredients, including colorants. buildinG
ProduCTs and sysTeMs
Use Table 5 to calculate the surface area for each layer in a building system. For all building systems listed in the
table, salvaged and reused items more than one year old at the time of occupancy do not require testing.
tablE 5. Building products and systems

building system includes Exceptions calculations


683

insulation (thermal Includes following (whether part of Insulation on interior or exterior Total area of insulation is based on installed planar areas of
and acoustic) building interior or exterior): of HVAC ductwork may be each insulation type, irrespective of placement of insulation
Thermal and acoustical boards, excluded (because of lack of (e.g., exterior or interior wall use). Total area of insulation for
batts, rolls, blankets modeling scenarios) project is sum of planar areas of all types of insulation in
defined scope. Percentage of compliant insulation is calculated
Sound attenuation fire blankets based on percentage of compliant insulation surface area.
Loose fill insulation If insulation system comprises more than one component, all
Spray foam insulation (open and components identified in spreadsheet matrix must be
closed cell) compliant for system to qualify for full credit. Otherwise, use
Equation 2 to determine credit percentage.
Example of multicomponent insulation system is insulation
board bonded to structural components with adhesive.

Flooring Includes all finished flooring: Testing not required: Total finished floor area for project is sum of areas of all
Subflooring Mineral-based finished flooring.

Fluid and trowel-applied adhesives flooring without integral Percentage of compliant flooring is calculated based on
and grout (full spread only) organic-based modifiers, or percentage of compliant floor area.
topically applied filmforming If flooring system comprises more than one component, all
Engineered wood or penetrating coatings such components identified in spreadsheet matrix must be
Resilient flooring as tile, terrazzo, and compliant for system to qualify for full credit.
Carpeting masonry
Flooring systems generally comprise multiple components;
Mineral-based tile Associated site-applied identify all components in spreadsheet matrix. This includes all
adhesives, grouts, and site-applied products and materials such as adhesives,
sealers must be meet underlays, grouting, stains, and sealers.
requirements for adhesives
and sealants. Examples of multicomponent flooring systems are carpet with
cushion, resilient flooring with site-applied sealer, tile with
Untreated and unfinished
adhesive and grout, and concrete finish consisting of stain,
solid wood flooring
sealer and top coat.

Walls Generally vertical structural Office furniture system Total wall area for project is total interior surface area of all
elements (exposed, finished, partitions (e.g., partialheight elements within scope of wall systems category.
unfinished) or floor-to-ceiling cubicle Because of potential complexity of area calculations for large
All finish wall treatments panels that are manufactured projects, wall surface areas may be estimated as for painting.
off-site) are addressed under
Interior columns Furniture and furnishings Percentage of compliant wall systems is calculated based on
Exterior and interior wall glazing percentage of compliant wall area.
Testing not required:
Doors If wall system is comprises more than one component, all
Bare concrete or metal components identified in spreadsheet matrix must be
Partial-height vertical surfaces structural elements; tile, compliant for system to qualify for full credit. Examples of
(e.g., transoms, bulkheads, pony masonry and cut stone multicomponent wall systems are drywall panel and acoustic
walls, knee walls, and similar without integral organicbased panel applied with adhesive, drywall panel with primer and
structures normally constructed coatings and sealants; factory- finish paint coats, and movable wall system with wood
and finished on-site) finished metal wall products; frame, wood door, and fabric-covered acoustic panels.
Architectural woodwork applied to and glazing.
walls Plaster and stucco without
Built-in cabinetry >1% organic additives

Floor-to-ceiling, moveable. Wall systems considered to be


demountable wall systems and architectural
partitions woodwork must comply
with prescriptive material
When it is unclear what is wall requirements specified
versus ceiling, project teams may for built-in cabinetry (see
classify elements either way, as below)
they deem appropriate.
Salvaged and reused
architectural woodwork is
available for credit without
any requirements other than
those associated with site-
applied paints, coatings,
adhesives, sealants
84

tablE 5. (continuEd) Building products and systems

building system includes Exceptions calculations

ceilings Overhead structural elements Testing not required: Total ceiling area for project is ceiling plan area for project plus
(exposed, finished, unfinished) Exposed concrete areas of additional finished ceiling planes.
Direct-applied ceiling systems Exposed metal structural Percentage of compliant ceiling is calculated based on
elements percentage of compliant ceiling area.
Suspended systems (including
canopies and clouds) Factory-finished metal ceiling If ceiling system comprises more than one component, all
Glazed skylights products components identified in USGBCs low-emitting materials
calculator must be compliant for system to qualify for full
Examples include painted drywall Glazing
credit. Examples of multicomponent ceiling systems are
and plaster, acoustical suspension Ceiling systems considered drywall panel with skim coat, primer and finish paint;
systems, specialty systems (plastic, architectural woodwork must
metal, wood), and painted or manufactured wood coffer applied with adhesive; and any
comply with prescriptive
otherwise finished structural ceiling surface with site-applied paint or coating.
material requirements
elements specified for built-in cabinetry
When it is unclear what is wall Bare concrete or metal
versus ceiling, project teams may structural elements; tile,
classify elements either way, as masonry and cut stone without
they deem appropriate integral organicbased coatings
and sealants; transition strips

built-in cabinetry Includes all furniture-like items Total emitting surface area of built-in cabinetry is the area
(subcategory of built on site that are typically exposed to interior
wall systems in procured by general contractor at For built-in cabinetry, compliance is determined based on
option 2) earlier stage than furniture and following prescriptive construction criteria intended to limit
furnishings sources of indoor VOC contaminants:
Examples: cabinets, other storage Products with composite woods constituting all or portion of
units, shelving, productdisplay product (e.g., countertops, cabinetry with composite wood
units, integrated or built-in cores and internal components) must be constructed with
reception desks and seating composite wood documented to have low formaldehyde
emissions (compliant to CARB ATCM limits for no added
formaldehyde or ultra-low formaldehyde emitting).
Materials with no defined category under ATCM must follow
requirements for particleboard. Built-in cabinetry
constructed of inherently nonemitting materials (e.g., metal
with factory-applied powder coating or plating) are eligible
for credit without testing.
Site-applied finishes must comply with VOC content limits
and VOC emissions limits for paints and coatings.
Site-applied adhesives must comply with VOC content limits
for adhesives and sealants.

Furniture and All stand-alone furniture items Salvaged and reused furniture Total amount of stand-alone furniture for project and the
Furnishings purchased for project more than one year old at relative contributions of these products is based on
Examples: individual and group time of occupancy is available purchase costs (i.e., excluding labor for installation).
seating; open-plan and private for credit without any IAQ To achieve full credit, 50% or more of total stand-alone
office workstations; desks and testing furniture costs must be compliant for project to earn credit for
tables of all types; storage units, Office accessories (e.g., desk- this category. Product compliance of 90% or more is treated as
credenzas, bookshelves, filing top blotters, trays, tape 100%.
cabinets, and other case goods; dispensers, waste baskets, Furniture and furnishing items must be tested following
wall-mounted, visual display work tools normally hung on ANSI/BIFMA Standard Method M7.12011. Compliance must
products (e.g., markerboards and office cubicle panels, monitor be determined based on BIFMA e32011 Furniture
tackboards, excluding electronic Sustainability Standard, Sections 7.6.1 and 7.6.2 using either
arms, and all electrical items
display products); and concentration modeling approach or emission factor
such as desk lamps and small
miscellaneous items (e.g., easels, approach. Model test results using open plan, private office,
appliances) are excluded
mobile carts, freestanding or seating scenario in ANSI/BIFMA M7.1 as appropriate.
screens, and movable partitions) USGBC-approved equivalent testing methodologies and
Movable partitions include office contaminant thresholds are also acceptable. For classroom
furniture system cubicle panels furniture, use standard school classroom model in CDPH
that are typically integrated with Standard Method v1.1. Documentation submitted for
work surfaces, desks, and storage furniture must indicate modeling scenario used to determine
furniture. compliance.
Hospitality and Healthcare To be compliant, furniture must comply with Section 7.6.1 or
furniture is included as applicable. Section 7.6.2 of BIFMA e32011.
685
86

Figure 3. Metal stud masonry wall


687

Figure 4. Cast in place concrete foundation wall


88
689

raTinG sysTeM variaTions


Core and Shell
Credit will be given for each product category installed in the core and shell of the building.

Healthcare and Schools


Exterior applied adhesives, sealants, coatings, roofing, and waterproofing applied on site must meet the VOC
limits of the California Air Resources Board (CARB) 2007 Suggested Control Measures (SCM) for Architectural
Coatings, and South Coast Air Quality Management District (SCAQMD) Rule 1168, effective July 1, 2005.

Submit a list of all exterior applied materials and products used on site.

Identify the regulatory VOC content, allowable VOC limit, and the total volume used on site for each product to
determine whether 90% by volume has been achieved. The regulatory VOC content must be expressed as g/L
less water and exempt solvents except for low-solids coatings, which show the content in g/L less exempt
solvents. Hotmopped asphalt and coal tar sealants are prohibited.

Equation 1 of the credit requirements for Healthcare and Schools must be modified to account for exterior applied
finishes as follows:
Equation 1. Total percentage compliance

( % compliant walls + % compliant ceilings + % compliant flooring + % compliant insulation )


Total % compliant for
projects without
furniture
=( % compliant exterior finishes)
+

________________________________________________________________________

5
}
90

( % compliant walls + % compliant ceilings + % compliant flooring + % compliant insulation )

}
+
Total % compliant for =( % compliant exterior finishes + % compliant furniture )
projects without ________________________________________________________________________
furniture
6

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
documentation option 1 option 2

X X
USGBC low-emitting materials calculator

Product information (e.g., MSDS, third-party certifications, testing reports) X X

relaTed CrediT TiPs


MR Credit Furniture and Medical Furnishings (Healthcare only). The testing standards for Option 2 of this
related credit also meet this credits testing standard requirements for furniture and furnishings products.

EQ Credit Indoor Air Quality Assessment. Using products with low emissions can significantly improve
indoor air quality. Each product category pursued increases the chance of passing the indoor air quality testing
limits for the related credit.

ChanGes froM leed 2009


Former individual credit paths have been combined into one credit, with a scaled point system for each path
earned.
Compliance of interior finishes may be demonstrated in assemblies with multiple layers in combination, or
in each system individually.
Consideration of furniture emissions has been included for all rating systems.
New referenced standards have been added to address international projects and new product requirements.
Ceilings are now included in the requirements.
Emissions from insulation are now included.
Emissions requirements for on-site, wet-applied, full-spread products measured via chamber tests in air are
now included. VOC content limits for on-site, wet-applied products are still required.

referenCed sTandards
CDPH Standard Method v1.12010: cal-iaq.org

ISO 17025: iso.org


691

ISO Guide 65: iso.org

AgBB2010: umweltbundesamt.de/produkte-e/bauprodukte/agbb.htm

ISO 16000 parts 3, 6, 7, 11: iso.org

South Coast Air Quality Management District (SCAQMD) Rule 1168: aqmd.gov

South Coast Air Quality Management District (SCAQMD) Rule 1113: aqmd.gov

European Decopaint Directive: ec.europa.eu/environment/air/pollutants/stationary/paints/paints_legis.htm

Canadian VOC Concentration Limits for Architectural Coatings: ec.gc.ca/lcpe-


cepa/eng/regulations/detailReg.cfm?intReg=117

Hong Kong Air Pollution Control Regulation:


epd.gov.hk/epd/english/environmentinhk/air/air_maincontent.html

CARB 93120 ATCM: arb.ca.gov/toxics/compwood/compwood.htm

ANSI/BIFMA M7.1 Standard Test Method for Determining VOC Emissions from Office Furniture
Systems, Components and Seating: bifma.org

ANSI/BIFMA e32011 Furniture Sustainability Standard: bifma.org


exeMPlary PerforManCe
Option 1. Earn all points and reach 100% of products.

Option 2. Reach 100% of products.

definiTions
building exterior a structures primary and secondary weatherproofing system, including waterproofing
membranes and air- and water-resistant barrier materials, and all building elements outside that system
building interior everything inside a structures weatherproofing membrane

furniture and furnishings the stand-alone furniture items purchased for the project, including individual and
group seating; open-plan and private-office workstations; desks and tables; storage units, credenzas, bookshelves,
filing cabinets, and other case goods; wall-mounted visual-display products (e.g., marker boards and tack boards,
excluding electronic displays); and miscellaneous items, such as easels, mobile carts, freestanding screens,
installed fabrics, and movable partitions. Hospitality furniture is included as applicable to the project. Office
accessories, such as desktop blotters, trays, tape dispensers, waste baskets, and all electrical items, such as
lighting and small appliances, are excluded.

interior floor finish all the layers applied over a finished subfloor or stairs, including stair treads and risers,
ramps, and other walking surfaces. Interior finish excludes building structural members, such as beams, trusses,
studs, or subfloors, or similar items. Interior finish also excludes nonfull spread wet coatings or adhesives.

interior wall and ceiling finish all the layers comprising the exposed interior surfaces of buildings, including
fixed walls, fixed partitions, columns, exposed ceilings, and interior wainscoting, paneling, interior trim or other
finish applied mechanically or for decoration, acoustical correction, surface fire resistance, or similar purposes
indoor environMenTal qualiTy CrediT

construction indoor air


Quality Management Plan
this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (1 point) Warehouses and distribution Centers (1 point) schools (1 point)
hospitality (1 point) retail (1 point) healthcare (1 point)

inTenT

to promote the well-being of construction workers and building occupants by minimizing


indoor air quality problems associated with construction and renovation.

requireMenTs
neW ConsTruCTion, Core and shell, sChools, reTail, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

Develop and implement an indoor air quality (IAQ) management plan for the construction and preoccupancy phases
of the building. The plan must address all of the following.
During construction, meet or exceed all applicable recommended control measures of the Sheet Metal and
Air Conditioning National Contractors Association (SMACNA) IAQ Guidelines for Occupied Buildings under
Construction, 2nd edition, 2007, ANSI/SMACNA 0082008, Chapter 3.
Protect absorptive materials stored on-site and installed from moisture damage.
Do not operate permanently installed air-handling equipment during construction unless filtration media with a
minimum efficiency reporting value (MERV) of 8, as determined by ASHRAE 52.22007, with errata (or
equivalent filtration media class of F5 or higher, as defined by CEN Standard EN 7792002, Particulate Air
Filters for General Ventilation, Determination of the Filtration Performance), are installed at each return air grille
and return or transfer duct inlet opening such that there is no bypass around the filtration media. Immediately
before occupancy, replace all filtration media with the final design filtration media, installed in accordance with
the manufacturers recommendations.
Prohibit the use of tobacco products inside the building and within 25 feet (7.5 meters) of the building entrance
during construction.

healThCare

Moisture. Develop and implement a moisture control plan to protect stored on-site and installed absorptive
materials from moisture damage. Immediately remove from site and properly dispose of any materials susceptible to
microbial growth and replace with new, undamaged materials. Also include strategies for protecting the building
from moisture intrusion and preventing occupants exposure to mold spores.

Particulates. Do not operate permanently installed air-handling equipment during construction unless filtration
media with a minimum efficiency reporting value (MERV) of 8, as determined by ASHRAE 52.22007, with errata
(or equivalent filtration media class of F5 or higher, as defined by CEN Standard EN 7792002, Particulate Air
693

Filters for General Ventilation, Determination of the Filtration Performance), are installed at each return air grille
and return or transfer duct inlet opening such that there is no bypass around the filtration media. Immediately before
occupancy, replace all filtration media with the final design filtration media, installed in accordance with the
manufacturers recommendations.

VOCs. Schedule construction procedures to minimize exposure of absorbent materials to VOC emissions.
Complete painting and sealing before storing or installing dry materials, which may accumulate pollutants and
release them over time. Store fuels, solvents, and other sources of VOCs separately from absorbent materials.

Outdoor emissions. For renovation projects involving waterproofing, repairing asphalt roofing, sealing
parking lots, or other outdoor activities that generate high VOC emissions, develop a plan to manage fumes and
avoid infiltration to occupied spaces. Comply with the procedures established by NIOSH, Asphalt Fume Exposures
during the Application of Hot Asphalt to Roofs (Publication 2003112).

Tobacco. Prohibit the use of tobacco products inside the building and within 25 feet (7.5 meters) of the
building entrance during construction.

Noise and vibration. Develop a plan based on the British Standard (BS 5228) to reduce noise emissions and
vibrations from construction equipment and other nonroad engines by specifying low-noise emission design or the
lowest decibel level available that meets performance requirements in the British Standard. Construction crews must
wear ear protection in areas where sound levels exceed 85 dB for extended periods.

Infection control. For renovations and additions adjacent to occupied facilities or phased occupancy in new
construction, follow the FGI 2010 Guidelines for Design and Construction of Health Care Facilities and the Joint
Commission on Standards to establish an integrative infection control team comprising the owner, designer, and
contractor to evaluate infection control risk and document the required precautions in a project-specific plan. Use the
infection control risk assessment standard published by the American Society of Healthcare Engineering and the
U.S. Centers for Disease Control and Prevention (CDC) as a guideline to assess risk and to select mitigation
procedures for construction activities.
behind The inTenT
Construction activities adversely affect indoor air quality (IAQ) when they generate dust, toxic substances, or other
contaminants, which can cause health problems not only for construction workers but also those who occupy the
building long after construction is complete. Incorporating IAQ best practices during construction has many benefits.
One is the protection of building occupants from airborne pollutants associated with the construction. Another is the
protection of construction workers from toxins and dust during build-out. A less obvious one, finally, is the benefit
gained when building material and HVAC equipment last longer and perform better over time.
This credit requires teams to develop and implement a construction IAQ management plan that follows the Sheet
Metal and Air Conditioning National Contractors Association (SMACNA) IAQ guidelines. The SMACNA standard
identifies major sources of construction-related indoor air pollution and spells out best practices for controlling them.
By implementing SMACNA IAQ strategies, projects will capture dust and other airborne pollutants, keep
contaminants and toxic substances out of building systems, and prevent mold and other damage to building
materials. Additionally, projects must protect absorptive material from moisture damage, prohibit smoking during
construction inside the building and near entrances, and ensure that any permanent air handlers operated during
construction meet filtration requirements.
Because of the special sensitivities of patients, health care facilities have additional requirements to address
noise, vibration, and infection control that go beyond the basic SMACNA guidelines.

sTeP-by-sTeP GuidanCe

neW ConsTruCTion, Core and shell, sChools, reTail, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy
694

sTeP 1. inTeGraTe sMaCna ConTrol Measures inTo ProjeCT draWinGs and sPeCifiCaTions
include compliance with sMacna guidelines and other credit requirements in drawings and specifications (see Further Explanation,
SMACNA Guidelines).
consider how the requirements and guidelines may affect design decisions. if used during construction, the air-handling equipment
must be designed to accommodate MERV 8 or higher filters. finishes such as paints and coatings specified by the design team
must be consistent with sMacna guidelines, regardless of whether those materials will contribute to other LEED credits.
include sMacna requirements in project specifications. for example, specify that air handlers and ducts be delivered to the site
prewrapped in plastic, to avoid having to protect equipment after delivery.
Review the credit requirements and sMacna guidelines in detail with all pertinent members of the design and construction
team, specifically, the construction manager, general contractor, and mechanical subcontractor(s).

sTeP 2. develoP indoor air qualiTy Plan


Before construction begins, develop an iaQ management plan that meets or exceeds the credit requirements. the iaQ plan is
typically prepared by the general contractor or construction manager. it includes iaQ management practices implemented during
construction and preoccupancy phases and describes how each requirement in the sMacna guidelines and credit requirements will
be addressed and managed on the job site. the plan should adhere to the sMacna guidelines and cover the following additional
items:
specify procedures for protecting stored and installed absorptive materials from moisture damage.
highlight the nonsmoking policy. Prohibit the use of tobacco products inside the building and within 25 feet (7.5 meters), or more if
required by the local jurisdiction, of the building entrance at all times during construction. consider prohibiting smoking on the
entire job site.
680

indicate whether air handlers will be operated during construction, and specify compliant filtration procedures for
permanent equipment that will be used. a detailed checklist instead of an iaQ management plan is also acceptable.

sTeP 3. iMPleMenT indoor air qualiTy Plan


Ensure that the iaQ management plan is in place before starting above-ground construction, storing materials on site, or roughing in
mechanical systems. take photographs of each iaQ measure for documentation.
the following best practices support successful implementation of the plan:
identify the key players and someone responsible for implementing the plan, such as the hVac installer and the general
contractor. Make sure they understand the requirements of the plan and help champion its goals.
include the iaQ management plan requirements in contract agreements with subcontractors.
as subcontractors are selected and deployed on site, familiarize them with the plan and how it will affect their daily activities.
hold a subcontractors orientation meeting to review the plan requirements as a group.
include construction iaQ progress check-ins as a regular item in weekly subcontractor meetings and safety meetings.
Provide a copy of the plan on site, preferably posted in an accessible area. translate the plan into the languages spoken by
subcontractors and their crews.
General contractors, construction managers, and owners should verify that the iaQ management plan is being followed on job
walks, ideally daily, so that issues can be addressed with subcontractors as necessary. creating a checklist of major items for
easy reference is often effective.
Decide whether air handlers need to be used during construction. if so, substituting stand-alone temporary air handlers or heaters
may make it easier to meet the hVac protection requirement. if permanent air handlers are used during construction, record the
filtration media used to meet the documentation requirements.
annotate photographs to indicate each iaQ measure depicted and its general location.
Provide photographs of the methods employed to protect stored and installed absorptive materials from moisture damage
during construction and preoccupancy.

healThCare

sTeP 1. evaluaTe infeCTion ConTrol risk


for renovations, additions adjacent to occupied facilities, or phased occupancy projects, evaluate infection control risk.
follow the 2010 fGi Guidelines for Design and construction of health care facilities and the joint commission on standards to
establish an integrative infection control team comprising the owner, designer, and contractor to evaluate infection control risk.
include an infection control risk assessment as part of the indoor air quality planknown as an environmental quality
management planand document the required precautions in the project-specific plan. the plan should take into account the
occupants, patients, and programming unique to the project and the building as a whole.

sTeP 2. inTeGraTe environMenTal qualiTy ManaGeMenT Plan inTo ProjeCT sPeCifiCaTions


Develop an environmental quality management plan (EQMP).
696

include a noise and nuisance plan based on British standard 52282009. this standard addresses noise pollution and nuisance
to neighboring properties, specifying reductions in noise and vibration from construction equipment and other nonroad
engines.
Limit construction noise (both the level of noise and its duration). use construction equipment with low noise emissions or the
lowest decibel level available that meets performance requirements in the British standard.
construction crews must wear ear protection wherever sound levels exceed 85 dB for extended periods. Provide training and
protective gear for workers.
Limit the effects of vibration on nearby historic or otherwise sensitive buildings. for example, conduct demolition in stages rather than
using a single large blast explosive.
697
implement source-reduction strategies by providing properly graded and maintained circulation paths, establishing no-idling and
sequential equipment start-up policies, and retrofitting loud equipment with noise and vibration attenuators.
use the infection control Risk assessment standard, published by the american society of healthcare Engineering and the u.s.
centers for Disease control and Prevention, as a guideline for assessing the risk of construction activities and selecting mitigation
procedures. incorporate appropriate measures into the EQMP. Draw on both this standard and the fGi guidelines to develop the
projects EQMP.
for renovation projects with any waterproofing, asphalt roofing needing repair, parking lot sealing, or other outdoor activities
with high Voc emissions, comply with procedures in national institute for occupational safety and health, niosh Publication
2003-112, asphalt fume Exposures During the application of hot asphalt to Roofs, sections 4 and 5. include details for
compliance in the project EQMP to manage fumes and avoid infiltration to occupied spaces.
include compliance with sMacna guidelines and other credit requirements in the project drawings and specifications (see
Further Explanation, SMACNA Guidelines). a detailed checklist instead of an EQMP is also acceptable.

sTeP 3. CoordinaTe environMenTal qualiTy ManaGeMenT Plan WiTh desiGn


consider how the environmental quality management requirements and guidelines may relate to design decisions.
Decide whether air handlers need to be used during construction. if so, substituting stand-alone temporary air handlers or heaters
may make it easier to meet the hVac protection requirement. if used during construction, the air-handling equipment must be
designed to accommodate MERV 8 or higher filters.
finishes such as paints and coatings specified by the design team must be consistent with sMacna guidelines, regardless of whether
those materials will contribute to other LEED credits.
include sMacna requirements in project specifications. for example, specify that air handlers and ducts be delivered to the site
prewrapped in plastic, to avoid having to protect equipment after delivery.

sTeP 4. iMPleMenT environMenTal qualiTy ManaGeMenT Plan


Ensure that the EQMP is in place before starting above-ground construction, storing materials on- site, or roughing in mechanical
systems. Photograph each measure for documentation.
the following best practices support successful implementation of the plan:
Review the credit requirements and sMacna guidelines in detail with members of the design and construction team,
particularly the construction manager, general contractor, and mechanical subcontractor(s).
identify the key players and someone responsible for implementing the plan, such as the hVac installer and the general contractor.
Make sure they understand the requirements of the plan and help champion its goals.
include the iaQ management plan requirements in contract agreements with subcontractors.
as subcontractors are selected and deployed on site, familiarize them with the plan and how it will affect their daily activities. hold
a subcontractors orientation meeting to review the plan requirements as a group.
include construction iaQ progress check-ins as a regular item in weekly subcontractor meetings and safety meetings.
Provide a copy of the plan on site, preferably posted in an accessible area. translate the plan into the languages spoken by
subcontractors and their crews.
General contractors, construction managers, and owners should verify that the iaQ management plan is being followed on job
walks, ideally daily, so that issues can be addressed with subcontractors as necessary. creating a checklist of major items for easy
reference is often effective.
Document the implementation.
Photograph each iaQ measure and annotate the images for documentation.
Photograph the methods employed to protect stored and installed absorptive materials from moisture damage during
construction and preoccupancy.
Record the filtration media used in hVac equipment.

The following SMACNA guidelines apply to teams seeking this credit.

HVAC protection. Keep contaminants out of the HVAC system. Do not run permanently installed equipment if
possible, or maintain proper filtration if it is used.
If conditioning is required during construction, use supplementary HVAC units instead of permanently
installed equipment if possible.
698
If permanently installed HVAC system must be used during construction, install filtration to protect the return
(negative pressure) side of the system. Replace these filters regularly during construction.
Seal all ductwork, registers, diffusers, and returns with plastic when stored on site or not in service. Seal
unfinished runs of ductwork at the end of each day.
Replace all filtration media before occupancy.
Do not store materials in mechanical rooms, to reduce potential debris and contamination to mechanical
systems.

Source control. Keep sources of contaminants out of the building and have a plan to eliminate any that are
introduced.
Use low-toxicity and low-VOC materials to the greatest extent possible.
Develop protocols for the use of any high-toxicity materials. Isolate areas where high-toxicity materials are
being installed and use temporary ventilation for that area.
Prevent exhaust fumes (from idling vehicles, equipment, and fossil-fueled tools) from entering the building.
Enforce the no-smoking job site policy.
Protect stored materials from moisture because absorbent materials exposed to moisture during construction
can mold and degenerate long after installation. Store materials in dry conditions indoors, under cover, and off
the ground or floor.
If materials are improperly exposed to moisture, replace the material and consider testing air quality before
occupancy to make sure no mold contamination has occurred.

Pathway interruption. Prevent circulation of contaminated air when cutting concrete or wood, sanding drywall,
installing VOC-emitting materials, or performing other activities that affect IAQ in other work spaces.
Isolate areas of work to prevent contamination of other spaces, whether they are finished or not. Seal
doorways, windows, or tent off areas as needed using temporary barriers, such as plastic separations. Provide
walk-off mats at entryways to reduce introduced dirt and pollutants.
Depressurize the work area to allow a differential between construction areas and clean areas. Exhaust to the
outdoors using 100% outdoor air, if possible.
Use dust guards and collectors on saws and other tools.

Housekeeping. Maintaining a clean job site results in fewer IAQ contaminants to manage.
Maintain good job site housekeeping on a daily basis. Use vacuum cleaners with high-efficiency
particulate filters and use sweeping compounds or wetting agents for dust control when sweeping.
Keep materials organized to improve job site safety as well as indoor air quality.

Scheduling. Sequence construction activities to reduce air quality problems in new construction projects. For major
renovations, coordinate construction activities to minimize or eliminate disruption of operations in occupied areas.
Keep trades that affect IAQ physically isolated on site and separated from each other by the construction
schedule. For example, schedule drywall finishing and carpet installation for different days or different
sections of the building. Consider after-hours or weekend work if practical.
Install absorptive-finish materials after wet-applied materials have fully cured whenever possible. For
example, install carpet and ceiling tile after paints and stains are completely dry.
If applicable, plan adequate time to conduct a flush-out and/or perform IAQ testing before occupancy, in
compliance with EQ Credit Indoor Air Quality Assessment (see Related Credit Tips).
Remove all temporary filtration media and replace them with new filters before occupancy.

inTernaTional TiPs
In countries where filters with MERV ratings are not available, filtration media must be Class F5 or higher, as
defined by CEN Standard EN 7792002. Filtration media with a minimum dust spot efficiency of 30% or higher and
greater than 90% arrestance on a particle size of 310 g are also acceptable.

CaMPus
Group Approach
699
All buildings may be documented as one. One master indoor air quality management plan is allowed. The plan
should include building specific guidelines if necessary. Photo documentation must include a sampling for all
buildings.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

all projects except


documentation
healthcare healthcare

IAQ management plan or detailed checklist, highlighting nonsmoking policy X

EQMP or detailed checklist, highlighting nonsmoking policy X

Narrative describing protection measures for absorbent materials X X

Annotated photographs of indoor air and environmental quality measures X X

Record of filtration media X X

relaTed CrediT TiPs


EQ Credit Enhanced Indoor Air Quality Strategies. The related credit builds on the best practices implemented
during construction to maintain optimal indoor air quality. Both credits have filtration requirements; however, the
related credit requires MERV 13 filtration (or Class F7 filters for projects outside the U.S.) to be installed
immediately before occupancy, whereas this credit does not specify a MERV rating for filtration installed before
occupancy.

EQ Credit Low-Emitting Materials. Both the related credit and this credits SMACNA source control strategies
require the use of low-VOC and low-toxicity materials. Although earning one credit does not necessarily mean that
all requirements are met for the other, implementing a comprehensive strategy of using low-VOC and low-toxicity
materials can contribute to earning both credits.

EQ Credit Indoor Air Quality Assessment. A single IAQ management plan can be developed for both this credit
and the related credit. Teams may pursue the assessment credit without pursuing this credit.
ChanGes froM leed 2009
The use of tobacco products during construction is now explicitly prohibited inside the building and within 25 feet
(7.5 meters) (or greater, if required by the local jurisdiction) of the building entrance.

referenCed sTandards
Sheet Metal and Air-Conditioning National Contractors Association (SMACNA) IAQ Guidelines for
Occupied Buildings under Construction, 2nd edition, 2007, ANSI/SMACNA 0082008 (Chapter 3): smacna.org

ASHRAE 52.22007: ashrae.org

CEN Standard EN 7792002: cen.eu

British Standard 52282009 (Healthcare): bsigroup.com


700

Infection Control Risk Assessment (ICRA) Standard, published by the American Society of Healthcare
Engineering (ASHE) and the U.S. Centers for Disease Control and Prevention (CDC) (Healthcare):
ashe.org/advocacy/organizations/CDC

NIOSH, Asphalt Fume Exposures During the Application of Hot Asphalt to Roofs, Publication No. 2003-112
(Healthcare): cdc.gov/niosh/topics/asphalt

exeMPlary PerforManCe
Not available.

definiTions
None.
indoor environMenTal qualiTy CrediT

indoor air Quality assessment


this credit applies to:
new Construction (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (12 points) retail (12 points) healthcare (12 points) data Centers (12 points)

inTenT

to establish better quality indoor air in the building after construction and during
occupancy.

requireMenTs
Select one of the following two options, to be implemented after construction ends and the building has been completely
cleaned. All interior finishes, such as millwork, doors, paint, carpet, acoustic tiles, and movable furnishings (e.g., workstations,
partitions), must be installed, and major VOC punch list items must be finished. The options cannot be combined.

oPTion 1. flush-ouT (1 PoinT)

Path 1. Before Occupancy


Install new filtration media and perform a building flush-out by supplying a total air volume of 14,000 cubic feet of outdoor air
per square foot (4 267 140 liters per second of outdoor air per square meter) of gross floor area while maintaining an internal
temperature of at least 60F (15C) and no higher than 80F (27C) and relative humidity no higher than 60%.
or

Path 2. During Occupancy


If occupancy is desired before the flush-out is completed, the space may be occupied only after delivery of a minimum of
3,500 cubic feet of outdoor air per square foot (1 066 260 liters per second of outdoor air per square meter) of gross floor area
while maintaining an internal temperature of at least 60F (15C) and no higher than 80F (27C) and relative humidity no
higher than 60%.
Once the space is occupied, it must be ventilated at a minimum rate of 0.30 cubic foot per minute (cfm) per square foot of
outdoor air (1.5 liters of outside air per second per square meter) or the design minimum outdoor air rate determined in EQ
Prerequisite Minimum Indoor Air Quality Performance, whichever is greater. During each day of the flush-out period,
ventilation must begin at least three hours before occupancy and continue during occupancy. These conditions must be
maintained until a total of 14,000 cubic feet per square foot of outdoor air (4 270 cubic meters of outdoor air per square meter)
has been delivered to the space.
or

oPTion 2. air TesTinG (2 PoinTs)

After construction ends and before occupancy, but under ventilation conditions typical for occupancy, conduct baseline IAQ
testing using protocols consistent with the methods listed in Table 1 for all occupied spaces. Use current versions of ASTM
standard methods, EPA compendium methods, or ISO methods, as indicated. Laboratories that conduct the tests for chemical
analysis of formaldehyde and volatile organic compounds must be accredited under ISO/IEC 17025 for the test methods they
use. Retail projects may conduct the testing within 14 days of occupancy.
Demonstrate that contaminants do not exceed the concentration levels listed in Table 1.

tablE 1. Maximum concentration levels, by contaminant and testing method

Maximum concentration
contaminant Maximum concentration astM and u.s. EPa methods iso method
(healthcare only)

Formaldehyde 27 ppb 16.3 ppb ASTM D5197; EPA TO11 ISO 16000-3
or EPA Compendium
Method IP-6

Particulates PM10: 50 micrograms per 20 micrograms per cubic EPA Compendium ISO 7708
(PM10 for all buildings; cubic meter meter Method IP-10
PM2.5 for buildings in EPA PM2.5: 15 micrograms per
nonattainment areas, or local cubic meter
equivalent)

ozone 0.075 ppm 0.075 ppm ASTM D5149 - 02 ISO 13964


(for buildings in EPA
nonattainment areas)

total volatile organic 500 micrograms per cubic 200 micrograms per cubic EPA TO-1, TO-15, TO-17, ISO 16000-6
compounds (tvocs) meter meter or EPA Compendium
Method IP-1

CDPH Standard Method CDPH Standard Method ASTM D5197; EPA TO-1, ISO 16000-3, 16000-6
target chemicals listed in v1.12010, Allowable v1.12010, Allowable TO-15, TO-17
Concentrations, Table 4-1 Concentrations, Table 4-1
cdPh standard Method v1.1,
table 4-1, except
formaldehyde
carbon monoxide (co) 9 ppm; no more than 2 ppm 9 ppm; no more than 2 EPA Compendium ISO 4224
above outdoor levels ppm above outdoor Method IP-3
levels

ppb = parts per billion; ppm = parts per million; g/cm = micrograms per cubic meter

Conduct all measurements before occupancy but during normal occupied hours, with the building ventilation system started at
the normal daily start time and operated at the minimum outdoor airflow rate for the occupied mode throughout the test.
For each sampling point where the concentration exceeds the limit, take corrective action and retest for the noncompliant
contaminants at the same sampling points. Repeat until all requirements are met.
687

behind The inTenT


Many building materials contain substances that are hazardous to human health, and construction activity can
introduce contaminants into the indoor environment. Harmful substances include formaldehyde and volatile organic
compounds (VOCs) from building materials. Dust, ozone, and fine particulate matter generated by construction
activity, diesel engines, or unfiltered outdoor air can also be harmful. Reducing indoor air contaminants has
significant human health benefits and typically improves occupants comfort, lowers absenteeism, and increases
productivity.
Testing airborne pollutant levels is the best way to demonstrate that source control strategies have been effectively
and properly implemented. For VOCs, this credit follows the California Department of Public Health Standard Method
v1.1, which is widely recognized by the industry for its science-based best practices and rigorous, well-established
testing procedures.
An alternative to testing that can improve indoor air quality is a building flush-out, an effective method to
disperse off-gassed compounds and other contaminants left behind at the end of construction. The threshold for
duration of building flush-out is based on a typical mechanical ventilation system. A typical ventilation system
supply airflow rate is 0.7 cubic feet per minute per square foot. Therefore, if a system operates at 100% outdoor air
continuously for two weeks, the cubic feet of outdoor air per square foot of floor area is calculated as follows:
)
outdoor air ft14of floor area ,112 cu ft of 2 = { 0.7 ( )cfm 14 days ( ) (24 hours 60 mins }
ft2 day hr

in si units,

outdoor air sq meter 4 294 080 lps of of floor area = {( )


3.55 lps 14 days ( ) ( ) (
24 hours 60 mins 60 sec

)
}
m2 day hr min

This demonstrates that two weeks of flush-out provides adequate time for removing contaminants from the construction
process.

sTeP-by-sTeP GuidanCe

sTeP 1. assess oPTions


Develop a plan for the preferred option. teams can change to a different option later if, for example, they run out of time to
complete a flush-out. options 1 and 2 cannot be combined to meet the credit requirements.
option 1 may be feasible if the projects schedule allows time for a flush-out. work with the mechanical engineer to estimate the
flush-out duration before the construction schedule is established (see Further Explanation, Calculations, and Considerations for
Flush-Out).
option 2 can typically be completed in less time than a flush-out, but the cost of air quality testing must be factored into the project
budget.

sTeP 2. sPeCify loW-eMiTTinG ProduCTs and MaTerials


use the requirements of the source control credits in this credit category, such as EQ credit LowEmitting Materials and EQ credit
construction indoor air Quality Management Plan, as guidance during selection and installation of products and materials.
688

By incorporating low-emitting products, the project team can reduce the contaminant load before the flush-out and position
the project for good test results. however, project teams are not required to achieve EQ credit Low-Emitting Materials to meet
the requirements of this credit. sTeP 3. insTall finishes, furniTure, and furnishinGs install all finishes, furniture, and
furnishings before testing or beginning a flush-out.
Ensure that all owner-provided furniture has been installed in residential projects.
complete all punch-list items that would generate Vocs or other contaminants.
complete testing and balancing of the hVac system.

sTeP 4. Clean buildinG


consider thoroughly cleaning the building, including the ductwork, before testing or beginning a flushout.
use low-emitting cleaning products to prevent high short-term Voc levels that may affect test results.
use vacuum cleaners with hEPa filtration to capture particulates.

option 1. flush-out
sTeP 1. seleCT PaTh 1 or PaTh 2
Path 1 is preferable if the schedule permits, since it exposes occupants to lower levels of potential toxins; Path 2 is appropriate if
the schedule does not allow time for Path 1 (see Further Explanation, Examples 14).
for Path 2, begin the flush-out three hours before daily occupancy and continue throughout the occupied portion of the
day.
for Path 2, ensure that outdoor air volume is at least 0.30 cubic feet per minute per square foot (1.5 liters per second per square
meter) or the design minimum outdoor air rate, whichever is greater.

sTeP 2. CalCulaTe required voluMe use the gross square footage (or square meters) to calculate the total cubic feet (or liters) of
air required. the area used must be consistent with the area used for other credits. Every space in the building must be flushed
out (see Further Explanation, Calculations).

sTeP 3. deTerMine duraTion of flush-ouT


Determine the rate of outdoor air the hVac system can provide and calculate the duration of flush-out with the required volume
calculated in step 1 (see Further Explanation, Calculations).
if a shorter duration is desired, or if the hVac system is unable to provide at least 0.3 cubic feet per minute per square foot
(1.5 liters per second per square meter) for an occupied flush-out, supplemental units may be used. Ventilation fans
without supplemental cooling or heating, or temporary, supplemental hVac units (installed in window or door openings)
may be used, provided the outdoor conditions are within the required temperature and humidity constraints at all times
during the flush-out. see the credit requirements.
706

commissioning can occur during the flush-out, provided none of the commissioning procedures introduce contaminants into the
space and none of the flush-out procedures circumvent the commissioning process. complete testing and balancing of the hVac
system after the flush-out is complete.
if even partial construction work occurs during the flush-out (e.g., repainting a room) the flush-out must be started again from
the beginning for that space.
if multiple, discrete hVac systems operate independently, the team may flush out portions of the building as work is completed in
each area served by a given system.

sTeP 4. rePlaCe or insTall filTers if the permanent hVac system will be used to perform the flush-out procedure, first replace
used filters.
Replace the used hVac filtration media with new media. filter selection has implications for other credits (see Related Credit Tips).
Remove any temporary filters or duct coverings installed as part of the construction indoor air quality management plan.
689

sTeP 5. CoMPleTe flush-ouT complete the flush-out, following the requirements for Path
1 or Path 2.

sTeP 6. PrePare flush-ouT rePorT


Provide a flush-out report that includes the following information:
Duration calculations. include the capacity of all hVac units used and indicate which are permanent and which temporary;
capacity should take into account the volume of outdoor air and temperature and humidity allowances.
Description of flush-out procedure. include a log of dates, hours, and recorded temperature and humidity.
if the amount of outdoor air is more than has been designed in EQ Prerequisite Minimum indoor air Quality Performance or more
than shown on the mechanical schedules, include a narrative explaining how the additional air was provided to the building.

option 2. air Testing


sTeP 1. deTerMine air-TesTinG loCaTions
select testing locations with the least ventilation but the greatest concentration of Vocs and other contaminants. testing must be
completed by an appropriately accredited professional. use current versions of astM or iso methods. the number of testing
locations depends on the size of the building and number of ventilation systems but must include all occupied spaces. if sampling
is used, all space types must be represented (e.g., office and classroom). use the following methodology to determine how many
air testing locations are required.
test at least one location per ventilation system for each occupied space type. there must be a minimum of one test per floor.
the locations selected for testing must represent the worst-case zones where the highest concentrations of contaminants of
concern are likely to occur.
for offices, retail, schools, hospitality, and multifamily residential projects, test areas no larger than
5,000 square feet (465 square meters). for warehouses or large open spaces in other building types (e.g., ballrooms in
hospitality, gymnasiums in schools), a limit of 50,000 square feet (4 654 square meters) may be used. if there is evidence that the
air in the space is well mixed and sources of contaminants of concern are uniform, project teams may test a single location in
that space.
Determine whether the project includes spaces (e.g., offices, school classrooms, or multifamily residential units) that are
identical in their construction, finishes, configuration, square footage, and hVac systems. Project teams may sample identical
spaces by testing one in seven. if the sampled space fails the test, all seven must be tested.

sTeP 2. PerforM TesT


Ensure that the following procedures are followed at all test locations. if a test fails, take corrective action (e.g., clean and flush out
the space) and retest. the duration of any flush-out between tests is at the discretion of the project team.
the measurement equipment must be positioned in the breathing zone, between 3 and 6 feet (900 and 1 800 millimeters)
above the floor.
the test must occur during normal occupied hours, with the hVac system starting at the normal start time and delivering outdoor
air at the minimum rate.
708

the gravimetric method must be used for testing.

sTeP 3. PrePare indoor air qualiTy TesTinG rePorT


Develop an iaQ testing report that includes the following:
narrative describing procedures and how locations were determined Dates and
results of each test
Option 1, Path 1. Flush-Out before Occupancy
Option 1, Path 2. Flush-Out during Occupancy

Equation 1. Flush-out outdoor air volume

Cubic feet of outdoor air needed prior to occupancy = Area (ft2) 14,000 cfm

= Area (m2)
Liters of outdoor air needed prior to occupancy 4 267 140 lps

Equation 2. Flush-out outdoor air volume before occupancy

Cubic feet of outdoor air needed prior to occupancy = Area (ft2) 3,500 cfm of outdoor air

Liters of outdoor air needed prior to occupancy = Area (m2) 1 066 260 lps

Options 1 and
Equation 3. Flush-out outdoor air volume during occupancy
2

Cubic feet of outdoor air needed during occupancy to complete flush-out = Area (ft2) 10,500 cfm

Liters of outdoor air needed during occupancy to complete flush-out Area (m2) 3 200 880 lps

Equation 4. Flush-out duration


710

{ ( Area

(ft2) 14,000 cfm

Duration (Days)
)

=
}
( Air handler capacity 1440 minutes/day )

{ ( Area (m2) 4 267 140 lps ) }


Duration (Days) =

( Air handler capacity 86 400 seconds/day )


exaMPles
The figures below assume that air handlers are capable of delivering 100% outdoor air while maintaining 60
80F (1527C) and 60% relative humidity 24 hours per day.

Example 1. Option 1, Path 1, flush-out before occupancy calculation (IP)


691

tablE 2. Option 1, Path 1 (IP)

duration of
total outdoor volume of air air handler preoccupancy flush- duration of
net office area
air required required before outdoor air out preoccupancy
(ft2)
(cfm/ft2) occupancy (cf) capacity (cfm) (minutes) flush-out (days)

space type 1 50,000 14,000 700,000,000 15,000 46,667 32.4

10,000 14,000 140,000,000 4,000 35,000 24.3


space type 2

space type 3 5,000 14,000 70,000,000 5,000 14,000 9.7

Example 2. Option 1, Path 1, flush-out before occupancy calculation (SI)


tablE 3. Option 1, Path 1 (SI)

volume of air duration of


total outdoor required before air handler preoccupancy flush- duration of
net office area
air required occupancy outdoor air out preoccupancy
(m2)
(lps/m2) (liters) capacity (lps) (seconds) flush-out (days)

4645 4267 140 19 820 865 300 7 079 2 799 953 32.4
space type 1

space type 2 929 4267 140 3 964 173 060 1 888 2 099 668 24.3

space type 3 464 4267 140 1 979 952 960 2 360 838 963 9.7

Example 3. Option 1, Path 2, flush-out during occupancy calculation (IP)

tablE 4. Option 1, Path 2 (IP)

space
type 1

space
type 2

space
type 3

* Minimum rate required in Prerequisite Minimum Indoor Air Quality Performance

Example 4. Option 1, Path 2, flush-out during occupancy calculation (SI)

tablE 5. Option 1, Path 2 (SI)


712

space
type 1

space
type 2

space type
3

* Minimum rate required in EQ Prerequisite Minimum Indoor Air Quality Performance

ConsideraTions for flush-ouT


Before committing to a flush-out, check with the mechanical engineer to confirm that proposed mechanical
systems are capable of providing outdoor air at the required rate. Flush-out during occupancy requires at least
0.3 cubic feet per minute per square foot (1.5 liters per second per square meter) of outdoor air.
Systems that meet ASHRAE 62.12010 airflow rates and provide a fixed volume of outdoor air may not be
able to provide sufficient outdoor air, or the flush-out could take a long time.
For systems that can provide a sufficient volume of outdoor air, confirm that heating and cooling equipment
can handle the additional load from increased outdoor air during times of peak heating and cooling. The equipment
must be able to maintain an internal temperature between 60F (15C) and 80F (27C), with a relative humidity
no higher than 60%.
Buildings with air-side economizers may be able to provide the required outdoor air during the free cooling
season, reducing the energy required to provide the increased outdoor air, assuming it can be provided at a
constant volume.

inTernaTional TiPs
To address PM2.5 and ozone (see Table 1), use an equivalent to the U.S. EPA standards for nonattainment areas.
If no equivalent exists, consider the project to be in a nonattainment area.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
693
required doCuMenTaTion

documentation option 1, Path 1 option 1, Path 2 option 2

Flush-out report X X

IAQ testing report X

relaTed CrediT TiPs


EQ Prerequisite Minimum Indoor Air Quality Performance. Projects that pursue Option 1,
Path 2 (flush-out during occupancy), must use the greater of the minimum outdoor air rate
determined for this prerequisite or 0.30 cubic feet per minute per square foot (1.5 liters per
second per square meter) for the occupied portion of the flush-out.

EQ Credit Enhanced Indoor Air Quality Strategies. Projects that pursue Option 1 must install new MERV 13
or Class F7 filters before the flush-out to meet the requirements of this credit. Using comprehensive strategies
will improve indoor air quality, increase the effectiveness of a flush-out, and increase the likelihood of passing
the air quality tests.

EQ Credit Low-Emitting Materials. Specifying low-emitting products and materials will improve indoor air
quality, increase the effectiveness of a flush-out, and increase the likelihood of passing the air quality tests.

EQ Credit Construction Indoor Air Quality Management. For projects that pursue Option 1, new filters that
meet the appropriate specifications and were installed immediately before the flush-out also satisfy the
requirements of this credit. Proper attention to contaminants during construction will improve overall indoor air
quality, increase the effectiveness of a flush-out, and increase the likelihood of passing the air quality tests.

ChanGes froM leed 2009


Installation of movable furnishings (such as workstations and partitions) before testing or flush-out is now
required rather than just recommended.
Options can no longer be combined.
An upper interior temperature limit is now identified in Option 1.
Testing is now required for an expanded list of contaminants in Option 2.

referenCed sTandards
ASTM D519709e1 Standard Test Method for Determination of Formaldehyde and Other Carbonyl
Compounds in Air (Active Sampler Methodology): astm.org/Standards/D5197.htm

ASTM D514902(2008) Standard Test Method for Ozone in the Atmosphere: Continuous
Measurement by Ethylene Chemiluminescence: astm.org/Standards/D5149

ISO 16000-3, Indoor airPart 3: Determination of formaldehyde and other carbonyl


compounds in indoor air and test chamber airActive sampling method:
iso.org/iso/home/store/catalogue_tc/catalogue_detail.htm?csnumber=51812
ISO 16000-6, Indoor airPart 6: Determination of volatile organic compounds in indoor and test chamber
air by active sampling on Tenax TA sorbent, thermal desorption and gas chromatography using MS or
MS-FID:
iso.org/iso/home/store/catalogue_tc/catalogue_detail.htm?csnumber=52213
714
ISO 4224 Ambient airDetermination of carbon monoxideNondispersive infrared spectrometric
method: iso.org/iso/home/store/catalogue_tc/catalogue_detail.htm?csnumber=32229

ISO 7708 Air qualityParticle size fraction definitions for health-related sampling:
iso.org/iso/home/store/catalogue_tc/catalogue_detail.htm?csnumber=14534

ISO 13964 Air qualityDetermination of ozone in ambient airUltraviolet photometric method:


iso.org/iso/home/store/catalogue_tc/catalogue_detail.htm?csnumber=23528

U.S. EPA Compendium of Methods for the Determination of Air Pollutants in Indoor Air, IP-1: Volatile
Organic Compounds, IP-3: Carbon Monoxide and Carbon Dioxide, IP-6: Formaldehyde and other
aldehydes/ ketones, IP-10 Volatile Organic Compounds: nepis.epa.gov

U.S. EPA Compendium of Methods for the Determination of Inorganic Compounds in Ambient Air, TO-1:
Volatile Organic Compounds, TO-11: Formaldehyde, TO-15: Volatile Organic Compounds, TO-17:

Volatile Organic Compounds: epa.gov/ttnamti1/airtox.html

California Department of Public Health, Standard Method for the Testing and Evaluation of Volatile
Organic Chemical Emissions from Indoor Sources using Environmental Chambers, v1.12010: cal-
iaq.org/separator/voc/standard-method

exeMPlary PerforManCe
Not available.

definiTions
None.
indoor environMenTal qualiTy CrediT

thermal comfort
this credit applies to:
new Construction (1 point) Warehouses and distribution Centers (1 point)
schools (1 point) hospitality (1 point) retail (1 point) healthcare (1
point) data Centers (1 point)

inTenT

to promote occupants productivity, comfort, and well-being by providing quality thermal


comfort.

requireMenTs
Meet the requirements for both thermal comfort design and thermal comfort control.

Thermal Comfort design


neW ConsTruCTion, sChools, reTail, daTa CenTers, hosPiTaliTy, healThCare

oPTion 1. ashrae sTandard 55-2010


Design heating, ventilating, and air-conditioning (HVAC) systems and the building envelope to meet the
requirements of ASHRAE Standard 552010, Thermal Comfort Conditions for Human Occupancy, with errata
or a local equivalent.
For natatoriums, demonstrate compliance with ASHRAE HVAC Applications Handbook, 2011 edition,
Chapter 5, Places of Assembly, Typical Natatorium Design Conditions, with errata.
or

oPTion 2. iso and Cen sTandards


Design HVAC systems and the building envelope to meet the requirements of the applicable standard:
ISO 7730:2005, Ergonomics of the Thermal Environment, analytical determination and interpretation of
thermal comfort, using calculation of the PMV and PPD indices and local thermal comfort criteria; and
CEN Standard EN 15251:2007, Indoor Environmental Input Parameters for Design and Assessment of
Energy Performance of Buildings, addressing indoor air quality, thermal environment, lighting, and
acoustics, Section A2.
daTa CenTers only

Meet the above requirements for regularly occupied spaces.

Warehouses and disTribuTion CenTers

Meet the above requirements for office portions of the building.


In regularly occupied areas of the buildings bulk storage, sorting, and distribution areas, include one or more
of the following design alternatives:
radiant flooring;
circulating fans;
passive systems, such as nighttime air, heat venting, or wind flow;
localized active cooling (refrigerant or evaporative-based systems) or heating systems;
and localized, hard-wired fans that provide air movement for occupants comfort.
other equivalent thermal comfort strategy.

Thermal Comfort Control

neW ConsTruCTion, sChools, reTail, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

Provide individual thermal comfort controls for at least 50% of individual occupant spaces. Provide group
thermal comfort controls for all shared multioccupant spaces.
Thermal comfort controls allow occupants, whether in individual spaces or shared multioccupant spaces, to
adjust at least one of the following in their local environment: air temperature, radiant temperature, air speed,
and humidity.

hosPiTaliTy only

Guest rooms are assumed to provide adequate thermal comfort controls and are therefore not included in the credit
calculations.
716
reTail only

Meet the above requirements for at least 50% of the individual occupant spaces in office and administrative
areas.

healThCare

Provide individual thermal comfort controls for every patient room and at least 50% of the remaining individual
occupant spaces. Provide group thermal comfort controls for all shared multioccupant spaces.
Thermal comfort controls allow occupants, whether in individual spaces or shared multioccupant spaces, to
adjust at least one of the following in their local environment: air temperature, radiant temperature, air speed,
and humidity.
717
18

sTeP-by-sTeP GuidanCe

sTeP 1. esTablish TherMal CoMforT Goals


work with the owner to understand expectations for the indoor thermal environment, the level of control that occupants should
have, and characteristics of the occupant population.
Determine whether a tightly controlled environment is required or whether some variation in indoor conditions is acceptable.
Determine whether occupants would see natural conditioning as a workplace benefit.
consider including factors and design criteria related to occupants in the owners project requirements (oPR) for commissioning
activities.
thermal comfort needs for natatoriums are unique (see Further Explanation, Natatoriums). Data center and warehouses and
Distribution center projects also have different needs (see Further Explanation, Rating System Variations).

sTeP 2. seleCT CondiTioninG sysTeM


Based on the thermal comfort goals, determine the best conditioning approach for the project (see Further Explanation, Thermal
Comfort Conditioning Approaches).
consider whether the project is a candidate for natural conditioning. Examine the climate by season, including temperature,
humidity, and air quality, to determine optimal times of the year for natural conditioning.
identify program areas that could be designed to accommodate cross or stack ventilation and consider ways they could be
organized to create microclimates to expand annual hours of natural
conditioning (see Further Explanation, Criteria for Occupant-Controlled Naturally Conditioned Spaces).

sTeP 3. seleCT CoMforT ConTrols


Determine the best thermal comfort controls for the conditioning system(s) selected, based on the type of project and
occupants activities (see Further Explanation, Rating System Variations and Project Type Variations).
consider thermal comfort controls that allow occupants to control air temperature, radiant temperature, air speed, and
humidity.
Examples of eligible thermal comfort controls include thermostats, ceiling fans, adjustable underfloor diffusers, task-mounted
controls (such as plug-in desktop fans, humidifiers, or dehumidifiers), and operable windows. Examples of ineligible thermal
comfort controls include a ceiling diffuser without an accessible control, and a thermostat with a fixed setpoint that cannot be
adjusted by occupants.
Zone the conditioning system to ensure that at least 50% of individual occupant spaces have individual thermal comfort
controls. additional controls may be appropriate for some projects but are not required by this credit.
Provide at least one group thermal comfort control in each shared multioccupant space. Meeting spaces that can be subdivided
(e.g., a convention hall with movable walls) must be designed such that each group of occupants can control their area.

sTeP 4. seleCT TherMal CoMforT sTandard


Decide which standard or set of standards is suited to the project. Either option is appropriate for common space types, such as
offices, educational buildings, hospitals, hotels and restaurants, and retail buildings. for other building types, see Further
Explanation, Project Type Variations.
option 1 is suitable for most u.s. project teams, who are likely familiar with ashRaE standard 552010. this option also allows
project teams to use the same standard for both mechanically and naturally conditioned spaces.
option 2 relies on two international standards, iso 77302005 and En 152512007, to document mechanically and naturally
conditioned spaces, respectively.
Both options include compliance paths for mechanically and naturally conditioned spaces based on the same comfort models.
option 1. ashrae standard 552010
sTeP 1. seleCT analysis MeThod(s)
select the methodology from ashRaE standard 552010 that will be used for the thermal comfort analysis.
for mechanically conditioned spaces, select one or more of the following from section 5.2, Methods for Determining acceptable
conditions in occupied spaces:
section 5.2.1, Graphic comfort Zone Method for typical indoor Environments
section 5.2.1.2, computer Model Method for General indoor application
section 5.2.3.1, Graphic Elevated air speed Method
section 5.2.3.2, sEt Method section 5.2.4 must also be followed for potential sources of
local discomfort.
719
for naturally conditioned spaces, select section 5.3, optional Method for Determining acceptable thermal conditions in
naturally conditioned spaces. the optional method is available only for spaces that meet certain criteria (see Further
Explanation, Criteria for Occupant-Controlled Naturally Conditioned Spaces). spaces that do not meet these criteria must
follow one of the mechanically conditioned spaces methods.
for mixed-mode spaces, each seasonal conditioning strategy must be documented separately. for example, demonstrate heating
season compliance using section 5.2 and cooling season compliance using section 5.3.

sTeP 2. PerforM analysis if using section 5.2, perform the analysis as described in the
standard.
Estimate occupants personal factors, such as clothing and activity levels.
using the owners comfort expectations, energy goals, and occupancy factors, set seasonal comfort criteria for operative
temperature, humidity, and air speed for each programmed area. Refer to ashRaE 552010, appendices a and B, for
recommended values.
calculate the effects of any likely local discomfort sources, such as radiant temperature asymmetry, vertical air temperature
difference, floor surface temperature, and drafts, as described in section 5.2.4. confirm that dissatisfaction is within the
allowable ranges listed in table 5.2.4. this analysis may be an iterative process in which thermal conditions are revised or refined
to meet the ashRaE requirements. By using the standard in this way, project teams can ensure that the thermal conditions meet
the credit requirements before they begin detailed design work. if using section 5.3, perform the analysis as described in the
standard.
calculate mean monthly outdoor temperature for the projects location, as described in the ashRaE standard, for times of the
year when natural conditioning is used.
use figure 5.3 to establish the upper and lower operative temperature limits of the comfort zone. it may be helpful to plot
mean monthly outdoor temperatures, comfort zone boundaries, and design operative temperatures on figure 5.3.
compare indoor operative temperatures with the comfort zone boundaries.

sTeP 3. desiGn ProjeCTs CondiTioninG sysTeMs


Design the projects conditioning systems to provide the acceptable comfort conditions identified in the previous step.
additionally, verify that all spaces at risk for discomfort, such as locations close to entrances prone to drafts or west-facing
walls that may retain heat, have been addressed.
ashRaE 552010, section 6.1, requires the design to be within the acceptable comfort range at all combinations of conditions
that are expected to occur, including variations in internal loads and the exterior environment, and at both full- and partial-load
conditions. systems that cannot maintain comfort under all conditions (e.g., a constant-volume rooftop unit with a single
compressor may have problems
controlling humidity levels) do not meet the credit requirements (see Further Explanation, Examples).
20

option 2. iso 77302005 and en 152512007


sTeP 1. seleCT analysis MeThod(s) select the methodology that will be used for the thermal
comfort analysis.
for mechanically conditioned spaces, select iso 77302005.
certain criteria (see Further Explanation, Criteria for Occupant-Controlled Naturally Conditioned Spaces). spaces that do not meet
these criteria must follow iso.
for mixed-mode spaces, each seasonal conditioning strategy must be documented separately. for example, demonstrate heating
season compliance using iso 7730 and cooling season compliance using En 15251.

sTeP 2. seleCT buildinG CaTeGory


identify the space category and comfort threshold for the project based on the selected standards classifications.
the iso and En standards set different ranges of comfort acceptability for specific building types and occupant populations (table 1).
category B (iso) and category ii (En) are appropriate for most new buildings.

tablE 1. Comparison of comfort acceptability ranges, ISO 77302005 and EN 152512007

category
allowable predicted mean allowable predicted
iso En 15251 description
vote percentage dissatisfied
7730 2005 2007

Recommended for spaces occupied by very sensitive


A I and fragile persons with special requirements (very 0.2 < PMV < 0.2 <6%
young children, elderly, ill)

B II Suitable for most new buildings and renovations 0.5 < PMV < 0.5 <10%

C III Suitable for existing buildings 0.7 < PMV < 0.7 <15%

Values other than above; acceptable for only part of


IV year PMV < 0.7 or PMV > 0.7 >15%

PMV = predicted mean vote (index of thermal comfort) PPD = predicted percentage (of people) dissatisfied
Source: This excerpt is adapted and modified from ISO 7730:2005 and EN 15251:2007 with the permission of ANSI on behalf of ISO. ISO
2013 All rights reserved.
721
sTeP 3. PerforM analysis if using iso 7730-2005, perform the analysis as described in the
standard.
Estimate occupants personal factors, such as clothing and activity levels.
using the owners comfort expectations, energy goals, and occupancy factors, set seasonal comfort criteria for operative
temperature, humidity, and air speed for various programmed areas. Refer to iso 77302005, appendices a and c, for
recommended values.
use the simplified look-up tables provided in iso 77302005, annex E, to determine PMV for spaces with 50% relative humidity
and minimal difference between air and mean radiant temperature. for spaces that do not meet annex E criteria, calculate
PMV as described in section 4.1 or annex D.
confirm that PMV falls within the allowable range for general thermal comfort for appropriate building category (table 1).
calculate the effects of any likely local discomfort sources, such as draughts, vertical air temperature difference, floor
surface temperature, and radiant temperature asymmetry, as described in iso 7730 2005, section 6, and annex a, section
a.3, and confirm that dissatisfaction is within the allowable ranges listed in annex a, table a1. this analysis may be an iterative
process in which thermal conditions are revised or refined to meet the iso requirements. By using the standard in this way,
project teams can ensure that design criteria meet the credit requirements before they begin detailed design work.
if using En 152512007, perform the analysis as described in the standard.
calculate running mean outdoor temperatures for the projects location, as described in section 3.11 of the En standard, for
times of the year when natural conditioning is used.
22

use figure a1 or the equations in section a.2 of the En standard to establish the upper and lower operative temperature limits of the
comfort zone. it may be helpful to plot running mean outdoor temperatures, comfort zone boundaries, and design operative
temperatures on figure a1.
compare design operative temperatures with the comfort zone boundaries.

sTeP 4. desiGn ProjeCTs CondiTioninG sysTeMs


Design the projects conditioning systems to provide the acceptable comfort conditions identified in the previous step.
additionally, verify that all spaces at risk for discomfort, such as locations close to entrances prone to drafts or west-facing
walls that may retain heat, have been addressed.
iso 77302005, section a.2, requires the mechanical conditioning system design to maintain the specified comfort ranges at all
locations within the occupied zone of a space at all times. systems that cannot maintain comfort under all conditions (e.g., a
constant-volume rooftop unit with a single compressor may have problems controlling humidity levels) do not meet the credit
requirements (see Further Explanation, Examples).

There are three basic approaches to conditioning for thermal comfort: mechanical, natural, and a combination.

Mechanical conditioning is the use of mechanical systems, such as chillers and boilers, to supply cooling or
heating to a space. Comfort is based on the predicted mean vote (PMV) model, which is the result of laboratory-
based controlled climate chamber research in which test subjects assigned comfort values to different conditions.
PMV assumes relatively consistent comfort conditions with minimal adjustment for seasonal variations.
Occupants of mechanically conditioned spaces have come to expect a tightly controlled indoor thermal
environment and a narrow band of indoor conditions.

Natural conditioning is the use of zero-energy strategies, such as cross or stack natural ventilation paths, passive
solar heating, and thermal mass, to moderate exterior conditions. The thermal comfort zone is determined using
the adaptive comfort model, which accounts for outdoor climate as well changes in occupants expectations,
clothing adjustments and use of controls, such as operable windows. Occupants of naturally conditioned spaces
typically expect a broader comfort zone and accept more variation in comfort conditions, both of which can
facilitate lowerenergy solutions than are possible with mechanical conditioning alone.

Mixed-mode conditioning combines mechanical and natural conditioning systems, which may be used
concurrently or on an alternating basis (within a working day or seasonally) in the same space, or may be
used independently in different spaces in the same building.

CriTeria for oCCuPanT-ConTrolled naTurally CondiTioned sPaCes


The referenced standards, ASHRAE 552010, Section 5.3, and EN 152512007, Section A.2, set the following
requirements for when the occupant-controlled naturally conditioned spaces (or adaptive) method may be used:
Occupants metabolic rate is between 1.0 and 1.3 metabolic equivalent of task (MET).
723
Occupants are free to adapt their clothing to the indoor and/or outdoor thermal
conditions. User-controlled operable windows are present.
No mechanical cooling is installed.
Running mean outdoor temperatures are within the ranges specified in the standards at times of year when
natural conditioning is used.
The natural conditioning comfort model cannot be applied to times of the year when the heating
system is operating.

exaMPles
Example 1. Option 1, mechanically conditioned, graphic method
An office space is cooled with an underfloor air system and heated by perimeter fin tube radiators. The metabolic
rate for the space is 1.1, per ASHRAE Appendix A. The clothing insolation (clo) is calculated as 0.9 when the
outdoor environment is cool and 0.6 when the outdoor environment is warm, per garment insulation values from
ASHRAE 552010, Appendix A, Table B2.
The project team has decided to determine compliance using the graphic method, described in ASHRAE 55
2010, Section 5.2.1.1. The design air speeds (less than 40 feet per minute), clothing insulation levels (0.51.0
clo), and occupant metabolic rate1.01.3 MET) are all within the specified ranges for this method.
The comfort zone boundaries are calculated using the ASHRAE equations for Tmax, Icl, Tmin, Icl, and Icl. The
design parameters and comfort zone boundaries are plotted on a psychometric chart (Figure 2). The team has
determined that any local thermal discomfort effects are unlikely. Because the spaces operative temperature and
humidity levels fall within the comfort zone in heating and cooling modes, the project achieves the credit.

Example 2. Option 1, mechanically conditioned, computer model method


An offices file room is heated and cooled by a fan coil unit. Because the occupants of this space will be
standing and filing, the expected metabolic rate is 1.4 MET, per ASHRAE 552010, Appendix A. The clo is
calculated as in Example 1.
The project team is determining compliance using the computer model method, described in ASHRAE 55
2010, Section 5.2.1.2, because the activity level exceeds the upper metabolic limit of the graphic method (1.3
MET) but falls below the 2.0 limit for computer model method.
The design parameters are entered into the Center for the Built Environment (CBE) Thermal Comfort Tool
for ASHRAE-55, which performs the required PMV and PPD calculation. The results from the tool (Figure 3)
24
indicate that the rooms operative temperature and humidity levels comply with the standard, and the project
meets the credit requirements.
Figure 3. Supporting documentation for Example 2.
Source: Hoyt Tyler, Schiavon Stefano, Piccioli Alberto. 2013, CBE Thermal Comfort Tool for ASHRAE-55.
Center for the Built Environment, University of California Berkeley, http://cbe.berkeley.edu/comforttool/

Example 3. Option 1, naturally conditioned, adaptive method


An open office space is naturally cooled with occupant-controlled operable windows and does not have any
mechanical cooling system installed. Heating is provided by fin tube radiators.
The project team has decided to determine compliance for the cooling period (April through October) using
the adaptive method, described in ASHRAE 552010, Section 5.3, Optional Method for Determining Acceptable
Thermal Conditions in Naturally Conditioned Spaces.
The average monthly outdoor temperatures and design operative temperatures are plotted on Figure 5.3, found
in Section 5.3 of the standard (Figure 4).
The project team must also determine compliance for the mechanically conditioned heating period (November
through March) and uses the CBE Thermal Comfort Tool for ASHRAE-55, as described in Example 2.

Figure 4. Supporting documentation for Example 3


725

Example 4. Option 2
A classroom is naturally cooled via operable windows that are manually operated by teachers and students. The
heating system consists of a hydronic radiant panel supplied with hot water from a central boiler system and
controlled by a local thermostat in each classroom.
The project team has decided to determine compliance for the cooling period using the adaptive method,
described in EN 152512007, Annex A, Section A.2, and will determine compliance for the mechanically
conditioned heating period using ISO 77302005, Table E.3.
The project team creates a summary table for the design parameters (Table 2).
tablE 2. Summary table for Example 4

Mean monthly
activity level operative outdoor relative
space type temperature (c) air speed (m/s)
(MEt) temperature (c) humidity (%)

cooling Classroom 1.2 25.5 20 N/A 1

heating Classroom 1.2 22.2 N/A 50 0.15

The average mean monthly outdoor temperature and design operative temperature is plotted on Figure A1 in
Annex A of the EN standard (Figure 5).
Figure 5. Supporting documentation for naturally conditioned period for Example 4. This excerpt is adapted and modified from ISO
7730:2005 and EN 15251:2007 with the permission of ANSI on behalf of ISO. ISO 2013 All rights reserved.
26

The design parameters were compared with ISO 77302005, Annex E, Table E.3 (Figure 6), and the PMV was
determined to be 0.40. This is within the acceptable range for a Category B building, which is 0.5<PMV<+0.5.

Figure 6. Supporting documentation for mechanically conditioned period for Example 4. This excerpt is adapted and modified from
ISO 7730:2005 and EN 15251:2007 with the permission of ANSI on behalf of ISO. ISO 2013 All rights reserved.
727

For the heating period, the project reviews the potential for local discomfort effects, as required by the ISO
standard, and determines that draft rate, vertical air distribution, and warm and cool floors are not likely. Radiant
asymmetry was considered likely, however, so the team must perform additional calculations.
Radiant asymmetry was calculated to be 10C from warm walls and 5C from cool walls. Figure 4 from
Section 6.5, ISO 77302005 provides the associated percentages dissatisfied, <2% and <1%, respectively. The
team compares percentages dissatisfied with the local discomfort limits listed in ISO 77302005, Annex A, Table
A.1 and sees that they are well below the 5% limit for Category B buildings.
Alternatively, the project could have compared the radiant temperature asymmetry with Annex A, Table A.4,
which shows that for a Category B building, the radiant temperature asymmetry must be below 23C for warm
walls and below 10C for cool walls.
Example 5. Thermal comfort controls
A project consists of a library that has private offices, open library space with reference desks, meeting rooms,
and a childrens storytime room. All spaces are regularly occupied. The project develops a table to summarize the
controls for each space (Table 3).

tablE 3. Summary table for Example 5


28
occupancy spaces spaces with controls type of control
space type
Private office Individual occupant 16 12 Operable window

Reference desk Individual occupant 6 2 Adjustable underfloor diffuser

Meeting rooms Multioccupant 8 8 Thermostat

Storytime room Multioccupant 2 2 Operable window

Percentage of individual occupant spaces with controls 64% (=14/22)

Percentage of multioccupant spaces with controls 100% (=10/10)

The project team earns the credit because the percentage of individual occupant spaces with controls is above
50% and all multioccupant spaces have controls.

Example 6. Warehouses and distribution centers


A warehouse and distribution center project has two regularly occupied areas: a warehouse storage space, and a
distribution and loading dock. The project is using radiant heating, ceiling fans, and radiant flooring to condition
the spaces.

To demonstrate compliance, the project compiles a table describing the conditioning systems (Table 4).

tablE 4. Summary table for Example 6

design strategy and


space type
conditioning system system description

Warehouse storage Radiant heating; ceiling fans Gas-fired infrared heaters hung from ceiling (6 zones); variablespeed
ceiling fans for air circulation; heater thermostat and fan speed
controlled by occupants

Radiant flooring Electric radiant concrete floor


Distribution and loading dock

With the radiant heating, ceiling fans, and radiant flooring design strategies, the project meets the thermal
comfort design requirements for the buildings bulk storage, sorting, and distribution areas.

raTinG sysTeM variaTions


Warehouses and Distribution Centers
The thermal comfort design and thermal comfort control requirements are the same as those in Step-by-Step
Guidance with the exception of regularly occupied bulk storage, sorting, and distribution areas. Design
each of these areas to include one of the alternative systems noted in the credit requirements.

Healthcare
The thermal comfort design and thermal comfort control requirements are the same as those in Step-by-Step
Guidance with the exception of patients rooms. Each patient room must have an individual comfort
control for each patient in the room.

Hospitality
729
The thermal comfort design and thermal comfort control requirements are the same as those in Step-by-Step
Guidance with the exception of guest rooms, which are assumed to have individual thermal comfort
controls and are therefore excluded from the controls requirements of this credit.
Retail
The thermal comfort design requirements are the same as those in Step-by-Step Guidance. The thermal
comfort control requirements are the same as those in Step-by-Step Guidance but apply only to individual
occupant spaces in office and administrative areas. All other spaces may be excluded.

Data Centers
The thermal comfort design and thermal comfort control requirements are the same as those in Step-by-Step
Guidance but apply only to regularly occupied spaces, such as network operation centers, security
offices, and administrative spaces. Spaces that are not regularly occupied, such as areas that house data center
equipment and mechanical equipment, may be excluded.

ProjeCT TyPe variaTions


Gymnasiums, Fitness Areas, and Other Spaces with High Metabolic Rates
ASHRAE 552010, Normative Appendix A, permits use of a time-weighted average metabolic rate over a period
of an hour or less. Any space with a rate of 2.0 MET or less must be addressed using standard compliance
methods. Although the ASHRAE standard does not apply where the time-averaged metabolic rate is above 2.0
MET, thermal comfort in these spaces must still be addressed. For spaces with a rate above 2.0 MET, address
how the project meets the intent of the credit.

ISO 77302005 addresses metabolic rates up to 4.0 MET.

Kitchens
Many kitchens are not conditioned, not cooled, or are only indirectly cooled and may have difficulties
achieving the requirements of ASHRAE 552010 or ISO 77302005. For kitchens that cannot meet the
requirements of these standards, address how the project meets the intent of the credit.

Apparatus Bays in Fire Stations


Typically, these spaces are not designed for human occupancy and thus would not have to meet the credit
requirements. However, if these spaces are designed for human occupancy, the project must meet the thermal
comfort criteria. The requirements for Warehouses and Distribution Centers may be applied to earn the credit.

Vehicle Repair Facilities


The requirements for Warehouses and Distribution Centers may be applied to earn the credit. This space type,
which is not typically cooled, also includes military buildings where trucks, tanks, aircraft, and other vehicles are
being serviced.

Natatoriums
Discuss with the owner how the natatorium will be used and the associated activity levels. Design the space to
meet the thermal comfort design requirements in the ASHRAE HVAC Applications Handbook, 2011 edition,
Chapter 5, Places of Assembly, Typical Natatorium Design Conditions. Calculate internal loads and rates of
evaporation and verify that the design criteria will result in acceptable comfort. Retain all activity levels and
factors, evaporation rates, and design calculations for credit documentation.

Residential
The thermal comfort design requirements are the same as those in Step-by-Step Guidance. The thermal
comfort control requirements are the same as those in Step-by-Step Guidance, except the entire residential
unit only needs one thermal comfort control.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
30

required doCuMenTaTion

thermal comfort design thermal comfort Warehouses and


controls distribution
documentation centers only
option 1 option 2

Description of weather data used to determine operative


temperatures, relative humidity, outdoor temperatures X

Plots or calculation results verifying that design parameters


meet ASHRAE Standard 552010 for 80% acceptability (e.g.,

psychometric chart; PMV or PPD calculations; ASHRAE Thermal


X
Comfort Tool results; copy of ASHRAE 552010, Figure 5.2.4.1, Figure

5.2.4.3, or Figure 5.2.4.4; or predicted worst-case indoor

conditions for each month on copy of Figure 5.3)

Documentation to verify thermally conditioned spaces meet ISO

7730on Sections 4.1 and 6 or Annex H, computer program results or

EN 15251, as applicable (e.g., for ISO, calculations based based on


X
Annex D, tables based on Annex E, or copy of Figures 2, 3, 4, A.1, A.2;

for EN, documentation of worst-case indoor

conditions for each month on copy of Figure A1)

List of spaces by type, quantity, and controls X

List of regularly occupied bulk storage, sorting, and distribution


areas X

Narrative describing design strategy used in each space X

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance. Any plug-in devices that are claimed as thermal controls
must be included in Option 1 of the related prerequisite.

EQ Prerequisite Minimum Indoor Air Quality Performance. The requirements for natural conditioning
(ASHRAE 552010) are different from those for natural ventilation (ASHRAE 62.12010). The former
standard does not specify a minimum window size or any location or proximity requirements. The latter
specifies minimum window or ventilation opening area as well as maximum distance from the ventilation
opening that may be considered naturally ventilated. Refer to ASHRAE 62.12010, Section 6.4, for additional
information. Adjustable diffusers used to provide thermal control (whether floor, wall, or ceiling mounted) can
affect the supply air flow of ventilation and should be coordinated with the ventilation design under the related
prerequisite.

EQ Credit Enhanced Indoor Air Quality Strategies. Natural ventilation and mixed mode systems must meet
additional requirements of CISBE AM10 and AM13 to earn the related credit.

EQ Credit Interior Lighting. The quantity of individual occupant spaces and shared multioccupant spaces for
this credit must be consistent with the quantity in the related credit.
731

ChanGes froM leed 2009


This thermal comfort credit combines the LEED 2009 credits Controllability of Systems: Thermal Comfort
(IEQ Credit 6.2, IEQ Credit 6) and Thermal Comfort: Design (IEQ Credit 7.1, IEQ Credit 7) into a single
credit.
The referenced standard has been updated to ASHRAE 552010. Refer to ASHRAE Journal (June 2011)
for an explanation of changes from the 2004 version of the standard: ashrae.org/resources--
publications/periodicals/ ashrae-journal/.
International standards have been included to provide more relevant compliance options for non-
U.S. projects.
The requirements for natatoriums are now applicable to all rating systems.
New compliance paths have been established for data centers and warehouses.

referenCed sTandards
ASHRAE Standard 552010, Thermal Environmental Conditions for Human Occupancy: ashrae.org

ASHRAE HVAC Applications Handbook, 2011 edition, Chapter 5, Places of Assembly, Typical Natatorium
Design Conditions: ashrae.org

ISO 77302005 Ergonomics of the thermal environment, Analytical determination and interpretation of
thermal comfort using calculation of the PMV and PPD indices and local thermal comfort criteria: iso.org

EuropeanStandard EN 15251: 2007, Indoor environmental input parameters for design and assessment of
energy performance of buildings addressing indoor air quality, thermal environment, lighting and
acoustics: cen.eu

exeMPlary PerforManCe
Not available.

definiTions
individual occupant space an area where an occupant performs distinct tasks. Individual occupant spaces may
be within multioccupant spaces and should be treated separately where possible.

nonregularly occupied space an area that people pass through or an area used for focused activities an
average of less than one hour per person per day. The one-hour timeframe is continuous and should be based
on the time a typical occupant uses the space. For spaces that are not used daily, the one-hour timeframe
should be based on the time a typical occupant spends in the space when it is in use.

occupied space an enclosed space intended for human activities, excluding those spaces that are intended
primarily for other purposes, such as storage rooms and equipment rooms, and that are only occupied
occasionally and for short periods of time. Occupied spaces are further classified as regularly occupied or
nonregularly occupied spaces based on the duration of the occupancy, individual or multioccupant based on the
quantity of occupants, and densely or nondensely occupied spaces based on the concentration of occupants in the
space.

regularly occupied space an area where one or more individuals normally spend time (more than one hour per
person per day on average) seated or standing as they work, study, or perform other focused activities inside a
building. The one-hour timeframe is continuous and should be based on the time a typical occupant uses the
space. For spaces that are not used daily, the one-hour timeframe should be based on the time a typical occupant
spends in the space when it is in use.
32
unoccupied space an area designed for equipment, machinery, or storage rather than for human activities. An
equipment area is considered unoccupied only if retrieval of equipment is occasional.
indoor environMenTal qualiTy CrediT

interior Lighting
this credit applies to:
new Construction (12 points) Warehouses and distribution Centers (12 points) schools (12 points)
hospitality (12 points)
retail (2 points) healthcare (1 point) data Centers (12 points)

inTenT

to promote occupants productivity, comfort, and well-being by providing high-quality


lighting.

requireMenTs
neW ConsTruCTion, sChools, daTa CenTers,
Warehouses and disTribuTion CenTers, hosPiTaliTy

Select one or both of the following two options.

oPTion 1. liGhTinG ConTrol (1 PoinT)

For at least 90% of individual occupant spaces, provide individual lighting controls that enable occupants to adjust the lighting
to suit their individual tasks and preferences, with at least three lighting levels or scenes (on, off, midlevel). Midlevel is 30% to
70% of the maximum illumination level (not including daylight contributions). For all shared multioccupant spaces, meet all of
the following requirements.
Have in place multizone control systems that enable occupants to adjust the lighting to meet group needs and preferences,
with at least three lighting levels or scenes (on, off, midlevel).
Lighting for any presentation or projection wall must be separately controlled.
Switches or manual controls must be located in the same space as the controlled luminaires. A person operating the
controls must have a direct line of sight to the controlled luminaires.
hosPiTaliTy only

Guest rooms are assumed to provide adequate lighting controls and are therefore not included in the credit calculations.

and/or

oPTion 2. liGhTinG qualiTy (1 PoinT)

Choose four of the following strategies.


A. For all regularly occupied spaces, use light fixtures with a luminance of less than 2,500 cd/m 2 between 45 and 90
degrees from nadir.
Exceptions include wallwash fixtures properly aimed at walls, as specified by manufacturers data, indirect uplighting fixtures,
provided there is no view down into these uplights from a regularly occupied space above, and any other specific applications
(i.e. adjustable fixtures).
B. For the entire project, use light sources with a CRI of 80 or higher. Exceptions include lamps or fixtures specifically designed to
provide colored lighting for effect, site lighting, or other special use.
C. For at least 75% of the total connected lighting load, use light sources that have a rated life (or L70 for LED sources) of at least
24,000 hours (at 3-hour per start, if applicable).
D. Use direct-only overhead lighting for 25% or less of the total connected lighting load for all regularly occupied spaces.
E. For at least 90% of the regularly occupied floor area, meet or exceed the following thresholds for areaweighted average surface
reflectance: 85% for ceilings, 60% for walls, and 25% for floors.
F. If furniture is included in the scope of work, select furniture finishes to meet or exceed the following thresholds for area-
weighted average surface reflectance: 45% for work surfaces, and 50% for movable partitions.
G. For at least 75% of the regularly occupied floor area, meet a ratio of average wall surface illuminance
(excluding fenestration) to average work plane (or surface, if defined) illuminance that does not exceed 1:10. Must also meet
strategy E, strategy F, or demonstrate area-weighted surface reflectance of at least 60% for walls.
H. For at least 75% of the regularly occupied floor area, meet a ratio of average ceiling illuminance (excluding
fenestration) to work surface illuminance that does not exceed 1:10. Must also meet option E, option F, or demonstrate area-
weighted surface reflectance of at least 85% for ceilings.

reTail

For at least 90% of the individual occupant spaces in office and administrative areas, provide individual lighting controls.

In sales areas, provide controls that can reduce the ambient light levels to a midlevel (30% to 70% of the maximum illumination
level not including daylight contributions).

healThCare

Provide individual lighting controls for at least 90% of individual occupant spaces in staff areas.

For at least 90% of patient positions, provide lighting controls that are readily accessible from the patients bed. In
multioccupant patient spaces, the controls must be individual lighting controls. In private rooms, also provide exterior window
shades, blinds, or curtain controls that are readily accessible from the patients bed. Exceptions include in-patient critical care,
pediatric, and psychiatric patient rooms.

For all shared multioccupant spaces, provide multizone control systems that enable occupants to adjust the lighting to meet
group needs and preferences, with at least three lighting levels or scenes (on, off, midlevel). Midlevel is 30% to 70% of the
maximum illumination level (not including daylight contributions).
713

behind The inTenT


Studies of lighting in buildings have shown that workers are more comfortable and productive in an environment
that is carefully illuminated and where lighting controls are provided for individual and group needs. 1 Also,
highquality lighting helps eliminate distractions, creates visual interest and a sense of place, supports interaction
and communication, contributes to occupants well-being, and reduces health problems.2 This credit rewards
lighting quality that dramatically improves occupants comfort and productivity. 3 The credit encourages lighting
quality in multiple ways.
Minimizing light fixture luminance (strategy A) helps reduce disability and discomfort glare; the threshold, 2,500
candela per square meter, was selected because research by the Light Right Consortium found that above that
level, glare became objectionable.
Using light sources with a color rendering index above 80 (strategy B) helps approximate natural light.
Using light sources with long lamp life (strategy C) can lengthen the period over which the integrity of the
lighting design is maintained; it also reduces maintenance costs and lowers material and resource inputs. A lamp
life of 24,000 hours promotes the use of longer-life fluorescents.
Designing spaces with less direct-only overhead lighting (strategy D) helps minimize glare, reduces the perceived
brightness of the direct luminaires, and reduces contrast between ceiling and luminaire.
Specifying surfaces with high reflectance (strategies E and F) helps make the space brighter through reflection,
minimizing the difficulty of viewing light documents on dark surfaces; the specific surface reflectance values
for ceilings, walls, and floors are above the standard industry assumptions of 80, 50, and 20, respectively, as
recommended in the latest edition of the Illuminating Engineering Society (IES) Lighting Handbook.4
Designing for an illuminance ratio less than 1:10 (strategies G and H) minimizes the amount of contrast that
occupants experience between their work surface and the ceiling and wall surfaces around them; the 1:10
illuminance ratio represents one log scale difference in lighting levels (human eyes are logarithmic, but
illuminance is linear).

Research on lighting and visual performance is cited in Further Explanation, Additional Lighting Resources.

sTeP-by-sTeP GuidanCe

sTeP 1. esTablish liGhTinG needs work with the owner to understand occupants lighting needs
and desires.
Document the types of tasks that will occur in each space and the tools and equipment that occupants will use regularly, and determine
appropriate light levels for tasks.
identify the level of control that occupants should have and the characteristics of the occupant population.

sTeP 2. seleCT oPTion(s)


Determine which option(s) are appropriate for the project. all projects except healthcare and Retail may earn one or both options.
option 1 requires lighting controls for 90% of the individual occupant spaces and 100% of shared, multioccupant spaces. standard
on-off switches are not acceptable; at least three lighting levels or scenes must be provided. Project teams that are familiar with
previous versions of LEED may prefer this option, and it is easier to implement in later phases of design than option 2.

1. Lighting Quality and Office Work: A Field Simulation Study,


lrc.rpi.edu/researchAreas/pdf/LRAlbanyStudyReport.pdf (accessed June 11, 2013).
2. Federal Lighting Guide, eere.energy.gov/femp/pdfs/light_controls.pdf (accessed June 11, 2013).
3. Veitch, J.A., et al., Lighting Appraisal, Well-Being, and Performance in Open-Plan Offices:
A Linked Mechanisms Approach, Lighting Research and Technology 40(2) (June 2008):
133-151.
4. DiLaura, David, Kevin Houser, Richard Mistrick, and Gary Steff, eds., The Lighting
Handbook, 10th edition (New York: Illuminating Engineering Society of North America,
2011).
715

option 2. lighting quality


option 2. lighting quality, strategy a identify all regularly occupied spaces in the project and all light fixtures in these
spaces (see EQ Overview). the following fixtures may be excluded:
wallwash fixtures properly aimed at walls, as specified by manufacturers data
indirect uplighting fixtures, provided there is no view down into these uplights from a regularly occupied space above
any other specific applications (e.g., adjustable fixtures) for the light fixtures, review luminaires cutsheets, illuminating
Engineering society photometric files, or other documentation to identify luminance between 45 degrees and 90 degrees
from nadir and select products that meet the credit requirements. the luminance must be below 2,500 candela per square
meter.
compile documentation that confirms compliance with the credit requirements for luminance.

option 2. lighting quality, strategy b specify all light sources to meet the credit requirements for color
rendering index (cRi).
the following light sources may be excluded: lamps or fixtures specifically designed to provide colored lighting for effect, site lighting,
and lamps or fixtures designed for some other special use.
for the light sources, determine the cRi, not to be confused with correlated color temperature (cct), which refers to the
spectrum of warm to cool. a light source can have a high or low cRi regardless of its cct.
compile documentation that confirms compliance with the credit requirements for the lightings cRi.

option 2. lighting quality, strategy C specify all light sources to meet the credit
requirements for lamp life.
calculate the total connected lighting load for all lighting in the project, in watts or kilowatts. Refer to the lighting power
calculations prepared for Ea Prerequisite Minimum Energy Performance and tabulate luminaire quantities and wattages to
determine the total connected load. for guidance on determining connected lighting load, see ashRaE 90.12010, sections
9.1.3 and 9.1.4. Plug-in lighting is included in the calculation for connected load.
for lamp life, review luminaire cutsheets or other documentation. Lamp life depends on the type of source. for traditional light
sources, the lamp life is based on the time at which 50% of the test samples have burned out. for LED light sources, the lamp
life criterion L70 is based on the time at which the light source has a 30% reduction in light output. Review the iEs Lighting
Handbook for more information on lamp life.
calculate the amount of connected lighting load with compliant light source; it must be 75% or greater.
compile documentation that confirms compliance with the credit requirements for lamp life.

option 2. lighting quality, strategy d specify a combination of direct-only overhead lighting and other lighting. Minimize the use
of direct-only overhead lighting to meet the credit requirements for strategy D.
identify all regularly occupied spaces in the project and the total connected lighting load associated with these spaces (see EQ
Overview). Refer to the lighting power calculations prepared for Ea Prerequisite Minimum Energy Performance and tabulate
luminaire quantities and wattages to determine the total connected load. for guidance on determining connected lighting
load, see ashRaE 90.12010, sections 9.1.3 and 9.1.4. Plug-in lighting is included in the calculation for connected load.
Determine the connected lighting load that is associated with direct-only overhead lighting; it must be 25% or less.
compile documentation that confirms compliance with the credit requirements for overhead lighting.
716

option 2. surface reflectance, strategies e and f


select or specify high-reflectance finish materials as applicable to the strategy pursued: ceilings, walls, and floors for strategy E,
and work surfaces and movable partitions for strategy f.
Before construction begins, review manufacturers cutsheets to identify reflectance, typically expressed as a fraction or
percentage LR (light reflectance) or LRV (light reflectance value). if manufacturers data do not include reflectance, measure
the reflectance of product samples (before construction) or the installed product (postconstruction) using the methodology
described in iEs Lighting Handbook, section 9.12.2, Measuring Reflectance and transmittance. or use reflectance charts, such
as Lighting Guide 11, surface Reflectance and colour.5
for strategy E, 10% of the regularly occupied floor area may be excluded.
for strategy f, work surfaces include desk and table surfaces where individuals perform tasks. the surface area for movable
partitions is limited to opaque surfaces of the partition; transparent or partially transparent surfaces are not included in the
calculation.
use Equation 1 to calculate the average surface reflectance for walls, ceilings, and floors (strategy E) and work surfaces and
movable partitions (strategy f).

Equation 1. Average surface reflectance

of surface 1 of surface 1 + + ... +


=

confirm that the average surface reflectance of the specified surfaces meets or exceeds the values in the credit requirements.

option 2. illuminance, strategies G and h


Develop a lighting design strategy to minimize the ratio of wall surface illuminance (strategy G) or ceiling surface illuminance (strategy h)
to work surface illuminance. consider the following design strategies:
specify ceiling and wall finishes that are light colored or have high surface reflectance.
Design the lighting system to intentionally light the walls or ceiling.
consider luminaires that throw 20% to 30% of light on ceiling or wall, such as direct-indirect lighting. arrange luminaires to
provide wall wash.
use lighting calculation software or measurements to determine the average illuminance levels on work, wall, and ceiling
surfaces for each regularly occupied space. if illuminance values vary widely throughout the space, either subdivide or use the
predominant illuminance level. work surfaces include desks or other table surfaces where individuals perform tasks. where work
surfaces are not specified, calculate the illuminance at a height of 30 inches (750 millimeters) above the finished floor.
alternatively, calculate illuminance at the height where most visual tasks are expected to be performed. for existing building
projects or after construction is complete, the illuminance may be measured. the illuminance of a given surface is measured with
a light meter, with the sensor facing away from the surface for which the measurement is being taken.
740

use Equation 2 (for strategy G) and Equation 3 (for strategy h) to calculate an illuminance ratio for each regularly occupied
space. Determine the percentage of regularly occupied area that achieves an illuminance ratio of 1:10 or less, it must be at least
75%.
Equation 2. Wall to work plane illuminance ratio Equation 3. Ceiling to work plane illuminance ratio

Illuminance ratio = 1:

Illuminance = 1: { average work surface illuminance {


ratio
average wall surface illuminance

5. cibseknowledgeportal.co.uk (accessed June 11, 2013).


741
spaces where similar ratios of wall surface or ceiling surface illuminance to work surface illuminance are expected can be
assessed through a single representative calculation.
compile documentation that confirms compliance with the credit requirements for illuminance, as applicable, include
confirmation that one of the following has also been met: strategy E, strategy f, areaweighted surface reflectances of at least
60% for walls, or area-weighted surface reflectances of at least 85% for ceilings.

See calculations in Step-by-Step Guidance.

exaMPles
Example 1. Option 1
An office has individual occupant spaces (workstations), private offices, and a conference room. The
workstations have task lighting that is part of the furniture system; the control allows for four distinct light
levels. The private offices have overhead lighting with manual dimming controls. The conference room
can be divided into two spaces, each with its own set of manual controls for overhead lighting. The overhead
lighting is divided into two separate zones and is also fully dimmable. There are separate controls for lighting
the presentation wall. Because this office has the appropriate lighting controls for at least 90% of the individual
occupant spaces and all shared, multioccupant spaces, the project earns 1 point under Option 1 of the credit.

Example 2. Option 2, lighting quality, strategies A and D


The data for all luminaires specified in the project buildings regularly occupied spaces are summarized in Table
2.
742
For strategy A, two luminaire types (indirect pendant and indirect-direct pendant) are excluded because there is
no view of these luminaires from above. There is one luminaire type that does not meet the requirement, the
surfacemounted luminaires. For this reason, the project does not achieve strategy A.

For strategy D, there are two direct-only overhead lights: recessed and surface mounted. The percentage of
connected lighting load attributed to these lights is 5.7 % which is well below the 25% threshold. For this
reason, the project achieves strategy D.
tablE 2. Luminaire information for Example 2

luminance
<2,500 cd/m2
connected load total
description between 45 and Excluded from
per luminaire luminaires connected load direct-only?
90 from nadir (y/n) strategy a
(W) (W)

Indirect pendant 112 8 896 N Y N

56 4 224 Y N Y
Recessed

Surface mounted 32 1 32 N N Y

Indirect-direct
pendant 168 20 3,360 N Y N

total connected lighting load (W): 4,512

Percentage of connected lighting load that is direct-only: 5.7% (256 W)

Example 3. Option 2, lighting quality, strategies B and C


Data for all light sources in the building are summarized in Table 3.

For strategy B, all three light sources have a CRI above 80. For this reason, the project achieves strategy B.

For strategy C, the lamp life for the linear fluorescent T8 and linear LED cove light both meet the lamp life
requirement of 24,000 hours or more rated life or L70. The percentage of connected lighting load attributed to
the light fixtures with these lamps is 96.2 % which is well above the 75% threshold. For this reason, the project
achieves strategy C.
tablE 3. Example 3 Light source information

light source total connected load for


description fixtures (W) cri lamp life (hours)

5,320 82 26,000
Linear fluorescent T8

Halogen 250 99 5,000

1,000 81 L70
Linear LED cove light
total connected load (W): 6,570

Percentage of connected lighting load that meets lamp life requirement: 96.2% (6,320 W)

Example 4. Option 2, lighting quality, strategies E and F (surface reflectance)


The values of the reflectance for the ceilings, walls, floors, work surfaces, and partitions were determined. The
results are summarized in Figure 2 below.
Figure 2. Supplemental calculator
surface reflectance for Furnishings
surface information surface reflectance for ceilings, Walls, Floors

Pctg. total regularly occupied floor


Work surface
description of surface reflectance (%) area included below (%) 100% Moveable
area
743
ceiling area (sq Wall area (sq Floor area (sq (sq ft) Partition area
ft) ft) ft) (sq ft)

high reflectance ceiling 90.00% 26786.00

generic ceiling 80.00% 216.00

wall type 1 65.00% 7312.00

wall type 2 55.00% 500.00

light wood floor 27.00% 500.00

dark carpet 12.00% 216.00

light carpet 25.00% 26286.00

workstation type 1 60.00% 2000.00

workstation type 2 50.00% 20.00

workstation type 3 10.00% 500.00

partition type 1 50.00% 80.00

partition type 2 55.00% 40.00

total area incl. in calculation 27002.00 7812.00 27002.00 2520.00 120.00

Average surface reflectance for ceilings 90%

E. surface reflectance for Average surface reflectance for walls 64%


ceilings, Walls, Floors

Average surface reflectance for floors 25%

Average surface reflectance for work surfaces 50%


F. surface reflectance for
Furnishings Average surface reflectance for moveable partitions 52%

E. ceilings calculation: (90% 26786 sq ft + 80% 216 sq ft) 27002 sq ft = 90%


E. Walls calculation: (65% 7312 sq ft + 55% 500 sq ft) 7812 sq ft = 64%
E. Floors calculation: (27% 500 sq ft + 12% 216 sq ft + 25% 26286 sq ft) 27002 sq ft = 25%
F. Work surfaces calculation: (60% 2000 sq ft + 50% 20 sq ft + 10% 500 sq ft) 2520 sq ft = 50%
F. Moveable partitions calculation: (50% 80 sq ft + 55% 40 sq ft) 120 sq ft = 52%

Example 5. Option 2, lighting quality, strategies G and H (illuminance)


The projects lighting designer has used lighting calculation software to determine the average illuminance
levels for wall, ceiling, and work surfaces and compiled (Table 4). Private office 2 was excluded from the
calculation because the office has low wall and ceiling illuminance values.
The project team wishes to use strategies G and H. The wall to work surface illuminance ratio exceeds 1:10
in the open office, which constitutes the majority of the floor area in the project, so the project does not attain
strategy G.
However, the ceiling to work surface illuminance ratio is below 1:10 for the open office, private office 1,
and the conference room. The project has also achieved strategy E, so the project complies with strategy H.
tablE 4. Illuminance information for Example 5
744
average illuminance (footcandles) illuminance ratio
space Floor area
Wall to work ceiling to
(ft2)
Work surface Wall ceiling surface work surface

26,284 80 (861 lux) 7 (75 lux) 20 (214 lux) 1:11.4 1:4


Open office
Private office 1 96 75 (807 lux) 10 (107 lux) 25 (267 lux) 1:7.5 1:3

500 60 (642 lux) 10 (107 lux) 15 (160 lux) 1:6 1:4


Conference room
120 n/a n/a n/a n/a n/a
Private office 2
total regularly occupied floor area (ft2): 27,000

Percentage of regularly occupied floor area that meets wall to work surface illuminance ratio of 1:10 or less (must be 75%):
2.2% (596 ft2)

Percentage of regularly occupied floor area that meets ceiling to work surface illuminance ratio of 1:10 or less (must be 75%): 99.6% (26,880 ft2)

addiTional liGhTinG resourCes


Studies of the effect of lighting on visual performance and comfort can be found in the following sources:

Peter R. Boyce, Human Factors in Lighting, 2nd edition (Taylor and Francis, 2003).

Lighting and Human Performance II (available at no cost from EPRI): my.epri.com/portal/server.pt?

Lighting Guide 11: Surface Reflectance and Colour: cibseknowledgeportal.co.uk/

Lighting Research Center, Rensselaer Polytechnic Institute: lrc.rpi.edu/

National Research Council Canada Institute for Research in Construction: nrc-cnrc.gc.ca/eng/ibp/irc.html

J.A. Veitch, Psychological Processes Influencing Lighting Quality, Journal of the


Illuminating Engineering Society 30(1) (2001): 12440.

The Lighting Handbook, 10th edition, Illuminating Engineering Society of North America (2011).

raTinG sysTeM variaTions


Healthcare
Follow the steps for Option 1 for individual occupant spaces in staff areas and for all shared multioccupant
spaces.
Identify all patient positions in the project, and classify whether each is in a private room (see Definitions
and exclude in-patient critical care, pediatric, and psychiatric patient rooms).
Design the individual lighting controls. Task lighting may be used and is not required to be hardwired.
If the position is in a private room, provide exterior window shades, blinds, or curtain controls that are
readily accessible from the patients bed.
Tabulate all positions and their respective lighting controls. Confirm that at least 90% of patient positions
meet the credit requirements. The percentage of compliant positions is based on the number of spaces, not
floor area.

Retail
For Option 1, follow the steps for Option 1 for office and administration areas. In addition, provide at least three
lighting levels: on, off, and a midlevel in sales areas.

Hospitality
Option 1. Lighting Control Exclude guest rooms from lighting control calculations.
ProjeCT TyPe variaTions
Residential
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For Option 1, residential units must have one lighting control for each individual occupant and multioccupant
space. For example, a bedroom is listed as individual occupancy. A task light in the bedroom or an overhead
light with manual dimmable control would be acceptable. See EQ Overview for a detailed list of
individual and multioccupant space types in residential buildings.

CaMPus
Group Approach
All buildings in the group may be documented as one.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
option 2

documentation option 1
a b c d E F g h

Table of individual occupant and multioccupant spaces and lighting


controls in each space x

Table of regularly occupied spaces and associated lighting details x x

Calculations of total connected lighting load x x

Lighting details, including manufacturer and model, results of estimations, x x x x

or in situ or laboratory photometric tests


List of ceiling, wall, and floor surfaces and their associated surface
reflectance values x

List of work surfaces and movable partitions and their associated surface
reflectance values x

Average surface reflectance calculations x x

List of work surfaces and illuminance values (lux) x

List of wall or ceiling surfaces with illuminance values (lux) x

Illuminance ratio calculations x x

relaTed CrediT TiPs


EQ Credit Thermal Comfort. Individual and multioccupant spaces for this credit must be consistently with
those for the related credit.

EA Prerequisite Fundamental Commissioning and Verification and EA Credit Enhanced Commissioning.


All lighting controls must be included in the commissioning process.
ChanGes froM leed 2009
An additional point and option for lighting quality have been added.
The requirements for lighting control have been revised to require at least three lighting levels: on, off,
and a midlevel.
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referenCed sTandards
The Lighting Handbook, 10th edition, Illuminating Engineering Society of North America: ies.org

exeMPlary PerforManCe
Not available.

definiTions
color rendering index a measurement from 0 to 100 that indicates how accurately an artificial light source, as
compared with an incandescent light, displays hues. The higher the index number, the more accurately the light
is rendering colors. Incandescent lighting has a color rendering index above 95; standard high-pressure sodium
lighting (such as orange-hued roadway lights) measures approximately 25; many fluorescent sources using rare
earth phosphors have a color rendering index of 80 and above. (Adapted from U.S. ENERGY STAR)

illuminance the incident luminous flux density on a differential element of surface located at a point and
oriented in a particular direction, expressed in lumens per unit area. Since the area involved is differential, it is
customary to refer to this as illuminance at a point. The unit name depends on the unit of measurement for area:
footcandles if square feet are used for area, and lux if square meters are used. (Adapted from Illuminating
Engineering Society) In lay terms, illuminance is a measurement of light striking a surface. It is expressed in
footcandles in the U.S. (based on square feet) and in lux in most other countries (based on square meters).

individual occupant space an area where an occupant performs distinct tasks. Individual occupant spaces may
be within multioccupant spaces and should be treated separately where possible.

shared multioccupant space a place of congregation, or where occupants pursue overlapping or collaborative
tasks patient position a patient bed, infusion chair, recovery room bay, or other location where a patient
receives clinical care
indoor environMenTal qualiTy CrediT Daylight
this credit applies to:
new Construction (13 points) data Centers (13 points)
Core and shell (13 points) Warehouses and distribution Centers (13 points) schools (13 points)
hospitality (13 points) retail (13 points) healthcare (12 points)

inTenT

to connect building occupants with the outdoors, reinforce circadian rhythms, and
reduce the use of electrical lighting by introducing daylight into the space.

requireMenTs
Provide manual or automatic (with manual override) glare-control devices for all regularly occupied spaces.

Select one of the following three options.

oPTion 1. siMulaTion: sPaTial dayliGhT auTonoMy and annual sunliGhT exPosure (23 PoinTs, 1-2 PoinTs healThCare)

Demonstrate through annual computer simulations that spatial daylight autonomy300/50% (sDA300/50% ) of at least 55%,
75%, or 90% is achieved. Use regularly occupied floor area. Healthcare projects should use the perimeter area
determined under EQ Credit Quality Views. Points are awarded according to Table 1.

tablE 1. Points for daylit floor area: Spatial daylight autonomy

new construction, core and shell, schools, retail, data centers,


Warehouses and distribution centers, hospitality healthcare

sda (for regularly occupied floor area) Points sda (for perimeter floor area) Points

55% 2 75% 1

75% 3 90% 2

and

Demonstrate through annual computer simulations that annual sunlight exposure1000,250 (ASE1000,250) of no more
than 10% is achieved. Use the regularly occupied floor area that is daylit per the sDA300/50% simulations.
The sDA and ASE calculation grids should be no more than 2 feet (600 millimeters) square and laid out across the
regularly occupied area at a work plane height of 30 inches (76 millimeters) above finished floor (unless otherwise
defined). Use an hourly time-step analysis based on typical meteorological year data, or an equivalent, for the nearest
available weather station. Include any permanent interior obstructions. Moveable furniture and partitions may be
excluded.
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Core and shell only

If the finishes in the space will not be completed, use the following default surface reflectances: 80% for ceilings,
20% for floors, and 50% for walls. Assume that the entire floor plate, except for the core, will be regularly occupied
space.

or

oPTion 2. siMulaTion: illuMinanCe CalCulaTions (12 PoinTs)

Demonstrate through computer modeling that illuminance levels will be between 300 lux and 3,000 lux for 9 a.m. and 3
p.m., both on a clear-sky day at the equinox, for the floor area indicated in Table 2. Use regularly occupied floor area.
Healthcare projects should use the perimeter area determined under EQ Credit Quality Views.

tablE 2. Points for daylit floor area: Illuminance calculation

new construction, core and shell, schools, retail, data centers,


Warehouses and distribution centers, hospitality healthcare

Percentage of regularly occupied floor area


Points Percentage of perimeter floor area Points

75% 1 75% 1

90% 2 90% 2

Calculate illuminance intensity for sun (direct component) and sky (diffuse component) for clear-sky conditions as
follows:
Use typical meteorological year data, or an equivalent, for the nearest available weather station.
Select one day within 15 days of September 21 and one day within 15 days of March 21 that represent the clearest
sky condition.
Use the average of the hourly value for the two selected days.

Exclude blinds or shades from the model. Include any permanent interior obstructions. Moveable furniture and partitions
may be excluded.

Core and shell only

Assume the following default surface reflectances if the finishes in the space will not be completed: 80% for ceilings,
20% for floors, and 50% for walls. Assume that the entire floor plate, except for the core, will be regularly occupied
space.
or

oPTion 3. MeasureMenT (2-3 PoinTs, 1-2 PoinTs healThCare)

Achieve illuminance levels between 300 lux and 3,000 lux for the floor area indicated in Table 3.
tablE 3. Points for daylit floor area: Measurement

new construction, core and shell, schools, retail, data centers,


Warehouses and distribution centers, hospitality healthcare
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Percentage of regularly occupied floor area Points Percentage of perimeter floor area

75 2 75 1

90 3 90 2

With furniture, fixtures, and equipment in place, measure illuminance levels as follows:
Measure at appropriate work plane height during any hour between 9 a.m. and 3 p.m.
Take one measurement in any regularly occupied month, and take a second as indicated in Table 4.
For spaces larger than 150 square feet (14 square meters), take measurements on a maximum 10 foot (3 meter)
square grid.
For spaces 150 square feet (14 square meters) or smaller, take measurements on a maximum 3 foot (900
millimeters) square grid.

tablE 4. Timing of measurements for illum inance

if first measurement is taken in take second measurement in

January May-September

February June-October

March June-July, November-December

April August-December

May September-January

June October-February

July November-March

August December-April

September December-January, May-June

October February-June

November March-July

December April-August
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behind The inTenT
Increased access to daylight has positive human behavioral and health effects because it reinforces our circadian
rhythms.1 Access to sufficient daylight has been shown to increase healing times in hospitals, improve students
performance, 2 increase productivity in the workplace,3 fight depression and lethargy, and even increase sales in
retail environments.4 A well-designed daylit building also uses less electric lighting energy, conserving natural
resources and reducing air pollution.
This credit has evolved significantly and now focuses on using simulated daylight analysis and actual
measurement to estimate daylight quality and daylight levels. These methods more accurately predict daylight
access and support the design process for optimizing daylight. The previous prescriptive method for calculating
daylight using window design less accurately accounted for such project-specific factors as building orientation,
exterior conditions, the interaction with interior finishes, time of day and year, and other performance variables.
The new simulation requirements use global metrics and performance values for daylight established by
daylighting professionals. Other globally recognized standards-setting organizations are using the credits
language, metric conversions, and performance goals to create consistency in the daylighting and building
professions.
Projects have three compliance options. The options that require more detailed design input and analysis or that
demonstrate actual performance earn a correspondingly higher number of points. A good computer simulation is the
best way to inform the design phase and help create a more effective daylit project. Project teams should integrate
daylight concerns into the design process while taking into account such factors as heat gain and loss, glare control,
visual quality, and variations in daylight availability.

sTeP-by-sTeP GuidanCe

sTeP 1. esTablish desiGn CriTeria


During predesign, work with the owner to understand lighting and daylighting goals. specify daylighting performance criteria in the owners
project requirements.

sTeP 2. Consider siTe and MassinG


During schematic design, determine how best to orient the building to allow for passive solar strategies, and explore ways to
improve daylight penetration and distribution.
consider identifying and preserving existing topography and landscape features that will shade the building or minimize glare.
consider proximity to neighboring buildings and their effects on daylighting availability and shading.
Evaluate the building footprint, the structural floor-to-floor height, and finished ceiling clearances to determine an adequate ratio of
window to floor area.
751
consider incorporating atria, clerestories, courtyards, and shallow floor plates.
weigh the effects of the envelope design on energy efficiency. incorporate exterior shading to minimize solar heat gains and
glare while admitting daylight.

sTeP 3. desiGn To MaxiMiZe dayliGhT


consider how best to allocate interior space to ensure that daylight is available in all regularly occupied spaces. Enclosure design
and furniture selection will affect daylight penetration. Possible design strategies include the following:
use transparent partitions or interior glazing to provide daylight to enclosed spaces.

1. Kellert, Stephen R., Judith H. Heerwagen, and Martin L. Mador, Biophilic Design:
The Theory, Science and Practice of Bringing Life into Buildings (New York: Wiley,
2008), p. 99.
2. Boyce, Peter, Reviews of Technical Reports on Daylight and Productivity (Rensselaer
PolytechnicInstitute, 2004); Heschong Mahone Group, Daylighting in Schools: An Investigation
into the Relationship between Daylighting and Human Performance (1999).

3. Edwards, L., and P. Torcellini. A Literature Study of the Effects of Natural


Light on Building Occupants (Golden, Colorado: NREL, 2002).
4. Peet, Ramona, Lisa Heschong, Roger Wright, and Don Aumann, Daylighting and
Productivity in the Retail Sector (2004), eceee.org/conference_
proceedings/ACEEE_buildings/2004/Panel_7/p7_24/paper (accessed June 12, 2013).
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sTeP 6. seleCT one oPTion
Determine which option the project will pursue. options 1 and 2 involve different modeling procedures (see iEs LM 83-12 and
Further Explanation, Illuminance Simulation Procedure) and different point values.
option 3 requires no modeling.
option 1 requires project teams to simulate both hourly illuminance and direct sunlight in each space over an entire year and
likely necessitates engaging a daylighting consultant. the method uses a daylight simulation program that generates spatial
daylight autonomy (sDa) ratios,5 a metric that determines annual daylight performance based on annual weather data and
occupancy use. this temporal analysis provides more information for design decisions than single-point-in-time
calculations.6 only spatial daylight autonomy (and not continuous autonomy or daylight autonomy) is modeled.
option 2 is similar to the simulation option in previous versions of LEED and may require the help of a daylighting consultant.
this compliance method has been carried over from previous LEED versions because illuminance calculation is still used by
many daylighting professionals. however, project teams are now required to use site-specific daylight illuminance values
instead of the program default values for weather. this provides daylight performance data that better reflect actual site
conditions, leading to better design decisions.
option 3 is typically for renovations that involve minimal modifications to the building envelope and for substantiating a
completed projects design strategies with a performance-based metric. consider the schedule before selecting option 3: the
second required measurement must occur at least five months after the first measurement. Measurement compliance
method is similar to the method used in previous versions and is now the only method for credit compliance that is not
simulation based. this method has been revised to better address the differences in daylight experienced throughout the
year by requiring measurements at two timeswhen the sun is high in the sky and when the sun is low in the sky.

option 1. simulationspatial daylight autonomy


sTeP 1. ColleCT sda siMulaTion inPuTs
work with the daylighting consultant to identify information needed for the daylight simulation. at a minimum, compile the
following:
Exterior building geometry and obstructions
site plan, location, and context
floor plan and furniture plan
interior finishes and surface reflectance (see Further Explanation, Surface Reflectance).
Glazing performance specifications
Glare-control device specifications
Project occupancy schedule
Local climate weather files, such as typical meteorological year (tMy2 or tMy3) data, available at nrel.gov

sTeP 2. PerforM sda siMulaTion


Prepare the sDa model based on information collected in step 1. follow the modeling methodology outlined in iEs LM 83
(section numbers below refer to this standard).
see section 2.2, sDaBuilding 3D Modeling Methodology, for guidance on the period of analysis, illuminance threshold
information, temporal threshold, analysis area, analysis points, operation of blinds and shades, optical properties of blinds
and shades, exterior obstructions, window and skylight details, interior surface reflectances, and furniture and partitions. for
building geometries, develop a complete building model.
Ensure that the software program selected is capable of simulating the sDa model per section 2.3.3, Modeling Parameters.

5. Illuminating Engineering Society, Approved Method: IES Spatial Daylight Autonomy (sDA)
and Annual Sunlight Exposure (ASE), IES document LM-83 (2013),
ies.org/store/product/approved-method-ies-spatial-daylight-autonomy-sda-and-annual-sunlight-exposure-ase-1287.cfm
(accessed June 12, 2013).
6. Heschong Mahone Group, Daylighting Metrics (California Energy Commission, PIER
Daylighting Plus Research Program, February 2012), energy.
ca.gov/2012publications/CEC-500-2012-053/CEC-500-2012-053.pdf (accessed June 12, 2013).
Determine how the regularly occupied spaces will be divided into analysis areas. the analysis areas must cover all regularly
occupied floor area. for the annual sunlight exposure (asE) calculations, at a minimum, each floor must be an analysis area
(for healthcare, use all regularly occupied perimeter floor area).
include glare-control devices in the model as described in sections 2.2.7, Blinds/shades operation, and
2.2.8, Blinds/shades optical Properties.
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set thresholds for the simulation to 300 lux for 50% of the hours between 8 a.M. and 6 P.M. local clock time, for a full calendar
year, from january 1 to December 31. see sections 2.2.1, Period of analysis; 2.2.2, illuminance threshold information; and
2.2.3, temporal threshold.
Ensure that the model includes all permanent interior obstructions. Moveable furniture and partitions may be excluded. see
section 2.2.11 for suggestions on modeling furniture and partitions.
Refer to section 2.3, sDaclimatic Modeling Methodology, for guidance on climate conditions for the projects location (see
Further Explanation, Finding Meteorological Data).
Perform the sDa simulation.
consult with the project team on assumptions developed for early design simulations. the assumptions should be further refined
as design develops. simulation results used for credit documentation should be based on the design that is closest to the completed
construction documents for the as-built scenario. sTeP 3. evaluaTe sda CoMPlianCe
Review the simulation output results and determine the sDa value for all regularly occupied floor area (for healthcare, the
regularly occupied perimeter floor area).
Record the areas that are daylit (i.e., they contribute to the sDa value by meeting the threshold for the simulation).
confirm that the project meets or exceeds the requirements in table 1 in the credit requirements.

sTeP 4. PerforM annual sunliGhT exPosure siMulaTion


Prepare the annual sunlight exposure (asE) model based on information collected in step 1 and the sDa model created in step
2. the sDa model can be used for asE analysis with a few modifications.
follow the modeling methodology outlined in iEs LM 83 (section numbers below refer to this standard).
see section 3.2, asEBuilding 3D Modeling Details, for guidance on the period of analysis, illuminance threshold information,
temporal threshold, analysis area, analysis points, operation of blinds and shades, optical properties of blinds and shades,
and exterior obstructions.
the analysis areas should be the same as those used for the sDa simulations. to align with the supporting research for asE,
small analysis areas (ideally space by space, or orientation per floor) are recommended. at a minimum, the analysis area
must be for all regularly occupied floor area on a single floor (for healthcare, the regularly occupied perimeter area on a
single floor).
Glare-control devices are not included in the analysis per section 3.2.6, Blinds/shade operation.
set thresholds for the simulation to 1,000 lux of direct sunlight for more than 250 hours of the hours between 8 a.M. and 6
P.M. local clock time, for a full calendar year, from january 1 to December 31. see sections 3.2.1, Period of analysis; 3.2.2,
illuminance threshold information; and 3.2.3, temporal threshold).
Refer to section 3.3, asEclimatic Modeling Methodology, for guidance on climate conditions for the projects location. the
asE analysis does not require modeling of sky luminance or ground reflectance. if the software being used does not
accommodate direct sunlight as described in section 3.3, asE may be identified based on illuminance compared with
adjacent nodes.
for an alternative way to determine asE, see Further Explanation, Direct Sunlight Based on Lux Differences between Adjacent
Grid Points.

sTeP 5. evaluaTe CoMPlianCe for annual sunliGhT exPosure


Review the simulation output results and determine the asE values for each analysis area.
Record the asE values for each floor area being analyzed.
confirm that the asE value does not exceed 10% for each analysis area. the 10% threshold should be determined for small
areas, ideally space by space or orientation per floor. at a minimum, the 10% threshold must be determined for all
regularly occupied floor area (for healthcare, the regularly occupied perimeter area) on a single floor.
option 2. simulationilluminance Calculations
sTeP 1. ColleCT illuMinanCe siMulaTion inPuTs
work with the daylighting consultant or modeler to identify information needed for the daylight simulation. at a minimum,
compile the following:
Exterior building geometry and obstructions
site plan, location, and context
floor plan and furniture plan
interior finishes and surface reflectance (see Further Explanation, Surface Reflectance)
Glazing performance specifications
Local climate weather files, such as typical meteorological year (tMy2 or tMy3) data, available at nrel.gov

sTeP 2. PerforM illuMinanCe siMulaTion


Prepare the illuminance model based on information collected in step 1.
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follow the modeling methodology outlined and illustrated in Further Explanation, Illuminance Simulation Procedure.
Perform the point-in-time simulations.
consult with the project team on assumptions developed for early design simulations. the assumptions should be further
refined as design develops. simulation results used for credit documentation should be based on the design that is closest to
the completed construction documents for the as-built scenario.
Perform one illuminance simulation at 9 a.M. on the equinox (september 21 or March 21).
Perform a second illuminance simulation at 3 P.M. on the equinox (september 21 or March 21).

sTeP 3. evaluaTe illuMinanCe CoMPlianCe


Review the simulation output results and determine the illuminance values for all regularly occupied floor area (for healthcare,
the regularly occupied perimeter floor area).
Record the areas that are daylit (have illuminance levels between 300 lux and 3,000 lux for both 9
a.M. and 3 P.M.) and the associated floor area.
confirm that the project meets or exceeds the values in table 2 in the credit requirements.

option 3. Measurement

sTeP 1. PrePare for MeasureMenTs


Determine when the first and second measurements will be taken.
schedule the first day of measurement after the project construction is complete, all furniture is moved in, window shades are
installed, and people have occupied the space.
Review table 4 in the credit requirements to determine timing of the second measurement. Both measurements must occur
during regularly occupied months. for example, measurements for a school may not be taken during school breaks.
Review the regularly occupied space floor area (for healthcare, all regularly occupied perimeter floor area) to determine the
required measurement grid. Draw the measurement grid and the measurement nodes (usually located at the center of each
grid space) on a floor plan.

sTeP 2. PerforM MeasureMenTs


use a light meter to take a daylight illuminance measurement at workplane height (30 inches [750 millimeters] above finished
floor, unless otherwise defined) between 9 a.M. and 3 P.M. (see Further Explanation, Solar Time or Local Time).
Refer to the illuminating Engineering society (iEs) Lighting handbook, 10th edition, section 9.7, for more information on light
meters.
identify the location of each measurement node in the actual space.
Record the measured illuminance at each node on the floor plan or in a tracking table.
if measurements cannot be completed for the entire project in one day, continue the following day between 9 a.M. and 3
P.M.

Repeat the process using the same nodes for the second measurement (see Further Explanation, Examples, Option 3).

sTeP 3. evaluaTe illuMinanCe CoMPlianCe


Review the measurement results and determine the illuminance values for all regularly occupied floor area (for healthcare, the
perimeter floor area).
Record the areas that are daylit (have illuminance levels between 300 lux and 3,000 lux for both measurements) and the associated floor
area.
confirm that the project meets or exceeds the values in table 3 in the credit requirements.
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See the daylight and quality views calculator provided by USGBC.

IES LM 83-12, Section 2.2.10, provides general guidance for interior surface reflectances.
If surface reflectance values are not available in manufacturers information, field measurements may be
performed. Refer to IES LM 83-12, Section 9.12.2, on measuring illuminance and luminance.

Field measurements may be performed as follows:


Use a reflectance chart, such as that found in the CIBSEs Lighting Guide 11: Surface Reflectance and
colour document, to measure reflectance.
Measure illuminance with an illuminance meter, and luminance with a spot luminance meter.
Reflectance is defined as illuminance divided by luminance in the space.

direCT sunliGhT based on lux differenCes beTWeen adjaCenT Grid PoinTs


For ASE analysis, direct sunlight can be assumed to occur for any grid point that has an hourly illuminance level
at least 1,000 lux higher than any directly adjacent grid point. This could be determined from manual
postprocessing of the simulation results, through a sun path and shadow program, or with software that
automatically postprocesses the simulation results.

findinG MeTeoroloGiCal daTa


Obtain typical meteorological year data for the nearest available weather station in a format the simulation
program can accept. Example formats include TMY2 and TMY3, EPW, and WEA.
Most U.S. and international weather data can be downloaded from the U.S. Department of Energy, at
apps1.eere.energy.gov/buildings/energyplus/weatherdata_about.cfm.
The National Renewable Energy Laboratory provides a weather file viewer (DView) at
beopt.nrel.gov/downloadDView.

illuMinanCe siMulaTion ProCedure


The simulation methodology for illuminance simulation is similar to that described in IES LM 83-12 for sDA
and ASE.
For building geometries, develop a complete building model. Some programs allow energy model
geometries to be transferred to the daylight modeling interface. Include exterior walls, roofs, shading devices,
glazed assemblies (including mullion thickness), sunlight and window recesses, rough opening thicknesses, and
light shelves. Refer to LM 83, Section 2.2, for general guidance on the level of detail for the model.

Period of analysis. The analysis is performed at 9 A.M. and 3 P.M. on the equinox (September 21 or March 21),
adjusted for daylight savings time and longitude.
Illuminance threshold. The illuminance threshold for analysis is 300 lux or greater and below 3,000 lux at the
horizontal workplane, which is 30 inches (750 mm) above the finished floor, unless otherwise defined.

Analysis area and points. The analysis area should cover all regularly occupied floor area. For Healthcare
projects, the analysis area must cover all perimeter floor area, which is any area within 15 feet (4.5 meters) of
the building perimeter. Refer to LM 83, Section 2.2.5, for guidance on the calculation grid and location of the
analysis points.

Exterior obstructions. Refer to LM 83-12, Section 2.2.8, for guidance on modeling exterior obstructions.

Window and skylight details. Refer to LM 83-12, Section 2.2.9, for guidance on modeling windows and
skylights. If the modeling software requires an input of glazing transmissivity, use the visible light transmittance
value provided by the manufacturer. Glare-control devices are not included in the analysis.
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Surface reflectances. Prepare a list of material finishes for all model surfaces and verify material specifications
with the design team. A library of materials is available with most daylight programs, such as the material.rad
file structure for the RADIANCE-based7 simulation programs. The material.rad file may be customized, but in
RADIANCE, the simulation fails if a material is incorrectly defined. Check the normal direction of model
surfaces. To receive daylight, exposed surfaces should face outward from the center of each zone in which they
belong. Ground surfaces should face upward. Refer to LM 83, Section 2.2.10, for further guidance on modeling
interior surface reflectances.

Furniture and partitions. The model must include all permanent interior obstructions. Moveable furniture and
partitions may be excluded. See LM 83, Section 2.2.11, for suggestions on modeling furniture and partitions.

Illuminance climatic modeling methodology. Proceed as follows.


1. Obtain typical meteorological year data (see Further Explanation, Finding Meteorological
Data). Use local weather data or TMY weather data files for the nearest city. If the simulation program
is capable of automatically determining clear sky condition, select that option.
2. To calculate the illuminance intensity for sun (direct component) and sky (diffuse component) in a TMY2
or TMY 3 file, export the data into a text file or spreadsheet format.
3. From the TMY, select the day within 15 days of September 21 that has the clearest sky condition (total sky
cover at its lowest value) at 9 A.M.
4. From the TMY, select the day within 15 days of March 21 that has the clearest sky condition at 9 A.M.
5. Determine the direct horizontal irradiance (Wh/m2) values at 9 A.M. for the day selected in September and
at 9 A.M. for the day selected in March. Average the two values and use the result in the 9 A.M.
simulation as the direct horizontal irradiance input. If the file does not explicitly state direct horizontal
irradiance, calculate it as follows:
Direct horizontal irradiance = Global horizontal irradiance Diffuse horizontal irradiance 8

6. Determine the diffuse horizontal irradiance (Wh/m2) values at 9 A.M. for the day selected in September
and at 9 A.M. for the day selected in March. Average the two values and use the result in the 9 A.M.
simulation as the diffuse horizontal irradiance input.
7. Repeat procedures 36 for 3 P.M. (see Further Explanation, Examples).
8. Prepare the model to run a simulation to input custom values for direct horizontal and diffuse horizontal
irradiance.

Refer to LM83, Sections 2.3.1 and 2.3.2, for additional guidance on climate conditions for the projects location
such as, the sun position and intensity, sky illuminance distribution, and modeling parameters. Refer to IES
LM83, Section 2.3.3, for guidance on modeling parameters.
The daylight simulation is most successful when the light is reflected back from the interior walls into the
space.
The daylight modeler can specify a certain number of inter-reflections before a ray path is discarded.

7. radsite.lbl.gov/radiance/HOME.html (accessed June 12, 2013).


8. More information on determining different kinds of irradiance is available at
the Natural Frequency wiki site: wiki.naturalfrequency.com/wiki/ SolarRadiation/Components
(accessed June 12, 2013).
solar TiMe or loCal TiMe
When performing daylight measurements, determine whether the measurements will be taken at solar or local
time. Both are acceptable, but solar time may be more appropriate because it is based on the position of the sun
in the sky.
Solar time varies from the local standard time because of eccentricities in Earths orbit and because of time
zones and daylight saving adjustments. Solar time is typically calculated using a third-party calculator, such as
the National Oceanic and Atmospheric Administrations solar calculator.

exaMPles
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Example 1. Option 2
An open office with core areas is being assessed for compliance with Option 2 Illuminance Simulation. The
office is in New York City and has six regularly occupied spaces (Table 5) plus several nonregularly
occupied spaces, such as mechanical, elevator, and restroom space. The office has equally spaced ribbon
glazing on all four sides and a window-to-wall ratio of 63%.
Illuminance simulations were performed for all the regularly occupied spaces, based on diffuse and direct
horizontal radiation inputs determined in Figure 2. The calculated results for the second-floor open office are
displayed in Figure 3, demonstrating that 80% of the open office area is daylighted. For the entire project, the
percentage of regularly occupied area that is daylighted is 81%. The percentage of regularly occupied floor area
exceeds 75%, so project has earned 1 point under Option 2.
tablE 5. Regularly occupied spaces in example office

Floor area with daylight


regularly occupied space id Floor area (ft2) illuminance of 3003,000 lux

2nd-floor open office 9,000 7,200

3rd-floor conference room 500 420

3rd-floor private office 301 96 72

3rd-floor private office 302 120 88

3rd-floor open office 8,284 6,900

4th-floor open office 9,000 7,200

total regularly occupied area (ft2) 27,000

daylighted regularly occupied area (ft2) 21,880

regularly occupied area that is daylighted 81%

Figure 2. Diffuse and direct horizontal radiation inputs for New York City
new york city tMy3

september
Lowest total sky cover for 9 a.m. on September 17
Global horizontal irradiance = 618 Wh/m2
Diffuse horizontal irradiance = 98 Wh/m2
Direct horizontal irradiance = 618 98 = 520 Wh/m2

March
Lowest total sky cover for 9 a.m. was on March 21
daily illuminance intensity data
Global horizontal irradiance = 155 Wh/m2
Diffuse horizontal irradiance = 136 Wh/m2
Direct horizontal irradiance = 155 136 = 19 Wh/m2

computer model will input following values:


Average diffuse horizontal irradiance = 117
Wh/m2
Average direct horizontal irradiance = 270 Wh/m2
Example 2. Option 3
After construction of the New York City office building (Example 1) was completed in mid-June, the project
team took daylight measurements in all regularly occupied spaces. A second set of daylight measurements was
taken for the same spaces in October to determine the compliant floor areas in the building. The two
measurements for each space were compared to determine the areas that were compliant at both times. Figures 3
and 4 display the measurement results for a third-floor private office, 301.
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Figure 4. Measurements recorded in October


raTinG sysTeM variaTions
Core and Shell
Project teams may assume surface reflectance for finishes in unfinished spaces as described in the credit
requirements. Project teams must assume that all spaces except the core and restrooms are regularly occupied. In
unfinished spaces, permanent interior obstructions may be excluded from the analysis.

Healthcare
Review all steps in Step-by-Step Guidance.

For Step 4, first identify the perimeter area (see EQ Credit Quality Views, Further Explanation, Perimeter
Areas) for both the inpatient floors and non-inpatient floors. Next, identify all regularly occupied
760
spaces in this area; this is the regularly occupied area within the perimeter. Follow the rest of the steps for
these spaces.
(For EQ Credit Quality Views, view compliance for the inpatient floor includes all regularly occupied
spaces, not just the regularly occupied spaces in the perimeter area.)

ProjeCT TyPe variaTions


Auditoriums
Auditoriums must be included in the daylight requirements, but a lower illuminance level is acceptable; see
recommended illuminance values in The Lighting Handbook, Table 24.2.

Conference rooms dedicated to video conferencing


Conference rooms that are dedicated to video conferencing may be excluded from the daylight requirements.

Gymnasiums
Gymnasiums must be included in the daylight requirements.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion

documentation all projects option 1 option 2 option 3

Floor plans highlighting regularly occupied spaces (for Healthcare, regularly


occupied perimeter area) X X X X

List of glare-control devices for all windows with their control mechanism X X X X

List of compliant spaces with their annual summary values for sDA and ASE X

Geometric plots from simulations. X X

Narrative or output file describing daylight simulation program, simulation


inputs, and weather file X X

List of compliant spaces with their calculated illuminance values X

Floor plans or list of compliant spaces with measured illuminance values for each
node X

Calculations demonstrating percentage of compliant space between 300 lux and


3,000 lux X

relaTed CrediT TiPs


EA Prerequisite Minimum Energy Performance and EA Credit Optimize Energy Performance. Good
daylighting and glare control reduce the need for electric lighting. Consider daylight contribution when
designing the lighting system. Consider incorporating daylight sensors and dimmers to reduce lighting energy
consumption, and account for these efficiency measures in the related prerequisite and credit.
761

EQ Credit Quality Views. Design strategies that enhance daylight penetration are also likely to increase the
number of occupants with exterior views. Regularly occupied spaces must be consistently reported for both this
credit and the related credit.

EQ Credit Interior Lighting. For projects that pursue Option 1 or Option 2 of this credit, ensure that same
surface reflectance values used in daylight simulation models match those used in lighting quality calculations
for the related credit.

ChanGes froM leed 2009


The prescriptive compliance path has been eliminated.
An additional simulation option is available. The new option incorporates two new metrics, spatial
daylight autonomy and annual sunlight exposure, based on annual daylight computer simulation models.
For Option 2, the illuminance simulation now relies on local weather data and uses a calculated
illuminance intensity.
For Option 3, measurements are required at two times of the year.
The number of points available and thresholds for achievement have changed.
Schools is no longer broken out by classroom and core learning spaces vs. other regularly occupied spaces.

referenCed sTandards
IES Lighting Measurements (LM) 83-12, Approved Method: IES Spatial Daylight Autonomy (sDA) and
Annual Sunlight Exposure (ASE): webstore.ansi.org

The Lighting Handbook, 10th edition, Illuminating Engineering Society: ies.org

exeMPlary PerforManCe
Not available.

definiTions
annual sunlight exposure (ASE) a metric that describes the potential for visual discomfort in interior work
environments. It is defined as the percentage of an analysis area that exceeds a specified direct sunlight
illuminance level more than a specified number of hours per year. (Illuminating Engineering Society)

ASE1,000,250 reports the percentage of sensors in the analysis area, using a maximum 2-foot spacing between points,
that are found to be exposed to more than 1000 lux of direct sunlight for more than 250 hours per year, before
any operable blinds or shades are deployed to block sunlight, considering the same 10 hour/day analysis period
as sDA and using comparable simulation methods
clear glazing glass that is transparent and allows a view through the fenestration. Diffused glazing allows only
daylighting.

direct sunlight an interior horizontal measurement of 1,000 lux or more of direct beam sunlight that accounts
for window transmittance and angular effects, and excludes the effect of any operable blinds, with no
contribution from reflected light (i.e., a zero bounce analysis) and no contribution from the diffuse sky
component. (Adapted from
(Illuminating Engineering Society)
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movable furniture and partitions items that can be moved by the users without the need of tools or assistance
from special trades and facilities management

permanent interior obstruction a structure that cannot be moved by the user without tools or assistance from
special trades and facilities management. Examples include lab hoods, fixed partitions, demountable opaque
full- or partial-height partitions, some displays, and equipment.

spatial daylight autonomy (sDA) a metric describing annual sufficiency of ambient daylight levels in interior
environments. It is defined as the percentage of an analysis area (the area where calculations are performed,
typically across an entire space) that meets a minimum daylight illuminance level for a specified fraction of the
operating hours per year (i.e., the Daylight Autonomy value following Reinhart & Walkenhorst, 2001). The
illluminance level and time fraction are included as subscripts, as in sDA 300,50%. The sDA value is expressed as a
percentage of area.
(Illuminating Engineering Society)

sDA300/50% the percentage of analysis points across the analysis area that meet or exceed this 300 lux value for at
least 50% of the analysis period
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indoor environMenTal qualiTy CrediT Quality Views
this credit applies to:

new Construction (1 point) data Centers (1 point)


Core and shell (1 point) Warehouses and distribution Centers (1
schools (1 point) retail (1 point) hospitality (1 point) healthcare (1-2
point) points)

inTenT

to give building occupants a connection to the natural outdoor


environment by providing quality views.

requireMenTs
neW ConsTruCTion, Core and shell, sChools, reTail, daTa CenTers, hosPiTaliTy

Achieve a direct line of sight to the outdoors via vision glazing for 75% of all regularly occupied floor
area. View glazing in the contributing area must provide a clear image of the exterior, not obstructed by
frits, fibers, patterned glazing, or added tints that distort color balance.

Additionally, 75% of all regularly occupied floor area must have at least two of the following four kinds of
views:
multiple lines of sight to vision glazing in different directions at least 90 degrees apart;
views that include at least two of the following: (1) flora, fauna, or sky; (2) movement; and (3) objects at
least 25 feet (7.5 meters) from the exterior of the glazing;
unobstructed views located within the distance of three times the head height of the vision glazing; and
views with a view factor of 3 or greater, as defined in Windows and Offices; A Study of Office Worker
Performance and the Indoor Environment.

Include in the calculations any permanent interior obstructions. Movable furniture and partitions may be
excluded.

Views into interior atria may be used to meet up to 30% of the required area.

Warehouses and disTribuTion CenTers

For the office portion of the building, meet the requirements above.

For the bulk storage, sorting, and distribution portions of the building, meet the requirements above for 25% of
the regularly occupied floor area.
healThCare

For inpatient units (IPUs), meet the requirements above (1 point).

For other areas, configure the building floor plates such that the floor area within 15 feet (4.5 meters) of the
perimeter exceeds the perimeter area requirement (Table 1), and meet the requirements above for the perimeter
area (1 point).
tablE 1. Minimum compliant perimeter area, by floor plate a rea
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Floor plate area Perimeter area

(square feet) (square meters) (square feet) (square meters)

Up to 15,000 Up to 1 400 7,348 682

20,000 1 800 8,785 816

25,000 2 300 10,087 937

30,000 2 800 11,292 1 049

35,000 3 300 12,425 1 154

40,000 3 700 13,500 1 254

45,000 4 200 14,528 1 349

50,000 and larger 4 600 and larger 15,516 1 441


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behind The inTenT


Building occupants who can visually connect with outdoor environments while performing everyday tasks
experience greater satisfaction, attentiveness, and productivity. Outside views that incorporate natural elements
are more enticing and offer better visual respite. Workers seated at computers, who often develop eye strain or
dry eyes from looking at their screens for extended periods without a break, find relief in attractive distance
views.1 In healthcare facilities, providing patients with views and access to nature can shorten hospital stays and
reduce stress, depression, and the use of pain medication. 2
Views to the outdoors also connect the occupants with natural environmental cues, such as diurnal changes
from light to dark and the changes in light from season to season, which are important for maintaining natural
circadian rhythms. Disruption of these rhythms can lead to long-term health care problems, including mental
disorders.3
Designing for quality views involves consideration of building orientation and site design, facade, and
interior layout. In particular, Healthcare projects may be required to rethink the fundamental building typology
(see Further Explanation, Special Considerations for Healthcare Projects).
Integrated design enables project teams to identify potential compromises. For example, glazing with frits,
fibers, patterns, colors, or tints is often used to provide privacy, enhance aesthetics, and reduce glare and solar
heat gain; however, these types of glazing distort and in some cases completely block the views to the exterior.
Four former exemplary performance paths have been incorporated as credit compliance options, expanding
the credit to include consideration for the quality of views provided to building occupants. Specifically, glazing
color, frit, and patterns have been restricted to ensure that quality views are being maintained. Additionally, the
type of objects visible in the view (e.g., vegetation, sky, brick wall, busy street)is now an important factor.
Although the bar has been raised, four credit paths give teams flexibility in how their designed spaces may
comply. Also, atriums may now account for up to 30% of the required area with access to quality viewsa
change based on industry recognition that atriums can not only increase daylight and views for interior spaces
but also reduce the need for electrical lighting in spaces that would otherwise likely require it.

sTeP-by-sTeP GuidanCe

for healthcare, see Further Explanation, Rating System Variations.

sTeP 1. evaluaTe ProjeCT siTe


During schematic design, review the projects surroundings to identify the presence of elements that meet the view quality
requirements of this credit, such as parks, green roofs and walls, nearby buildings, and pedestrian and vehicle movement.
orient the building and locate glazing to capitalize on desirable views. for massing considerations for healthcare projects, see
Further Explanation, Special Considerations for Healthcare Projects.
consider the energy and comfort implications of vision glazing. Explore ways to use exterior shading to minimize solar heat
gain and glare while maintaining views.

sTeP 2. desiGn for TransParenCy and qualiTy vieWs


During programming, consider how best to allocate interior space to maximize access to views. During design development,
design enclosures and select furniture to minimize visual obstructions to perimeter glazing (see Further Explanation, Quality
View Design Considerations).
consider using transparent partitions or providing interior glazing at eye level to ensure views for enclosed spaces.

1. California Energy Commission, Windows and Offices: A Study of Office


Worker Performance and Indoor Environment: Technical Report (2003), pp. 8
9, ff. 18, energy.ca.gov/2003publications/CEC-500-2003-082/CEC-500-2003-082-A-09.PDF (accessed
June 12, 2013); Oklahoma State University Healthy and Safety Office, You
Can
Do Something About Eyestrain (2011), ehs.okstate.edu/kopykit/eyestrain.htm (accessed June 12,
2013).
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2. Ulrich, Roger, et al., A Review of the Research Literature on Evidence-


Based Healthcare Design, Health Environments Research and Design Journal 1(3) (2008),
(http://www.herdjournal.com)
3. Kellert, Stephen R., Judith H. Heerwagen, and Martin L. Mador,
Biophilic Design: The Theory, Science and Practice of Bringing Life into
Buildings (New York: Wiley, 2008), p. 91.
in open-plan offices, select low partitions or incorporate glazed panels to provide views in multiple directions.
Pay particular attention to maintaining views for spaces near the core. one successful strategy is to locate open-plan
areas, including classrooms, at the perimeter, while placing private offices and unoccupied areas near the core.
consider using glare control devices that preserve the view to the exterior. Movable glare control devices do not need to be
included in the calculations.

sTeP 3. idenTify reGularly oCCuPied sPaCes identify all regularly occupied spaces within the project (see EQ Overview,
Regularly Occupied Spaces).
highlight regularly occupied spaces on the floor plan or furniture plan and list all regularly occupied spaces and their respective
floor areas (table 2).
for warehouses and Distribution centers, identify which regularly occupied spaces are in the office portion of the building and
which are in the bulk storage, sorting, and distribution portions of the building.

tablE 2. Quality views tracking table

quality views

id
occupied space regularly space type Floor area (ft2 or m2) Floor area with direct line of sight to outdoors via vision glazing 1
view types 2

Determine whether any regularly occupied spaces should be excluded from the views requirements (see Further Explanation,
Project Type Variations). spaces whose functional requirements prohibit the incorporation of glazing for direct access to views
may be excluded. spaces may not be excluded for security or noise concerns.

sTeP 4. idenTify siGhT lines To exTerior vieWs


on floor plans or furniture plans, identify the locations of perimeter and interior glazing and all permanent interior obstructions.
Determine whether the perimeter and interior glazing qualifies as vision glazing (see Further Explanation, Vision Glazing).
identify permanent interior obstructions (see Definitions). Movable furniture and partitions as well as movable glare control
devices may be included in the calculations, but this is not required.
consider performing an initial rough assessment before performing the detailed assessment of view quality. Determine
whether the regularly occupied floor area with proximity to vision glazing is at least 75% of the total regularly occupied floor
area (see Further Explanation, Rating System Variations, Warehouses and Distribution Centers).

sTeP 5. assess vieW qualiTy


identify which kinds of view will be used to demonstrate view quality. for each regularly occupied space or area of the floor
plan, select two view types and add the selection to the tracking table. Eligible view types are as follows:
1. Multiple lines of sight to vision glazing in different directions at least 90 degrees apart
2. Views that include at least two of the following: (1) flora, fauna, or sky; (2) movement; and (3) objects at least 25 feet (7.5
meters) from the exterior of the glazing
3. unobstructed views located within the distance of three times the head height of the vision glazing
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4. Views with a view factor of 3 or greater, as defined in Windows and Offices: A Study of Office Worker Performance and the
Indoor Environment4

4. California Energy Commission, Windows and


Offices: A Study of Office Worker
Performance and Indoor Environment: Technical
Report (2003), pp. 89, ff.
18, energy.ca.gov/2003publications/CEC-500-2003-082/CEC-500-2003-082-A-09.PDF (accessed June 12,
2013).2.
769
770

See the daylight and quality views calculator provided by USGBC.

The perimeter area is all floor area within 15 feet (4.5 meters) of a perimeter wall that is capable of providing a
view. Below-grade walls with areaways and walls that abut adjacent buildings are excluded. For portions of the
perimeter wall with full-height glazing, the qualifying area may be extended beyond the 15-foot (4.5 meter) limit
to twice the head height of the windows; both single-story and multistory spaces are eligible (see Further
Explanation, Example 7).
qualiTy vieW desiGn ConsideraTions
tablE 3. Design considerations by view type

view type design considerations

1. Multiple lines of sight to vision Providing multiple lines of site to vision glazing in different directions could be advantageous for high-
glazing in different directions at least rise buildings with curtain wall exteriors, especially for open-office spaces.
90 degrees apart Interior atrium and exterior glazing provide views in several directions.
Consider glazing characteristics that avoid excessive heat gain, to reduce energy use for cooling
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2. views that include at least two of In dense urban environments, providing views of movement, flora, fauna, or sky, and objects at least 25
following: feet (7.5 meters) from exterior of building may prove difficult.
(1) flora, fauna, or sky; Conversely, this criterion may be easy to achieve in low-rise buildings or buildings in suburban areas
(2) movement; or surrounded by open space and landscaping.
(3) objects at least 25 feet (7.5 Vertical landscaping may be effective strategy for achieving views of flora and fauna in dense urban
meters) from exterior of glazing environments.

3. unobstructed views located within This option is easiest to achieve in buildings with large expanses of perimeter glazing.
distance of three times head height Layouts that include extensive open-office workstations or open areas with little interior obstructions
of vision glazing along perimeter glazing are good candidates for this approach.

4. views with view factor of 3 or View factor must be determined by observation of available views for each workstation.
greater This approach may allow greater flexibility in building orientation, window size, and surroundings, but
without 3D modeling, team may be unable to determine view factor until substantial completion.

sPeCial ConsideraTions for healThCare ProjeCTs


U.S. hospitals typically have a plinth-tower arrangement, with inpatient towers sitting on top of a diagnostic
and treatment (D&T) block. In each tower, most of the perimeter is occupied by inpatient bed spaces, with
windows. Many inpatient blocks are designed in a racetrack configuration, with a ring of patient rooms
surrounding staff areas and family support areas. The nusting stations and other staff spaces are thus in the core
of the building, without direct access to daylight and views.
In the D&T block, the perimeter is usually programmed for public spaces and circulation; the clinical areas,
support spaces, and administrative offices are inside, leaving staff with limited access to daylight and views. In
such designs, the deep floor plate of the D&T block has the benefit of reducing distance to critical adjacencies
and provides uniform grids and bays for flexibility in future layout and servicing. Equipment lines all four walls
and often is embedded into the ceiling and floor, eliminating opportunities for both windows and skylights. Fire
code and privacy requirements also reduce opportunities and increase the initial cost associated with glazing in
these areas.
EQ Credit Daylight and EQ Credit Quality Views encourage project teams to design the building for the
benefit of both patients and staff.
Creative planning that retains the operational benefits of easy access to patients rooms while placing staff
and public spaces on the perimeter is required for credit achievement. Courtyard and articulated floor plans 5
(e.g., C, F, E, or comb shapes) with double-loaded corridors, which place patient rooms on either side of a
hallway, narrow the floor plate and improve access to both daylight and views. These designs can increase the
initial cost because of the additional perimeter wall and additional glazing, but daylight can illuminate a greater
proportion of the building, including nursing stations and other work areas. In T-shaped configurations with
perimeter rooms, the windowless inside corner rooms can be used for storage, equipment, and vertical
transportation. Nursing stations can be located closer to patient rooms, and wayfinding for visitors is easier.
Public spaces, diagnostic and treatment areas, and ambulatory units can be daylit either through an
articulated plan or by inserting courtyards or light wells into a large block (Figure 18). Although the articulated
plan is more widely used, the courtyard option both increases overall access to daylight and views and reduces
travel time between departments. It also gives the facility flexibility to expand and contract department size
when clinical practices shift and technology drives changes in spatial configurations. vieW faCTor

5. Guenther and Vittori, Sustainable Healthcare Architecture (New


York: Wiley, 2008).
View factor is a measure of the amount and quality of views within a 90-degree cone of vision from an
individual workstation. View factor is rated from 0 (poor quality) to 5 (high quality).
To achieve this credit, teams may determine the view factor for either primary view, what an occupant would
see while working on the phone or computer, or break view, what occupants would see while taking a short
break by turning their heads or moving their chairs while remaining seated.
View factor is determined for each workstation by assessing the vertical and lateral viewing angle for either
the primary or the break view (Figure 2). To determine view factor, first find the smaller of the vertical or lateral
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view angle. Use the angle to identify the preliminary view factor (Table 4). If the view angle falls within the
gray zone, assess the content of the view. View angles in the gray zone are rated up one level when the view
has very high vegetation content, and down one level if the view has no vegetation content.
Alternatively, use Figure 3, which demonstrates examples of different view factors, to visually assess the
view factor of a given space.
tablE 4. View factor

view angle

Preliminary view factor


Minmax gray-zone range (degrees)
(degrees)

1 14

1 or 2 45

2 59

2 or 3 911

3 1115

3 or 4 1520

4 2040

4 or 5 4030

5 5090

Figure 2. Assessing view angles


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Vision glazing is defined as that portion of exterior windows that permits views to the exterior (or an atrium).
Vision glazing must have a clear image of the exterior, not obstructed by frits, fibers, patterned glazing, or added
tints that distort color balance (Figures 48). Some patterns are acceptable if they preserve the view.

The glazing does not have to be located between 30 and 90 inches (750 and 2 300 millimeters) above the
finished floor.

Figures 47 illustrate examples of glazing solutions that are eligible for this credit.

Figure 4. Fritted glass with horizontal strips of clear glazing. The Figure 5. Fritted glass with vertical panels of clear glazing.
area between the upper and lower portions of fritted glass is The glazing between the fritted panels is acceptable vision
acceptable vision glazing. Photo by Michael Spillers. glazing. Photo by Michael Spillers.
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Figure 6. Frosted glass above, clear glazing below. The area below the frosted glazing is acceptable vision glazing. This space also has
multiple views more than 90 degrees apart. Photo by Todd Reed.

Figure 7. Lightly tinted glazing. The gray tint darkens the view but does not distort color balance, so it is acceptable vision glazing.
Figure 8 is an example of glazing that is ineligible for this credit.
775

Figure 8. Partial-height partitions with


frosted glass. Frosted glass is not
acceptable because it interferes with
occupants views to the vision glazing.
Photo by Marcus Sheffer.

Example 1. View type 1. Multiple lines of sight to vision glazing in different directions at least 90 degrees
apart

A classroom is assessed for compliance with the requirement for view type 1. The classroom has a total floor
area of 750 square feet (70 square meters) and no permanent interior obstructions. To identify compliant areas
within the classroom, the team has identified representative points on the classroom floor plan with two lines of
sight at least 90 degrees apart (Figure 9) and determined that 500 square feet (45 square meters) of the classroom
complies with the requirement.
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Example 2. View type 2. Views that include at least two of the following: (1) flora, fauna, or sky; (2)
movement; and (3) objects at least 25 feet (7.5 meters) from the exterior of the glazing

A regularly occupied space on the southeast side of the project building is assessed for compliance with
requirements for view type 2. A section drawing of the building and adjacent properties is prepared to
demonstrate that the space has views of trees close to the building and objects 25 feet (7.5 meters) from the
exterior glazing (Figure 10). The section also shows that the space, which is an office, has no permanent interior
obstructions, so this regularly occupied area meets the requirements.

Figures 11 illustrates a view with flora.

Figure 11. Planters outside a school. Photo by Marcus Sheffer.


Example 3. View type 3. Unobstructed views located within the distance of three times the head height of
the vision glazing
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An open-plan office space (Open Office 1) is assessed for compliance with the quality view requirement to have
unobstructed views located within the distance of three times the head height of the vision glazing. A section
view of the space is prepared to demonstrate that there are no permanent interior obstructions within 29 feet 3
inches (8.9 meters) of the vision glazing, which has a head height of 9 feet 9 inches (3 meters). The office space
is compliant with the requirement (Figure 12).
In the same building, a similar open office space is also assessed for compliance. A section view of the space
is prepared, but in this case, there are permanent interior obstructions within 29 feet 3 inches (8.9 meters) of the
vision glazing, which has a head height of 9 feet 9 inches (3 meters). The fixed workstation with partitions and
separate partition are both considered permanent interior obstructions. This open office space is not compliant
with the requirement (Figure 12).

Example 4. View type 4. Views with a view factor of 3 or greater, as defined in Windows and Offices; A
Study of Office Worker Performance and the Indoor Environment

The primary view for a workstation in an open-plan office (Figure 13) is evaluated and assigned a view factor of
5, based on the view factor illustrations provided in Figure 3. The view factor is rated 5 because the workstation
is directly in front of two large windows, with no obstructions or odd angles disrupting the view to the outdoors.
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Figure 13. Workstation with view factor of 5. Photo by Marcus Sheffer.

Example 5. Views into Atrium

Figure 14 illustrates how views into a sunlit interior space can be an alternative to views to the outdoors. This
approach can be used for up to 30% of the regularly occupied floor area. The requirements for direct line of
sight and two view types still apply.

Figure 14. View into atrium. The Christman Building: Photo by Gene Meadows.
Example 6. Health care perimeter area examples
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Figures 15 illustrates strategies that hospitals and other health care facilities can use to achieve compliance. The
smaller the floor plate (Figure 15a), the greater the percentage of perimeter area. Courtyards also increase
perimeter area (Figure 15b): all three floor plates have the same square footage, but the third has a much larger
percentage of perimeter area because of the courtyard.

Figure 15b. Effect of enclosed courtyards on compliant perimeter area

raTinG sysTeM variaTions


Core and Shell
Develop a feasible tenant layout based on default occupancy (or other justifiable occupancy count) for use
in analysis of quality views. Layouts should reflect the anticipated use of the unfinished spaces.

Warehouses and Distribution Centers


Follow all steps in Step-by-Step Guidance. Compliance for the office areas is calculated separately from
compliance for the bulk storage, sorting, and distribution portions.
Healthcare
Review steps 1 and 2 in Step-by-Step Guidance and see Further Explanation, Special Considerations
for Healthcare Projects.
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Classify each floor of the building as inpatient or non-inpatient (see Definitions).

For the inpatient floors, in Step 3, identify all regularly occupied spaces (see EQ Overview, Regularly
Occupied Spaces).
Highlight them on the floor plan or furniture plan and list them with their floor areas (Table 1). Follow Steps 4
and 5.
Confirm whether 75% of the inpatient regularly occupied floor area has two view types.
For the non-inpatient floors, calculate the perimeter area (see Further Explanation, Calculations:
Perimeter Area). Because non-inpatient areas are often highly variable, each floor must be
calculated separately. This component of the quality view calculation can be completed in the early stages of
design, at block planning, so that project teams can determine whether massing decisions are likely to achieve
the credit intent and adjust accordingly.

List the floor plate area and perimeter area (Table 5). Confirm that the perimeter area exceeds the values in
Table 1 of the credit requirements.
tablE 5. Tracking table for compliant perimeter area

non-inpatient floor Floor area (ft2 or m2) Perimeter area (ft2 or m2)

Highlight the perimeter area on the floor plan or furniture plan and list all regularly occupied spaces within the
highlighted area and their respective floor areas (Table 3) (see EQ Overview, Regularly
Occupied Spaces). Follow Steps 4 and 5 in Step-by-Step Guidance. Confirm that 75% of the
non-inpatient regularly occupied floor area has two view types.
tablE 6. Healthcare quality views tracking table ( non-inpatient, perimeter areas)

quality views

regularly
Floor area (ft2 view types
occupied space space type Floor area with direct line of sight
or m2)
id to outdoors via vision glazing
1 2

ProjeCT TyPe variaTions


Auditoriums
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Auditoriums may be excluded from the view requirements.

Conference rooms dedicated to video conferencing


Conference rooms that are dedicated to video conferencing may be excluded from the view requirements.
Gymnasiums
Gymnasiums may be excluded from the view requirements.

Incomplete Spaces
See Rating System Variations, Core and Shell.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.

required doCuMenTaTion
view type

1: 2: 3: 4:
all projects multiple exterior unobstructed view factor
documentation lines of sight features views within
3h

List of all regularly occupied spaces, qualifying floor area


X
in each space, and view features
Sections, elevations, diagrams, renderings, or photos
indicating sight lines to glazing do not encounter permanent X
interior obstructions.
Floor plans or diagrams identifying regularly occupied
spaces and the following: X

Multiple sight lines for each regularly occupied space X

Sight lines and exterior features labeled; provide multiple


floor plans if view features change at varying building X
heights

Sight lines and area indicating three times head height X

Area with view factor of 3 or greater X

Sections, interior elevations, or other documentation that


X
demonstrates the view factor assessment for the areas with
a view factor of three or greater.
Method for determining view factor for each typical
X
occupant location
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relaTed CrediT TiPs


EQ Credit Daylight. Window tints used for solar and glare control may hinder the quality of view by distorting
the color of objects and light. Increasing the area of vision glazing may provide greater access to daylight.

EA Prerequisite Minimum Energy Performance. Increased window-to-wall ratio in design can alter energy
performance and has a direct correlation to lighting design strategies to conserve energy. Increased glazing may
contribute to heat gain and increased HVAC energy use, but daylighting reduces the need for electric lighting.
ChanGes froM leed 2009
The exemplary performance requirements from LEED 2009 are now the basis for the credit requirements.
Glazing must provide a clear view to the outdoors. The glazing does not have to be located between 30 and
90 inches (750 and 2300 millimeters) above the finished floor.
Atriums now qualify for up to 30% of the total area.
For Healthcare projects, the inpatient unit requirements now include nonperimeter area. The requirements
for direct lines of sight in the perimeter area have been modified to align with other rating systems.

referenCed sTandards
Windows and Offices: A Study of Office Worker Performance and the Indoor Environment: h-m-g.com

exeMPlary PerforManCe
New Construction, Core and Shell, Schools, Retail, Data Centers, Hospitality
Meet the requirements for 90% of all regularly occupied area.

Warehouses and Distribution Centers


Meet the requirements for 90% of the regularly occupied floor area in the office portion of the building, and
for 50% of the regularly occupied floor area in the bulk storage, sorting, and distribution portions of the
building.

Healthcare
For inpatient areas, meet the requirements for 90% of the regularly occupied floor area.
For noninpatient areas, exceed the area requirements in Table 1 by 10% or more.

definiTions
color rendering index a measurement from 0 to 100 that indictes how accurately an artificial light source, as
compared with an incandescent light, displays hues. The higher the index number, the more accurately the light
is rendering colors. Incandescent lighting has a color rendering index above 95; standard high-pressure sodium
lighting (such as orange-hued roadway lights) measures approximately 25; many fluorescent sources using rare
earth phosphors have a color rendering index of 80 and above. (Adapted from U.S. ENERGY STAR)

inpatient unit any medical, surgical, maternity, specialty, or intensive-care unit where an individual receives
care for more than 23 hours

movable furniture and partitions items that can be moved by the users without the need of tools or assistance
from special trades and facilities management
783

non-inpatient area a public space, diagnostic or treatment area, ambulatory unit, or any other space in a health
care facility that is not for individuals who have been admitted for care

permanent interior obstruction a structure that cannot be moved by the user without tools or assistance from
special trades and facilities management. Examples include lab hoods, fixed partitions, demountable opaque
full- or partial-height partitions, some displays, and equipment.

vision glazing the glass portion of an exterior window that permits views to the exterior or interior. Vision
glazing must allow a clear image of the exterior and must not be obstructed by frits, fibers, patterned glazing, or
added tints that distort color balance.
indoor environMenTal qualiTy CrediT

acoustic Performance
this credit applies to:
new Construction (1 point) Warehouses and distribution Centers (1 point)
schools (1 point) hospitality (1 point) data Centers (1 point)
healthcare (12 points)

inTenT

to provide workspaces and classrooms that promote occupants wellbeing, productivity,


and communications through effective acoustic design.

requireMenTs
neW ConsTruCTion, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

For all occupied spaces, meet the following requirements, as applicable, for HVAC background noise, sound
isolation, reverberation time, and sound reinforcement and masking.

HVAC Background Noise


Achieve maximum background noise levels from heating, ventilating, and air conditioning (HVAC) systems per
2011 ASHRAE Handbook, HVAC Applications, Chapter 48, Table 1; AHRI Standard 885-2008, Table 15; or a
local equivalent. Calculate or measure sound levels.
For measurements, use a sound level meter that conforms to ANSI S1.4 for type 1 (precision) or type 2 (general
purpose) sound measurement instrumentation, or a local equivalent.
Comply with design criteria for HVAC noise levels resulting from the sound transmission paths listed in
ASHRAE 2011 Applications Handbook, Table 6; or a local equivalent.

Sound Transmission
Meet the composite sound transmission class (STCC) ratings listed in Table 1, or local building code, whichever is
more stringent.
tablE 1. Maximum composite sound transmission class ratings for adjacent spaces

adjacency combinations stcC

Residence (within a multifamily residence), hotel or motel room Residence, hotel or motel room 55

Residence, hotel or motel room Common hallway, stairway 50

Residence, hotel or motel room Retail 60

Retail Retail 50
785

Standard office Standard office 45

Executive office Executive office 50

Conference room Conference room 50

Office, conference room Hallway, stairway 50

Mechanical equipment room Occupied area 60

Reverberation Time
Meet the reverberation time requirements in Table 2 (adapted from Table 9.1 in the Performance Measurement
Protocols for Commercial Buildings1).
tablE 2. Reverberation time requirements

t60 (sec), at 500 hz, 1000 hz, and


room type application 2000 hz

apartment and condominium < 0.6

Individual room or suite < 0.6

hotel/motel Meeting or banquet room < 0.8

Executive or private office < 0.6

Conference room < 0.6

office building Teleconference room < 0.6

Open-plan office without sound masking < 0.8

Open-plan office with sound masking 0.8

Unamplified speech < 0.7


courtroom
Amplified speech < 1.0

Performing arts space Drama theaters, concert and recital halls Varies by application

Testing or research with minimal speech


communication < 1.0
laboratories
Extensive phone use and speech communication < 0.6

church, mosque, synagogue General assembly with critical music program Varies by application

library < 1.0

Gymnasium and natatorium < 2.0


indoor stadium, gymnasium
Large-capacity space with speech amplification < 1.5

classroom < 0.6

1. Adapted from ASHRAE (2007d), ASA (2008), ANSI (2002), and CEN
(2007)
Sound Reinforcement and Masking Systems

Sound Reinforcement
For all large conference rooms and auditoriums seating more than 50 persons, evaluate whether sound reinforcement
and AV playback capabilities are needed.

If needed, the sound reinforcement systems must meet the following criteria:
Achieve a speech transmission index (STI) of at least 0.60 or common intelligibility scale (CIS) rating of at
least 0.77 at representative points within the area of coverage to provide acceptable intelligibility.
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Have a minimum sound level of 70 dBA.


Maintain sound-level coverage within +/3 dB at the 2000 Hz octave band throughout the space.

Masking Systems
For projects that use masking systems, the design levels must not exceed 48 dBA. Ensure that loudspeaker coverage
provides uniformity of +/2 dBA and that speech spectra are effectively masked.

sChools

HVAC Background noise


Achieve a background noise level of 35 dBA or less from heating, ventilating, and air-conditioning (HVAC) systems
in classrooms and other core learning spaces. Follow the recommended methodologies and best practices for
mechanical system noise control in ANSI Standard S12.602010, Part 1, Annex A.1; the 2011 HVAC Applications
ASHRAE Handbook, Chapter 48, Sound and Vibration Control, with errata; AHRI Standard 8852008; or a local
equivalent.

Sound Transmission
Design classrooms and other core learning spaces to meet the sound transmission class (STC) requirements of ANSI
S12.602010 Part 1, or a local equivalent. Exterior windows must have an STC rating of at least 35, unless outdoor
and indoor noise levels can be verified to justify a lower rating.

healThCare

Design the facility to meet or exceed the sound and vibration criteria outlined below, which are adapted from the
2010 FGI Guidelines for Design and Construction of Health Care Facilities (2010 FGI Guidelines) and the
reference document on which it is based, Sound and Vibration Design Guidelines for Health Care Facilities
(2010 SV Guidelines).

oPTion 1. sPeeCh PrivaCy, sound isolaTion, and baCkGround noise (1 PoinT)

Speech Privacy and Sound Isolation


Design sound isolation to achieve speech privacy, acoustical comfort, and minimal annoyance from noise-producing
sources. Consider sound levels at both source and receiver locations, the background sound at receiver locations, and
the occupants acoustical privacy and acoustical comfort needs. Speech privacy is defined as techniquesto render
speech unintelligible to casual listeners (ANSI T1.523-2001, Telecom Glossary 2007).
Design the facility to meet the criteria outlined in the sections of Table 1.2-3, Design Criteria for Minimum
Sound Isolation Performance between Enclosed Rooms, and Table 1.2-4 Speech Privacy for Enclosed Room and
Open-Plan Spaces (in the 2010 FGI Guidelines and 2010 SV Guidelines).
Calculate or measure sound isolation and speech privacy descriptors achieved for representative adjacencies as
necessary to confirm compliance with the criteria in the 2010 FGI Guidelines, Sections1.2-6.1.5 and 1.2-6.1.6, and
the 2010 SV Guidelines (including the appendix).

Background Noise
Consider background noise levels generated by all building mechanical-electrical-plumbing systems, air distribution
systems and other facility noise sources under the purview of the project building design-construction team.
Design the facility to meet the 2010 FGI Guidelines, Table 1.2-2 Minimum-Maximum Design Criteria for Noise
in representative interior rooms and spaces.
Calculate or measure sound levels in representative rooms and spaces of each type to confirm compliance with
criteria in the above-referenced table using a sound level meter that conforms to ANSI S1.4 for type 1 (precision) or
type 2 (general purpose) sound measurement instrumentation. For spaces not listed in Table 1.2-2, refer to ASHRAE
2011 Handbook, Chapter 48, Sound and Vibration Control, Table 1.

oPTion 2. aCousTiCal finishes and siTe exTerior noise (1 PoinT)


787

Meet the requirements for acoustical finishes and site exterior noise.

Acoustical Finishes
Specify materials, products systems installation details, and other design features to meet the 2010 FGI Guidelines,
Table 1.2-1, Design Room Sound Absorption Coefficients (including associated sections of the appendix) and the
2010 SV Guidelines.
Calculate or measure the average sound absorption coefficients for representative unoccupied rooms of each type
in the building to confirm conformance with the requirements.

Site Exterior Noise


Minimize the effect on building occupants of site exterior noise produced by road traffic, aircraft flyovers, railroads,
on-site heliports, emergency power generators during maintenance testing, outdoor facility MEP and building
services equipment, etc. Also minimize effects on the surrounding community from all facility MEP equipment and
activities as required to meet (1) local applicable codes or (2) Table 1.2-1 of the 2010 FGI Guidelines, Table 1.2-1,
and the 2010 SV Guidelines, Table 1.3-1, whichever is more stringent.

Comply with the 2010 FGI Guidelines for the following noise sources:
heliports, A1.3-
3.6.2.2; generators,
2.1-8.3.3.1;
mechanical equipment, 2.1-8.2.1.1; and
building services, A2.2-5.3

Measure and analyze data to determine the exterior noise classification (A, B, C, or D) of the facility site. See the
2010 FGI Guidelines, Categorization of Health Care Facility Sites by Exterior Ambient Sound, Table A1.2a, and the
2010 SV Guidelines, Table 1.3-1.
Design the building envelope composite STC rating based on the 2010 FGI Guidelines, Categorization of Health
Care Facility Sites by Exterior Ambient Sound, and show conformance with requirements.
For exterior site exposure categories B, C, or D, calculate or measure the sound isolation performance of
representative elements of the exterior building envelope to determine the composite sound transmission class
(STCc) rating for representative faade sections. Measurements should generally conform to ASTM E966, Standard
Guide for Field Measurements of Airborne Sound Insulation of Building Faades and Faade Elements, current
edition.
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neW ConsTruCTion, daTa CenTers, Warehouses and disTribuTion CenTers, hosPiTaliTy

sTeP 1. define aCousTiC needs for eaCh sPaCe identify occupied spaces and
determine the following:
activities or user groups within each space and adjacencies Privacy or
sound sensitivity requirements

sTeP 2. revieW aCousTiC CriTeria


Evaluate how the four performance areas addressed by this credit affect each applicable space:
hvaC background noise levels. Engineers or acoustic experts will need to analyze background noise levels coming from hVac
equipment.
sound isolation. Designers will need to specify materials to meet sound transmission class ratings.
reverberation time. Designers will need to specify sound-absorbing treatments and/or revisit room size to address
reverberation time.
sound reinforcement and masking systems. Designers will need to analyze sti or cis, sound level and sound-level coverage for
spaces with sound reinforcement systems. Designers will also need to analyze sound level, loudspeaker coverage, and
speech spectra for spaces with masking systems.
Prepare a log or spreadsheet to record pertinent acoustic information for each space.
Determine how the acoustic requirements fit into the design process so that each can be addressed by the responsible party at
the appropriate time.
790
sTeP 3. address hvaC baCkGround noise
identify equipment and air distribution elements that could contribute to hVac background noise in occupied spaces. the
following steps refer to the referenced standard, 2011 hVac 2011 hVac applications ashRaE handbook, chapter 48, noise
and Vibration control (chapter 48).
when selecting and designing hVac systems, consider basic acoustic design techniques (e.g., chapter 48, page 48.8).
consider specific source design considerations (e.g., chapter 48, pages 48.148.41 and 48.848.30).
compile acoustic performance data at specific operating points from the hVac equipment manufacturers data. this information
may inform the hVac background noise criteria used for compliance.
consider source-receiver paths when locating occupied spaces, and hVac equipment. for example, noise-generating hVac
equipment could be placed above a corridor rather than above a conference room. Review chapter 48, table 6, and address each
applicable transmission path.

3. Aaron, J.N., et al., Environmental Noise as a Cause of Sleep Disruption in


an Intermediate Respiratory Care Unit, SLEEP 19(9) (1996): 70710.
4. Novaes, M.A., et al., Stressors in ICU: Patients Evaluation, Intensive Care Medicine
23(12): 12825.
5. Baker, C.F., Discomfort to Environmental Noise: Heart Rate Responses of SICU
Patients, Critical Care Nursing Quarterly 15(2) (1992): 7590
791
sTeP 4. verify hvaC baCkGround noise
Determine noise criteria (nc), room criteria (Rc), a-weighted sound pressure levels, or c-weighted sound pressure levels for each
occupied space through one or more of the following methods (see Further Explanation, Selecting a Sound Rating Method). consider
sound pressure levels from hVac equipment only; plumbing, lighting, and electrical may be excluded.
calculate sound pressure levels per chapter 48 and follow the steps outlined in the hVac noise-
Reduction Design Procedures section of the handbook. calculations may be done in the design phase.
calculate sound pressure levels per ahRi standard 8852008, Procedure for Estimating occupied space sound Levels in the
application of air terminals and air outlets. follow the steps outlined in section 6, calculation Procedures for Estimating sound
Levels in occupied spaces. calculations may be done in the design phase.
Measure sound pressure levels per chapter 48. follow field measurement guidelines from the Determining compliance section.
follow guidelines from the Room noise Measurements sections. the measurements must be performed postconstruction and
should be done in furnished spaces with hVac systems operating in typical conditions and while no occupants are present.
noises from sources other than hVac systems should be minimized or turned off during testing.
a local standard, procedure, or handbook that is equivalent to one of the above methods may also be used.
Prepare a narrative that describes the methods followed and a summary report with measurements or calculations.
Demonstrate compliance with the overall sound pressure limits listed in chapter 48, page 48.3, table 1, or ahRi standard 885-2008,
table 15, for applicable spaces.

sTeP 5. verify noise reduCTion MeThods for sound TransMission PaThs


in a narrative and associated drawings or details, highlight each transmission path from chapter 48, table 6, that is applicable to the
project and the specific noise reduction measures selected. sTeP 6. idenTify adjaCenCies for sound isolaTion requireMenTs
identify occupied spaces and their adjacency combinations. Review table 1 from the credit requirements and the local building
code to determine the applicable composite sound transmission class (stcc) rating.

identify all assemblies (e.g., wall, floor-ceiling, roof-ceiling, door, window) that serve to acoustically isolate each occupied space.

sTeP 7. verify sound isolaTion


Verify that the assemblies for each occupied space meet the sound isolation requirements. Demonstrate compliance through
published data, calculation, or measurement, as follows:
Published data. select walls, doors, and windows with published manufacturers data
Calculation. Perform averaging calculations that allow a trade-off between higher stc of walls and lower stc ratings of doors,
windows, and penetrations (see Further Explanation, Determining Composite Sound Transmission Class). calculations may be
done in the design phase.
Measurement. Measure noise isolation class (nic) for all assemblies per annex a.3 of ansi s12.60 2010 and compare the results
with the sound isolation requirements. a nic rating within 3 points of the specified stc rating may be considered compliant.
Measurements cannot be performed until after the substantial completion of construction.
assemblies with similar construction details may be grouped together. any significant variance in opening areas, such as window or
door ratios, should be evaluated separately.
compile a list of each occupied space. for each space, list the maximum stc rating, the design stc rating or measured results, and
data or calculations to support the values.

sTeP 8. idenTify sPaCe reverberaTion TiMe requireMenTs


use table 2 in the credit requirements to determine reverberation time requirements for each occupied space in the project. for
spaces that vary by application or are not listed in the table, use criteria from referenced standards, or use values for the space type
with the closest functional use. sTeP 9. iMPleMenT reverberaTion TiMe MiTiGaTion sTraTeGies
use sound-absorptive materials or other strategies to limit the reverberation times for each occupied space as appropriate for the
room type.
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793
for each space using sound reinforcement, select sound reinforcement strategies that meet the speech intelligibility, sound level,
and sound-level coverage credit requirements (see Further Explanation, Meeting Sound Reinforcement Credit Requirements).
for each space using masking systems, select a system that meets the credit requirements for sound level and system uniformity
(see Further Explanation, Selecting a Sound Rating Method).
Document the needs that are addressed through a sound reinforcement or masking system, or the rationale for not including these
systems.

sChools

sTeP 1. idenTify all ClassrooMs and oTher Core learninG sPaCes


see EQ Prerequisite Minimum acoustic Performance. spaces addressed for this credit should be consistent with those addressed for
the prerequisite.

sTeP 2. revieW aCousTiC CriTeria


Review the acoustic design documentation developed for EQ Prerequisite Minimum acoustic Performance and append it as
necessary for the hVac background noise and sound isolation requirements of this credit.
hvaC background noise. using the results from step 4 of the hVac background noise section in the prerequisite, confirm that all
classroom and core learning spaces comply with a 35 dBa maximum. sound isolation. Designers must specify materials to meet
sound transmission class ratings.
Prepare a log or spreadsheet to record the pertinent acoustic information for each space.
Determine how the acoustic requirements will be integrated into the design process so that they can be addressed by the
responsible party at the appropriate time.

sTeP 3. address hvaC baCkGround noise


follow the step-by-step guidance for hVac background noise in EQ Prerequisite Minimum acoustic Performance, and verify that
background noise does not exceed 35 dBa in any applicable space. the credit threshold will likely require the adoption of a layered strategy
that combines several best practices for low-noise mechanical design. teams are encouraged to engage mechanical designers or acoustic
experts familiar with the referenced standards who can calculate hVac background noise levels during design development. sTeP 4.
idenTify adjaCenCies
identify the types of spaces that are adjacent to each core learning space. Review ansi s12.602010, section 5.4.2, table 4, to
understand the types of adjacent spaces and determine the applicable required stc ratings.
Review ansi s12.602010, section 5.4.2.3, to determine which adjacencies require composite wall stc ratings (which account for
doors, windows, and other penetrations).
Review section 5.4.2.4 to identify the stc ratings for interior door assemblies and their associated window glazing.
windows in core learning spaces must have a minimum stc rating of 35 in lieu of the ratings in section 5.4.2.

sTeP 5. desiGn for MaxiMiZinG sound isolaTion


identify all assemblies (e.g., wall, floor-ceiling, roof-ceiling, door, window) that serve to acoustically isolate each core learning space.

sTeP 6. verify sound isolaTion


Verify that the assemblies for each core learning space meet the sound isolation requirements listed in ansi s12.602010, Part 1,
section 5.4.2, indoor-to-indoor attenuation of airborne sound and table 4. Demonstrate compliance through published data,
calculation, or measurement, as follows:
Published data. select walls, doors, and windows with published manufacturers data
Calculation. if necessary, perform averaging calculations according to sections 5.4.2.3 and 5.4.2.4 of the ansi standard (see Further
Explanation, Determining Composite Sound Transmission). calculations may be done in the design phase.
Measurement. Measure noise isolation class (nic) for all assemblies per annex a.3 of ansi s12.602010 and compare with the
sound isolation requirements. a nic rating within 3 points of the specified stc rating may be considered compliant. Measurements
cannot be performed until after the substantial completion of construction.
assemblies may be grouped together based on similar construction details. any significant variance in opening areas, such as
window or door ratios, should be evaluated separately.
compile a list of each core learning space. for each space, list the maximum stc rating, the design stc rating or measured results, and
data or calculations to support the values.
794
healThCare

sTeP 1. idenTify oCCuPied sPaCes create a table of all occupied spaces in the project and the function of
each space. sTeP 2. seleCT oPTion

Determine whether the project will pursue one or both options.


option 1 includes requirements related to interior spaces and partitions.
option 2 has requirements for interior finishes, the building envelope, and exterior noise sources.
Both options 1 and 2 may involve multiple design strategies:
separating patient rooms from treatment areas, media areas, and staff areas
including buffer spaces in the building program
using partial-height barriers in open-plan areas and isolating partitions in closed-plan areas
installing sound-absorptive finishes
addressing mechanical system noise and medical equipment noise
installing ambient background noise or electronic masking systems
installing interior vision panels
installing close-fit doors with gaskets where appropriate
Both options reference the 2010 fGi Guidelines for Design and construction of health care facilities (2010 fGi Guidelines) and the
sound and Vibration Design Guidelines for health care facilities (2010 sV Guidelines) (see Further Explanation, Using 2010 FGI
Guidelines and 2010 SV Guidelines).

option 1. speech Privacy, sound isolation, and background noise


sTeP 1. idenTify adjaCenCies and isolaTion requireMenTs
in the table of occupied spaces and functions, note adjacencies. Review the 2010 fGi Guidelines, table 1.2-3, to determine the
applicable composite sound transmission class (stc) ratings. consider adjacencies for interior spaces only; exterior adjacency is
addressed elsewhere.

sTeP 2. desiGn for sound isolaTion


identify all demising wall assemblies and floor-ceiling assemblies that acoustically separate each applicable occupied space,
including patient rooms, intensive-care units, examination rooms, treatment rooms, toilet rooms, consultation rooms, MRi rooms,
corridors, and public space.
for all applicable assemblies, use products with sound isolation properties that meet the stc ratings in the 2010 fGi Guidelines, table
1.2-3.

sTeP 3. verify sound isolaTion


Verify that the assemblies for each occupied space meet the sound isolation requirements. Demonstrate compliance through
published data, calculation, or measurement, as follows:
Published data. select walls, doors, and windows with published manufacturers data
Calculation. Perform averaging calculations that allow a trade-off between higher stc of walls and lower stc ratings of doors,
windows, and penetrations (see Further Explanation, Determining Composite Sound Transmission Class). calculations may be
done in the design phase.
Measurement. Measure noise isolation class (nic) for all assemblies per annex a.3 of ansi s12.60 2010 and compare with the
sound isolation requirements. a nic rating within three points of the specified stc rating may be considered compliant.
Measurements cannot be performed after the substantial completion of construction.
assemblies may be grouped together based on similar construction details. any significant variance in opening areas, such as
window or door ratios, should be evaluated separately.
compile a list of each occupied space. for each space, list the maximum stc rating, the design stc rating or measured results, and
data or calculations to support the values.

sTeP 4. idenTify sPeeCh PrivaCy requireMenTs


in the table developed for step 1, identify whether each space is fully enclosed or open to other spaces, and work with the owner
to determine the level of speech privacy desired in each space and required to comply with the health insurance Portability and
accountability act (hiPaa) and other privacy protection statutes.
795
classify speech privacy goals as normal, confidential, or secure based on the sensitivity of expected conversations. open-plan
spaces typically permit limited opportunities for speech privacy, so activities that require speech privacy may be assigned to
adjacent enclosed spaces.
Enclosed rooms that require confidential levels may include admitting areas, psychiatric and psychological interviewing and testing
rooms, hematology labs, clinical areas, examination rooms, consultation rooms, and private offices where speech privacy is
critical to the services performed.
secure speech privacy, the highest level, is generally defined as the total inaudibility of speech in adjacent spaces. this level of
privacy may be required in special clinical areas, such as hearing test booths, speech therapy rooms, and special psychiatric
suites.
Engage an expert familiar with speech privacy to select the speech privacy rating method that will be used to evaluate compliance
and to provide design assistance. Refer to the 2010 fGi Guidelines, page 27, appendix a1.2-6.1.6.1, for further discussion of the
four methods (privacy index, articulation index, speech transmission index, and speech intelligibility index).

sTeP 5. desiGn for sPeeCh PrivaCy


two approaches to providing adequate speech privacy are common. the first is to reduce sound transmission between spaces by
installing improved partition assemblies (for enclosed rooms) and partial-height partitions and sound-absorptive room finishes (for
open-plan spaces). the second is to provide an adequate level of continuous background sound.

sTeP 6. verify sPeeCh PrivaCy PerforManCe


Evaluate each occupied space for speech privacy and compare to the speech privacy goals in the 2010 fGi Guidelines, table 1.2-4 for
the selected method. seek expert guidance on the appropriate calculation or site measurement methodology, or review the
standards referenced in 2010 fGi Guidelines, page 27, appendix a1.2-6.1.6.1.
Retain copies of testing or calculation procedures for documentation.

sTeP 7. address baCkGround noise identify all equipment that could contribute to background noise in
occupied spaces.
Requirements of this credit apply to all elements within the project scope that have the potential to generate audible noise in
occupied rooms. Examples include all building mechanical, electrical, plumbing systems, and air distribution elements.
consider source-receiver paths when locating occupied spaces and hVac equipment. for example, an air-handling unit could be
placed above a corridor rather than above a patients room. control ambient noise, including mechanical system noise, by
selecting quiet fans that rotate at slow speeds, changing filters on a regular basis, locating sound attenuators at variable air
volume terminal boxes where needed, installing vibration isolators on rotating and vibrating equipment, providing duct
attenuation, designing ductwork to minimize cross-talk from one room to another, and controlling airflow velocity in the
ductwork to minimize turbulence noise.
compile acoustic performance data at the specific operating points from the equipment manufacturers data. this information may
inform the background noise criteria used for compliance (see Further Explanation, Selecting a Sound Rating Method).
Because of the sensitive nature of these projects occupants, electrical, lighting, and plumbing noise sources are considered in the
background noise requirements for healthcare but not for the other BD+c rating systems.
sTeP 8. seleCT rooM noise raTinG MeThod
Review the 2010 fGi Guidelines, table 1.2-2, to determine the applicable background noise criteria for each space. the referenced
standard lists four measures for background noise: noise criteria (nc), room criteria (Rc), room criteria neutral (Rc(n), and a-
weighted decibel (dBa). to demonstrate achievement of the credit, project teams must verify compliance for one metric for each
space.
for space types not listed in the table, refer to 2011 hVac applications ashRaE handbook, chapter 48, table 1 (see Further
Explanation, Selecting a Sound Rating Method).

sTeP 9. verify hvaC baCkGround noise


Determine sound pressure levels for each occupied space and verify compliance for each applicable room type using the 2010 fGi
Guidelines, table 1.2-2. consider sound pressure levels from hVac, plumbing, lighting, and electrical equipment. Demonstrate
compliance through calculation or measurement, as follows:
Engage an acoustics expert to complete the necessary calculations manually or through computer simulation. Early calculations,
during design, may allow teams to iteratively evaluate alternative or layered strategies.
consider measuring sound levels if the mechanical designer or acoustics expert on the project team is familiar with best
practice acoustic design and construction strategies. Ensure that the meter used conforms to credit requirements.

option 2. acoustic finishes and site exterior noise

sTeP 1. idenTify sound absorPTion requireMenTs


796
Review the 2010 fGi Guidelines, table 1.2-1, to determine the applicable sound absorption criteria for each space listed in the table
created for step 1.

sTeP 2. idenTify surfaCes for aCousTiC TreaTMenT


catalog the area of planar surfaces in each space and identify locations where absorptive finishes can be applied.
acoustically absorptive finishes are typically applied to floors, ceilings, or walls as soft or perforated materials. fabric-covered
furniture or partition systems may be considered part of the permanent room layout.
for spaces with noisy plenum equipment, sound transmission paths that travel through the ceiling plenum, or partitions that
do not extend to the underside of the deck above, consider incorporating ceiling materials with ceiling attenuation class (cac)
ratings of 35 or greater. cushion-backed flooring materials may reduce footfall and cart-rolling noise.
additional acoustic finishes may be applied as window curtains, ceiling baffles, or other elements.
Balance the application of acoustic treatments with other performance criteria. for example, criteria for daylighting penetration
may affect how acoustic ceilings are applied. areas with stringent sanitation needs may also restrict the placement of acoustically
absorptive materials on the floors or lower walls. sTeP 3. seleCT aCousTiC TreaTMenTs
specify and install finish materials with a high noise reduction coefficient (nRc) rating to satisfy the credit requirements. typically,
acoustically absorptive materials have nRc ratings of 0.70 or higher.
collect manufacturers documentation to verify the nRc of each acoustic finish material. Record the area of each acoustic finish
material for credit documentation.

sTeP 4. verify sound absorPTion CoeffiCienT


calculate the average sound absorption coefficient () for each space type, using Equation 1, and confirm that each room complies
with the applicable sound absorption.
769

Equation 1. Average room sound absorption coefficient

average { ( NCR1 area 1 ) + ( NCR2 area 2 ) + ( NCRn area n ) }


=

area total
account for all room surfaces (walls, floors, and ceilings) in the calculation.

sTeP 5. idenTify sourCes of exTerior noise


Early in the design process, assess the project site for exterior noise sources, both on- and off-site. offsite sources may include
major transit corridors, industry or manufacturing facilities, outdoor venues, rail lines, and air traffic lanes. on-site sources may
include heliports, emergency power generators, and outdoor mechanical and building services equipment.
Predicted noise sources may also be identified through neighborhood maps or aerial photographs that show adjacent site uses.
consider marking existing off-site and anticipated on-site noise sources on a map, where adjacencies to project buildings or
residential neighbors can be identified. these zones can then be highlighted for special consideration for noise mitigation.

sTeP 6. desiGn usinG besT PraCTiCes and requireMenTs


Ensure that the design meets the 2010 sV Guidelines acoustic requirements for heliports, generators, mechanical equipment, and
building services, as described in the credit requirements. several referenced sections affect programmatic functions of the
project; therefore, teams are encouraged to evaluate criteria early in planning and design. other sections define criteria for
equipment specification and adjacency limits that must be resolved during design development and construction.
Evaluate each section and define how a combination of architectural and engineering strategies will be used to satisfy the
requirements.

sTeP 7. Classify siTe noise exPosure level


through observation or measurement, determine the projects exterior noise exposure category per 2010 fGi Guidelines, table
a1.2-a or the 2010 sV Guidelines, table 1.3-1. for additional information on exterior noise exposure categories, see 2010 fGi
Guidelines, section a1.2-6.1.2, and 2010 sV Guidelines, section 1.3.
assign a site classification based on the worst-case conditions, from a (quiet) through D (very noisy), through either observation or
measurement, as follows:
on a site visit, identify development patterns around the project, their approximate sound levels, and adjacency to major transportation
corridors (air, rail, highway).
conduct one-week monitoring of day-night sound levels (in dB) and average hourly nominal maximum a-weighted sound levels (dBa).
98

Most teams will be able to classify their sites based on observation. however, teams that wish to claim a site classification lower
than the default category should analyze measured site noise levels.

sTeP 8. desiGn enveloPe usinG sTC PerforManCe CriTeria


Based on the sites exterior noise exposure category identified in step 7, determine the required stc rating for exterior building
envelope assemblies according to the 2010 fGi Guidelines, table a1.2a. to meet the stc rating performance criteria, consider the
following strategies:
select exterior envelope assemblies based on stc ratings provided by manufacturers.
noisy sites may require thicker wall materials and highly insulated fenestration.
wall assembly stc ratings should exceed the stc rating requirement if any low-stc rated assemblies or elements are used for
fenestrations, doors, or other openings.
Balance the use of lowstc-rated assemblies and elements with the need to provide daylighting and views to occupied perimeter
spaces.

sTeP 9. verify CoMPlianCe


if the project is located on a B, c, or D site, provide calculations or measurements to verify that assembly stc ratings meet the
applicable 2010 fGi Guidelines requirements. sites categorized as a or Minimal have limited exterior noise and can skip this step.
799

= ( + + + ...... )

for guidance on calculations, see the 2010 sV Guidelines, section a1.3, and Further Explanation, Determining Composite Sound
Transmission Class.
conform to the measurement methods outlined in astM E966, standard Guide for field
Measurements of airborne sound insulation of Building facades and facade Elements. Project teams wishing to pursue this method
are encouraged to engage an expert familiar with testing protocol.
00
Equation 3. Reverberation time (SI)

V
Rt = 0.161
a
where
V is the room volume in cubic meters
A is the total sound absorption in the room (from Equation 1).

reverberaTion TiMe MeasureMenTs


For reverberation time measurements, refer to the following references:
ASHRAE Performance Measurement Protocols for Commercial Buildings, Chapter 9.
ANSI Standard S12.602010, Annex A.4. For all projects except Schools, the reverberation time limits
from Table 2 in the credit requirements should be used in lieu of the limits in the ANSI standard.
deTerMininG CoMPosiTe sound TransMission Class (sTC) raTinGs
Composite sound transmission class (STC) rating is a weighted value for the capacity of a partition to attenuate
airborne sound. STC rating is calculated by averaging the transmission loss through an entire assembly.
In design, consider both the acoustic performance and ratio of partition materials. Because sound has a
tendency to travel through the weakest element (that with the lowest STC rating), carefully evaluate the use of
penetrations, openings, or fenestration in assemblies with a high STC rating requirement.
Ensure compliance with the standard through an evaluation of wall and floor sections and specification of
tested window and door assemblies. STC ratings are typically reported by manufacturers on product data sheets
and other documentation (such as the 2010 FGI Guidelines and 2010 SV Guidelines) that show tested
results based on standard wall materials.

sound reinforCeMenT
Sound reinforcement may be needed for meeting, open office, public, or presentation spaces that seat more than
50 people, depending on their function (see Definitions, AV PlaybackCapabilities, and
Definitions, Sound Reinforcement). For smaller spaces and for spaces with simple geometry,
simple amplification systems may meet the credit criteria.
For spaces with unique architecture or live acoustic environments, systems with advanced balancing and
signal processing may be required. Balancing the sound reinforcement system helps provide appropriate coverage
throughout the space. The balancing requirements and methodology depend on the type of sound system strategy
implemented and the sound reinforcement system equipment available. Signal-processing equipment can help
improve sound system fidelity and uniformity of coverage.

MeeTinG sound reinforCeMenT requireMenTs


For each space with a sound reinforcement system, verify compliance with the speech intelligibility (the extent to
which a listener can hear and comprehend spoken words over other noise), sound level, and uniformity of
coverage requirements. This involves evaluating the relationship of the room acoustic environment, sound
reinforcement system design and location, background noise level, and the listeners locations.

For more information on the performance criteria, see the following:


For speech intelligibility, CIS criterion, see the Speech Intelligibility White Paper by 3M. 6 The speech
transmission index (STI) varies from 0 (totally unintelligible) to 1.0 (perfectly intelligible). The common
intelligibility scale (CIS) relates to STI with the following equation: CIS = 1 + log (STI).
For sound-level and uniformity of coverage, refer to ANSI/INFOCOMM 1M2009, Audio Coverage
Uniformity in Enclosed Listener Areas.

Compliance with the criteria can be determined through basic calculations, acoustic modeling software, or with
measurements. If the space is not compliant, consider one or a combination of the following options:
Revising the rooms acoustic treatment strategy (typically by increasing the distribution and amount of
treatment)
801
Revising the sound reinforcement strategy (adjusting the type of sound reinforcement system or location
and the type and aiming of loudspeakers)
Lowering the background noise level in the room
Adjusting the sound output as needed to increase the output level while maintaining uniform coverage

MaskinG sysTeMs
Sound masking is a technology that uses artificially produced sound to cover or mask unwanted environmental
noise. These systems may be appropriate in open-floor layouts where full height partitions do not exist between
workspaces. Sound-masking systems can mitigate the perception that open offices are noisy and distracting
places to work.
Our hearing system tends to notice specific sounds when they are above ambient noise levels. Therefore, very
quiet spaces with isolated areas of activity may be balanced by targeted sound-masking systems.

6.
http://multimedia.3m.com/mws/mediawebserver?mwsId=SSSSSufSevTsZxtUoY_vN82eevUqevTSevTSevTSeSSSSSS--&fn=Speech
Project teams using sound masking should consider their use as a supplement to architectural finishes or other
passive strategies for sound isolation. Masking systems need to be carefully designed and calibrated so that their
coverage is uniform and even and the sound spectrum (not just overall loudness) is appropriate for masking the
intended environmental noise. A system should not sound hissy or rumbly, and the level should be low
enough that it does not cause listening fatigue. A systems use time period also needs to be evaluated. Consider
incorporating ramping in the masking system design, whereby the equipment gradually increases noise levels
throughout the day or when a space is occupied.
A commonly applied rule is to control no more than 1,000 square feet (93 square meters) per zone, though
project teams may consult with sound-masking system experts to identify appropriate control strategies.
For more information on sound masking and how it can improve workplaces, see Sound Matters, available
at gsamatters.com.

MeeTinG MaskinG sysTeM requireMenTs


Typically, a sound masking systems specification includes the required frequency spectrum (or spectra), which
could be assessed to make sure that the maximum masking noise levels are at or below 48 dBA. See ASTM
E1130 for an example of a speech spectrum.
Make sure the system will be measured or evaluated after installation to confirm that it operates as designed.
Consider specifying the procedures and reporting methods from ASTM Standard E1573.

seleCTinG a sound raTinG MeThod


The referenced standards for this credit present HVAC background noise level guidelines based on space type.
The guidelines use the following sound rating methods:
Noise criteria (NC)
Room criteria (RC) or room criteria neutral (RCN)
A-weighted decibel (dBA)
C-weighted decibel (dBC)
RC Mark II rating method
The methods are described in the 2011 ASHRAE Handbook, HVAC Applications, Chapter 48, Noise and
Vibration Control. Teams must demonstrate compliance with one of the background noise rating methods for
each space. The selection of rating method depends on the project requirements for acoustic quality but may be
affected by the availability of data for HVAC components sound levels.
In each method, sound levels must be calculated or measured across a range of audible frequencies. NC and
RC methods are more sensitive to the balance of sound frequencies, whereas dBA reports the maximum sound
level within a frequency range.

usinG 2010 fGi Guidelines and 2010 sv Guidelines


The 2010 SV Guidelines are the referenced standard for all acoustics issues in the 2010 FGI Guidelines; they
contain design suggestions and background information regarding acoustic and privacy design for all types of
health care facilities. The guidelines were commissioned by FGI and prepared by the ad hoc Joint Subcommittee
02

on Speech Privacy and Healthcare Acoustics TC-AA.NS.SC, a technical subcommittee of the Acoustical Society
of America, the Institute of Noise Control Engineers, and the National Council of Acoustical Consultants.

CaMPus
Group Approach
Submit separate documentation for each building.

Campus Approach
Ineligible. Each LEED project may pursue the credit individually.
required doCuMenTaTion

schools all projects

See EQ Prerequisite Minimum Acoustic Performancev X


background noise

sound STC calculation or measurement method X


isolation
List of STC ratings X

STC rating assembly source data X

new construction, data centers, Warehouses and distribution centers, hospitality all projects

hvac background Occupied spaces sound level values X

noise Calculation, measurement narrative, or manufacturers data X

Noise reduction narrative X

sound STC ratings for space adjacencies X


isolation
Calculation, measurement narrative, or manufacturers data X

Reverberation time criteria for each room X

Calculation, measurement narrative, or manufacturers data X


reverberation time
List of all large conference rooms and auditoriums X

Explanation of sound reinforcement methodology (if installed) X


sound reinforcement
and masking systems
Explanation of sound reinforcement system components and specifications (if installed) X

Explanation of masking system components and specifications narrative (if installed) X

healthcare option 1 option 2

List of spaces, adjacencies, STC ratings X

List of spaces, privacy index values X

speech privacy and Calculation or simulation results, or report of field measurements X


sound isolation
List of spaces, design criteria, values X

Lab test reports and simulation results, or report of field measurements X


room noise levels
803

acoustical finishes Documentation of wall, ceiling, and floor finishes with associated NRC
values X

Calculated average sound absorption coefficients for representative room


types X

site exterior noise Exterior building envelope STC rating X

Site noise exposure category narrative X

Mitigation narrative for each 2010 FGI guideline X

Special neighborhood considerations narrative X

relaTed CrediT TiPs


Schools
EQ Prerequisite Minimum Acoustic Performance. This credit has additional performance thresholds for
HVAC background noise and additional criteria for STC.
ChanGes froM leed 2009
New Construction, Data Centers, Warehouses and Distribution Centers, Hospitality
This is a new credit.

Schools
The background noise level limit has decreased from 40 dBA to 35 dBA.
The referenced ANSI S12.60 standard has been updated from 2002 to 2010.
AHRI Standard 8852008 has been added as a referenced standard for background noise.
Equivalent local codes may now be used in place of the national codes specified in the credit requirements.

Healthcare
The credit name has changed from Acoustic Environment.

referenCed sTandards
ASHRAE 2011, HVAC Applications Handbook, Chapter 48, Noise and Vibration Control: ashrae.org

AHRI Standard 8852008: ahrinet.org

ANSI S1.4, Performance Measurement Protocols for Commercial Buildings: ashrae.org

2010 Noise and Vibration Guidelines for Health Care Facilities:


http://speechprivacy.org/joomla//index.php?option=com_content&task=view&id=33&Itemid=43

ANSI/ASA S12.602010 American National Standard Acoustical Performance Criteria, Design


Requirements, and Guidelines for Schools, Part 1, Permanent Schools: asastore.aip.org

FGI Guidelines for Design and Construction of Health Care Facilities, 2010 edition: www.fgiguidelines.org

ANSI T1.5232001, Telecom Glossary 2007: ansi.org

E966, Standard Guide for Field Measurements of Airborne Sound Insulation of Building Facades and
Facade
Elements: astm.org

exeMPlary PerforManCe
04
Not available.

definiTions
classroom or core learning space a space that is regularly occupied and used for educational activities. In such
space, the primary functions are teaching and learning, and good speech communication is critical to students
academic achievement. (Adapted from ANSI S12.60)

occupied space an enclosed space intended for human activities, excluding those spaces that are intended
primarily for other purposes, such as storage rooms and equipment rooms, and that are only occupied
occasionally and for short periods of time. Occupied spaces are further classified as regularly occupied or
nonregularly occupied spaces based on the duration of the occupancy, individual or multioccupant based on the
quantity of occupants, and densely or nondensely occupied spaces based on the concentration of occupants in the
space.
sound-level coverage a set of uniformity criteria that ensure consistent intelligibility and directionality of audible
frequencies for all occupants within a space

speech privacy a condition in which speech is unintelligible to casual listeners (ANSI T1.5232001)

speech spectra the distribution of acoustic energy as a function of frequency for human speech
Innovation (in)
overvieW

Sustainable design strategies and measures are constantly evolving and improving. New technologies are continually introduced to
the marketplace, and up-to-date scientific research influences building design strategies. The purpose of this LEED category is to
recognize projects for innovative building features and sustainable building practices and strategies.
Occasionally, a strategy results in building performance that greatly exceeds what is required in an existing LEED credit. Other
strategies may not be addressed by any LEED prerequisite or credit but warrant consideration for their sustainability benefits. In
addition, LEED is most effectively implemented as part of a cohesive team, and this category addresses the role of a LEED
Accredited Professional in facilitating that process.
778
innovaTion CrediT

innovation
this credit applies to:
new Construction (15 points) data Centers (15 points)
Core and shell (15 points) Warehouses and distribution Centers (15 points) schools (1-5 points)
hospitality (15 points) retail (15 points) healthcare (15 points)

inTenT to encourage projects to achieve exceptional or innovative performance.

requireMenTs
Project teams can use any combination of innovation, pilot, and exemplary performance strategies.

oPTion 1. innovaTion (1 PoinT)


Achieve significant, measurable environmental performance using a strategy not addressed in the LEED green building
rating system.

Identify the following:


the intent of the proposed innovation credit;
proposed requirements for compliance;
proposed submittals to demonstrate compliance; and
the design approach or strategies used to meet the requirements.

and/or

oPTion 2. PiloT (1 PoinT)


Achieve one pilot credit from USGBCs LEED Pilot Credit Library
and/or

oPTion 3. addiTional sTraTeGies


Innovation (1-3 points)
Defined in Option 1 above.
780

Pilot (13 points)


Meet the requirements of Option 2.

Exemplary Performance (12 points)


Achieve exemplary performance in an existing LEED v4 prerequisite or credit that allows
exemplary performance, as specified in the LEED Reference Guide, v4 edition. An exemplary
performance point is typically earned for achieving double the credit requirements or the next
incremental percentage threshold.
781

Behind the intent


Sustainable design comes from innovative strategies and thinking. Institutional measures that reward such
thinkingsuch as the achievement of this creditbenefit our environment. Recognition of exceptional efforts will
spur further innovation.
When project teams innovate and go beyond LEED requirements, they not only achieve measurable
environmental benefits beyond those specified by the LEED rating system, they also have the opportunity to
explore cutting-edge pilot credits and contribute to the development of future LEED credits. When they can
demonstrate that the project exceeds the standard level of performance associated with one or more LEED credits,
their innovations can be adopted by other teams in the future.

SteP-BY-SteP GUidAnCe

SteP 1. identifY innovAtive StrAteGieS


Innovation may begin at a projects conception, but it can enter at any step of the process and come from any member of the
project team.
During initial meetings or design charrettes, explore opportunities to incorporate innovative strategies, achieve exemplary
performance for existing LEED credits, and develop pilot credits, based on the project scope.
Review the project goals and targeted credits to determine whether the project is likely to meet any exemplary performance criteria.
Identify any environmental strategies included in the project that are not addressed by existing LEED credits.
Discuss pilot credits, green housekeeping, public education, and other opportunities for innovation.

SteP 2. develoP innovAtion Point StrAteGY


Projects may earn up to 5 points through any combination of the following:
Innovation (up to 4 points). This option is appropriate for strategies that are not addressed by any existing credits in the LEED rating
system under which the project will be certified.
Pilot credits (up to 4 points). This option requires project teams to achieve, document, and provide feedback on pilot credit strategies
developed by USGBC members and committees.
Exemplary performance (up to 2 points). This option is achieved by demonstrating performance that greatly exceeds the level or
scope required by existing LEED prerequisites or credits.

innovation (up to 4 points)


SteP 1. Confirm Credit eliGiBilitY
For innovations that are not addressed by existing LEED credits, confirm that the proposed strategy meets the following three
basic criteria:
The project must demonstrate a quantitative improvement in environmental performance by identifying or establishing a
baseline of standard performance and comparing that benchmark with the final design performance.
The strategy must be comprehensive. Measures that address a limited portion of a project or are not comprehensive in other ways
are not eligible. The project team must demonstrate that the proposed innovation credit applies to the entire project being
certified under LEED and has at least two components (i.e., it is not limited to use of a single product).
The strategy must be significantly better than standard sustainable design practices.
Points can also be earned by achieving selected credits from other LEED rating systems.
Strategies must demonstrate a comprehensive approach, have significant, measurable environmental benefits, and be better than
standard practice (see Further Explanation, Suggested Topics for Innovation Credits and Ineligible Strategies).
782
sTeP 2. develoP doCuMenTaTion
Document credit eligibility as outlined above, and note any project-specific strategies. sTeP 3. iMPleMenT

CrediT

Develop and execute the innovative strategy or program in a manner that yields a meaningful environmental benefit. Retain
documentation and calculations to validate the project teams approach and implementation.

Pilot credits (up to 4 points)


sTeP 1. seleCT CrediT
select a credit from the LEED Pilot credit Library on the usGBc website. the Pilot credit Library includes credit intent,
requirements, submittals, and feedback questions for each pilot credit.
Pilot credits open and close at varying intervals. check the usGBc website for a current list of available pilot credit strategies.
Pilot credits are specific to the rating systems. Review the list on the usGBc website to identify pilot credits for the applicable rating
system.

sTeP 2. reGisTer PiloT CrediT


Register for the selected pilot credit through the Pilot credit Library.
since pilot credit availability changes over time, register for a credit as soon as the project team decides to pursue it, rather than
waiting until documentation review.
once a project has registered for a pilot credit, the project team may continue to pursue it even if it is closed to new registrants.

sTeP 3. iMPleMenT CrediT


follow the steps to implement the credit as outlined in the pilot credit. Visit the LEEDuser forums for the selected pilot credit to ask
questions or get advice on strategy.

sTeP 4. Provide feedbaCk


complete the credits feedback survey, found on the usGBc website. include any information that might be helpful in future
revisions of the credit.

sTeP 5. doCuMenT CrediT complete all credit-specific documentation as outlined in the


pilot credit.
some pilot credits have documentation forms or calculators.
Pilot credits may be attempted in any review stage and can be replaced before the next review if the initial credit is not accepted.

exemplary Performance (up to 2 points)


sTeP 1. idenTify TarGeT exeMPlary PerforManCe CrediTs
During design, review exemplary performance criteria and select credits for which exemplary performance will be pursued.
credits that allow exemplary performance through a predetermined approach are noted throughout this reference guide.

sTeP 2. ConfirM iMPleMenTaTion


Document design elements and specifications requirements to ensure that the selected exemplary performance criteria are met.
Provide the required documentation as noted in the base credit.
783

Project teams are encouraged to explore the full range of innovative opportunities in their buildings. Refer to
the online Innovation database for examples of successful innovation credits. The examples do not constitute
preapproval of any Innovation strategy, however, and Innovation credit awarded for a project today does not
imply automatic approval for similar strategies in the future. A team seeking formal preapproval should
submit a project credit interpretation request (CIR).

The following example was submitted for an Innovation credit:


Public education. Provide an educational program on the
environmental and human health benefits of green building practices and
how building occupants or the public can help improve green
performance within the LEED space (such as recyclingand
appropriate use of efficient fixtures and equipment). The program
must be actively instructional and include at least two
instructional initiatives that have ongoing components, such as a
signage program, case study, guided tours, educational outreach program
through periodic events covering green building topics, and/or a website or
electronic newsletter.

ineliGible sTraTeGies
Innovation credits are not awarded for the use of a particular product or design strategy if the technology aids in the
achievement of an existing LEED credit, even if the project is not attempting to earn that credit.
Innovation strategies that are closed pilot credits are not available unless they are listed in the online Innovation
database.
No strategy can achieve more than 1 point under Innovation. That is, a single strategy cannot be double-
counted for both exemplary performance and innovation (or both exemplary performance and a pilot credit, or
both a pilot credit and innovation).
Corporate strategies are not considered innovative. The innovation strategy must be specific to the LEED project
under review.

raTinG sysTeM variaTions


Core and Shell
Core and Shell projects pursuing Innovation credits must implement a comprehensive strategy, often applied to the whole
building, including both the core and shell and any common areas, as well as the tenant spaces.
For example, to earn an Innovation credit for a green housekeeping program, base building management of the Core
and Shell project must either control the cleaning of both the base building and tenant spaces, or it must enforce the credit
requirements through a legally binding sales agreement or tenant lease for areas outside its control.

CaMPus
Group Approach
All buildings in the group may be documented as one. Documentation for campus-wide strategies must represent the
total combined performance for all buildings and site areas.

Campus Approach
Eligible. Documentation for campus-wide strategies must represent the total combined performance for all master
site buildings and site areas, but strategies that apply to individual buildings must be documented for every
building.
784

required doCuMenTaTion
documentation innovation Pilot credit Exemplary performance

Innovation narrative X

Supporting documentation X X X

Pilot credit registration X

Pilot credit survey X

Pilot credit specific submittals X

Exemplary performance credit and level X

relaTed CrediT TiPs


None.

ChanGes froM leed 2009


The maximum number of exemplary performance strategies eligible for IN credits has changed from three to two.

referenCed sTandards
None.

definiTions
None.
innovaTion CrediT

LEED accredited Professional


this credit applies to:
new Construction (1 point) data Centers (1 point)
Core and shell (1 point) Warehouses and distribution Centers (1 point) schools (1 point) hospitality (1 point)
retail (1 point) healthcare (1 point)
inTenT

to encourage the team integration required by a LEED project and to streamline the
application and certification process.

requireMenTs
At least one principal participant of the project team must be a LEED Accredited Professional (AP) with a specialty appropriate for
the project.
A LEED Accredited Professional (LEED AP) with specialty can be a valuable resource in the LEED certification

Ineligible. Each LEED project may pursue the credit individually.


787

required doCuMenTaTion
documentation required

Full name and specialty credential of LEED AP x

relaTed CrediT TiPs


None.

ChanGes froM leed 2009


LEED APs without specialty (legacy LEED APs) are no longer eligible for this credit.

referenCed sTandards
None.

exeMPlary PerforManCe
Not available.

definiTions
None.
Regional Priority (rp)
overvieW
Because some environmental issues are particular to a locale, volunteers from USGBC chapters and the LEED
International Roundtable have identified distinct environmental priorities within their areas and the credits that address
those issues. These Regional Priority credits encourage project teams to focus on their local environmental priorities.
USGBC established a process that identified six RP credits for every location and every rating system within chapter
or country boundaries. Participants were asked to determine which environmental issues were most salient in their
chapter area or country. The issues could be naturally occurring (e.g., water shortages) or man-made (e.g., polluted
watersheds) and could reflect environmental concerns (e.g., water shortages) or environmental assets (e.g., abundant
sunlight). The areas, or zones, were defined by a combination of priority issuesfor example, an urban area with an
impaired watershed versus an urban area with an intact watershed.
The participants then prioritized credits to address the important issues of given locations. Because each LEED project
type (e.g., a data center) may be associated with different environmental impacts, each rating system has its own RP
credits.
The ultimate goal of RP credits is to enhance the ability of LEED project teams to address critical environmental
issues across the country and around the world.
818

reGional PrioriTy CrediT

Regional Priority
this credit applies to:
new Construction (14 points) data Centers (14 points)
Core and shell (14 points) Warehouses and distribution Centers (14 points) schools (14 points)
hospitality (14 points) retail (14 points) healthcare (14 points)

inTenT

to provide an incentive for the achievement of credits that address geographically specific
environmental, social equity, and public health priorities.

requireMenTs
Earn up to four of the six Regional Priority credits. These credits have been identified by the USGBC regional
councils and chapters as having additional regional importance for the projects region. A database of Regional
Priority credits and their geographic applicability is available on the USGBC website, http://www.usgbc.org.
One point is awarded for each Regional Priority credit achieved, up to a maximum of four.

ReqUiRed doCUmentAtion
819

Documentation

No additional documentation is required to earn Regional Priority credits. Document compliance for the selected credits, and the related RP bonus
points for their achievement will be awarded automatically.

RelAted CRedit tiPS


None.

ChAnGeS fRom leed 2009


The RP credits for a given region may be different than they were for LEED 2009.
referenCed sTandards
None.
820

exeMPlary PerforManCe
Not available.

definiTions
None.
821
822

aPPendiCes
aPPendix 1. use TyPes and CaTeGories

tablE 1. Use Types and Categories

category use type

Food retail Supermarket

Grocery with produce section

Community-serving retail Convenience store

Farmers market

Hardware store

Pharmacy

Other retail

Services Bank

Family entertainment venue (e.g., theater, sports)

Gym, health club, exercise studio

Hair care

Laundry, dry cleaner

Restaurant, caf, diner (excluding those with only drive-thru


service)

Civic and community facilities Adult or senior care (licensed)

Child care (licensed)

Community or recreation center

Cultural arts facility (museum, performing arts)

Education facility (e.g., K12 school, university, adult education


center, vocational school, community college)

Government office that serves public on-site

Medical clinic or office that treats patients

Place of worship

Police or fire station

Post office
823

Public library

Public park

Social services center

Community anchor uses (BD+C and ID+C only) Commercial office (100 or more full-time equivalent jobs)

Adapted from Criterion Planners, INDEX neighborhood completeness indicator, 2005.


aPPendix 2. defaulT oCCuPanCy CounTs

Use Table 1 to calculate default occupancy counts. Only use the occupancy estimates if occupancy is unknown.
For the calculation, use gross floor area, not net or leasable floor area. Gross floor area is defined as the sum
of all areas on all floors of a building included within the outside faces of the exterior wall, including common
areas, mechanical spaces, circulation areas, and all floor penetrations that connect one floor to another. To
determine gross floor area, multiply the building footprint (in square feet or square meters) by the number of
floors in the building. Exclude underground or structured parking from the calculation.

tablE 1. Default Occupancy Numbers

gross square feet per occupant gross square meters per occupant

Employees transients Employees transients

General office 250 0 23 0

Retail, general 550 130 51 12

Retail or service (e.g., financial, auto) 600 130 56 12

Restaurant 435 95 40 9

Grocery store 550 115 51 11

Medical office 225 330 21 31

R&D or laboratory 400 0 37 0

Warehouse, distribution 2,500 0 232 0

Warehouse, storage 20,000 0 1860 0

Hotel 1,500 700 139 65

Educational, daycare 630 105 59 10

Educational, K12 1,300 140 121 13

Educational, postsecondary 2,100 150 195 14

Sources:
ANSI/ASHRAE/IESNA Standard 90.12004 (Atlanta, GA, 2004).
2001 Uniform Plumbing Code (Los Angeles, CA)
824

California Public Utilities Commission, 20042005 Database for Energy Efficiency Resources (DEER)
Update Study (2008).
California State University, Capital Planning, Design and Construction Section VI, Standards for Campus
Development Programs (Long Beach, CA, 2002).
City of Boulder Planning Department, Projecting Future EmploymentHow Much Space per Person
(Boulder, 2002).
Metro, 1999 Employment Density Study (Portland, OR 1999).
American Hotel and Lodging Association, Lodging Industry Profile Washington, DC, 2008.
LEED for Core & Shell Core Committee, personal communication (2003 -
2006). LEED for Retail Core Committee, personal communication
(2007) OWP/P, Medical Office Building Project Averages (Chicago,
2008).
OWP/P, University Master Plan Projects (Chicago, 2008).
U.S. General Services Administration, Childcare Center Design Guide (Washington, DC, 2003).
aPPendix 3. reTail ProCess load baselines
tablE 1a. Commercial kitchen appliance prescriptive measures and baseline for energy cost budget (IP units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Broiler, underfired Gas Cooking 30% 16,000 Btu/h/ 35% 12,000 Btu/h/ft2 peak
ft2 peak input input

Combination ovens, Elec Cooking 40% steam 0.37P+4.5 kW 50% steam mode 0.133P+0.6400 kW
steam mode mode
(P = pan capacity)

Combination ovens, Gas Cooking 20% steam 1,210P+35,810 38% steam mode 200P+6,511 Btu/h
steam mode mode Btu/h

Combination ovens, Elec Cooking 65% 0.1P+1.5 kW 70% convection mode 0.080P+0.4989 kW
convection mode convection
mode

Combination ovens, Gas Cooking 35% 322P+13,563 44% convection mode 150P+5,425 Btu/h
convection mode convection Btu/h
mode

Convection oven, Elec Cooking 65% 2.0 kW 71% 1.6 kW


full-size

Convection oven, Gas Cooking 30% 18,000 Btu/h 46% 12,000 Btu/h
full-size

Convection oven, Elec Cooking 65% 1.5 kW 71% 1.0 kW


half-size

Conveyor oven, > 25- Gas Cooking 20% 70,000 Btu/h 42% 57,000 Btu/h
inch belt

Conveyor oven, 25- Gas Cooking 20% 45,000 Btu/h 42% 29,000 Btu/h
inch belt

Fryer Elec Cooking 75% 1.05 kW 80% 1.0 kW

Fryer Gas Cooking 35% 14,000 Btu/h 50% 9,000 Btu/h


825

Griddle (based on 3 Elec Cooking 60% 400 W/ft2 70% 320 W/ft2
ft model)

Griddle (based on 3 Gas Cooking 30% 3,500 Btu/h/ 38% 2,650 Btu/h/ft2
ft model) ft2

Hot food holding Elec Cooking na 40 W/ft3 na 21.5V Watts


cabinets (excluding
drawer warmers and
heated display)
0 < V < 13 ft (V =
volume)

Hot food holding Elec Cooking na 40 W/ft3 na 2.0V + 254 Watts


cabinets (excluding
drawer warmers and
heated display)
13 V < 28 ft

Hot food holding Elec Cooking na 40 W/ft3 na 3.8V + 203.5 Watts


cabinets (excluding
drawer warmers and
heated display)
28 ft V

Large vat fryer Elec Cooking 75% 1.35 kW 80% 1.1 kW

tablE 1a (continuEd). Commercial kitchen appliance prescriptive measures and baseline for energy cost budget (IP units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Large vat fryer Gas Cooking 35% 20,000 Btu/h 50% 12,000 Btu/h

Rack oven, double Gas Cooking 30% 65,000 Btu/h 50% 35,000 Btu/h

Rack oven, single Gas Cooking 30% 43,000 Btu/h 50% 29,000 Btu/h

Range Elec Cooking 70% 80%

Range Gas Cooking 35% na 40% and no standing na


pilots

Steam cooker, batch Elec Cooking 26% 200 W/pan 50% 135 W/pan
cooking

Steam cooker, batch Gas Cooking 15% 2,500 Btu/h/ 38% 2,100 Btu/h/pan
cooking pan

Steam cooker, high Elec Cooking 26% 330 W/pan 50% 275 W/pan
production or cook
to order

Steam cooker, high Gas Cooking 15% 5,000 Btu/h/ 38% 4,300 Btu/h/pan
production or cook pan
to order

Toaster Elec Cooking na 1.8 kW average na 1.2 kW average


operating operating energy
energy rate rate
826

Ice machine, IMH Elec Ice 6.89 na 37.72*H-0.298 kWh/100 lb na


(ice-making head, 0.0011H ice
H = harvest ice), H kWh/100
450 lb/day lb ice

Ice machine, IMH Elec Ice 10.26 na 37.72*H-0.298 kWh/100 lb na


(ice-making head), 0.0086H ice
H < 450 lb/day kWh/100
lb ice

Ice machine Elec Ice 8.85 na 22.95*H-0.258 + 1.00 na


RCU (remote 0.0038H kWh/100 lb ice
condensing unit, w/o kWh/100lb
remote compressor), ice
H<
1,000 lb/day

Ice machine Elec Ice 5.10 na 22.95*H-0.258 + 1.00 na


RCU (remote kWh/100 kWh/100 lb ice
condensing unit), lb ice
1600 > H 1000
lb/day

Ice machine Elec Ice 5.10 na -0.00011*H + 4.60 na


RCU (remote kWh/100 kWh/100 lb ice
condensing unit), H lb ice
1600 lb/day

Ice machine SCU Elec Ice 18.0 na 48.66*H-0.326 + 0.08 na


(self-contained unit), 0.0469H kWh/100 lb ice
H < 175 lb/day kWh/100
lb ice

Ice machine Elec Ice 9.80 na 48.66*H-0.326 + 0.08 na


selfcontained unit, H kWh/100 kWh/100 lb ice
175 lb/day lb ice
827

tablE 1a (continuEd). Commercial kitchen appliance prescriptive measures and baseline for energy cost budget (IP units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Ice machine, Elec Ice 4.0 na 3.68 kWh/100 lb ice na


watercooled ice- kWh/100
making head, H lb ice
1436 lb/ day (must
be on chilled loop)

Ice machine, Elec Ice 5.58 na 5.13 0.001H kWh/100 lb na


watercooled ice- 0.0011H ice
making head, 500 kWh/100
lb/day < H < 1436 lb ice
(must be on chilled
loop)

Ice machine, Elec Ice 7.80 na 7.02 0.0049H kWh/100 na


watercooled ice- 0.0055H lb ice
making head, H < kWh/100
500 lb/ day (must be lb ice
on chilled loop)

Ice machine water- Elec Ice Banned Banned Banned Banned


cooled oncethrough
(open loop)

Ice machine, Elec Ice 11.4 na 10.6 0.177H kWh/100 lb na


watercooled SCU 0.0190H ice
(selfcontained unit), kWh/100
H < 200 lb/day lb ice
(must be on chilled
loop)

Ice machine, water- Elec Ice 7.6 na 7.07 kWh/100 lb ice na


cooled selfcontained kWh/100
unit, H 200 lb/day lb ice
(must be on chilled
loop)

Chest freezer, solid Elec Refrig 0.45V + na 0.270V + 0.130 kWh/ na


or glass door 0.943 kWh/ day
day

Chest refrigerator, Elec Refrig 0.1V + 2.04 na 0.125V + 0.475 kWh/ na


solid or glass door kWh/day day

Glass-door reach-in Elec Refrig 0.75V + 4.10 na 0.607V + 0.893 kWh/ na


freezer 0 < V < 15 ft kWh/day day

Glass-door reach-in Elec Refrig 0.75V + 4.10 na 0.733V 1.00 kWh/ day na
freezer 15 V < 30 kWh/day
ft

Glass-door reach-in Elec Refrig 0.75V + 4.10 na 0.250V + 13.50 kWh/ na


freezer, 30 V < 50 kWh/day day
ft

Glass-door reach-in Elec Refrig 0.75V + 4.10 na 0.450V + 3.50 kWh/ day na
freezer, 50 V ft kWh/day

Glass-door reach-in Elec Refrig 0.12V + 3.34 na 0.118V + 1.382 kWh/ na


refrigerator, 0 < V < kWh/day day
15 ft
828

Glass-door reach-in Elec Refrig 0.12V + 3.34 na 0.140V + 1.050 kWh/ na


refrigerator, 15 V < kWh/day day
30 ft

Glass-door reach-in Elec Refrig 0.12V + 3.34 na 0.088V + 2.625 kWh/ na


refrigerator, 30 V < kWh/day day
50 ft
829

tablE 1a (continuEd). Commercial kitchen appliance prescriptive measures and baseline for energy cost budget (IP units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Glass-door reach-in Elec Refrig 0.12V + 3.34 na 0.110V + 1.500 kWh/ na


refrigerator, 50 V kWh/day day
ft

Solid-door reach-in Elec Refrig 0.4V + 1.38 na 0.250V + 1.25 kWh/ day na
freezer, 0 < V < 15 kWh/day
ft

Solid-door reach-in Elec Refrig 0.4V + 1.38 na 0.400V 1.000 kWh/ na


freezer, 15 V < 30 kWh/day day
ft

Solid-door reach-in Elec Refrig 0.4V + 1.38 na 0.163V + 6.125 kWh/ na


freezer, 30 V < 50 kWh/day day
ft

Solid-door reach-in Elec Refrig 0.4V + 1.38 na 0.158V + 6.333 kWh/ na


freezer, 50 V ft kWh/day day

Solid-door reach-in Elec Refrig 0.1V + 2.04 na 0.089V + 1.411 kWh/ na


refrigerator, 0 < V < kWh/day day
15 ft

Solid-door reach-in Elec Refrig 0.1V + 2.04 na 0.037V + 2.200 kWh/ na


refrigerator, 15 V < kWh/day day
30 ft

Solid-door reach-in Elec Refrig 0.1V + 2.04 na 0.056V + 1.635 kWh/ na


refrigerator, 30 V < kWh/day day
50 ft

Solid-door reach-in Elec Refrig 0.1V + 2.04 na 0.060V + 1.416 kWh/ na


refrigerator, 50 V kWh/day day
ft

Clothes washer Gas Sanitation 1.72 MEF na 2.00 MEF na

Door-type dish Elec Sanitation na 1.0 kW na 0.70 kW


machine, high temp

Door-type dish Elec Sanitation na 0.6 kW na 0.6 kW


machine, low temp

Multitank rack Elec Sanitation na 2.6 kW na 2.25 kW


conveyor dish
machine, high temp

Multitank rack Elec Sanitation na 2.0 kW na 2.0 kW


conveyor dish
machine, low temp

Single-tank rack Elec Sanitation na 2.0 kW na 1.5 kW


conveyor dish
machine, high temp

Single-tank rack Elec Sanitation na 1.6 kW na 1.5 kW


conveyor dish
machine, low temp
830

Undercounter dish Elec Sanitation na 0.9 kW na 0.5 kW


machine, high temp

Undercounter dish Elec Sanitation na 0.5 kW na 0.5 kW


machine, low temp

The energy efficiency, idle energy rates, and water use requirements, where applicable, are based on the following test methods:
ASTM F1275 Standard Test Method for Performance of Griddles
ASTM F1361 Standard Test Method for Performance of Open Deep Fat Fryers
ASTM F1484 Standard Test Methods for Performance of Steam Cookers
ASTM F1496 Standard Test Method for Performance of Convection Ovens
ASTM F1521 Standard Test Methods for Performance of Range Tops
ASTM F1605 Standard Test Method for Performance of Double-Sided Griddles
ASTM F1639 Standard Test Method for Performance of Combination Ovens
ASTM F1695 Standard Test Method for Performance of Underfired Broilers
ASTM F1696 Standard Test Method for Energy Performance of Single-Rack Hot Water Sanitizing, ASTM Door-Type Commercial Dishwashing Machines
ASTM F1704 Standard Test Method for Capture and Containment Performance of Commercial Kitchen Exhaust Ventilation Systems
ASTM F1817 Standard Test Method for Performance of Conveyor Ovens
ASTM F1920 Standard Test Method for Energy Performance of Rack Conveyor, Hot Water Sanitizing, Commercial Dishwashing Machines
ASTM F2093 Standard Test Method for Performance of Rack Ovens
ASTM F2140 Standard Test Method for Performance of Hot Food Holding Cabinets
ASTM F2144 Standard Test Method for Performance of Large Open Vat Fryers
ASTM F2324 Standard Test Method for Prerinse Spray Valves
ASTM F2380 Standard Test Method for Performance of Conveyor Toasters
ARI 810-2007: Performance Rating of Automatic Commercial Ice Makers
ANSI/ASHRAE Standard 722005: Method of Testing Commercial Refrigerators and Freezers with temperature setpoints at 38F for mediumtemp
refrigerators, 0F for low-temp freezers, and -15F for ice cream freezers

tablE 1b. Commercial Kitchen Appliance Prescriptive Measures and Baseline for Energy Cost Budget (SI units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Broiler, underfired Gas Cooking 30% 50.5 kW/m2 35% 37.9 kW/m2

Combination oven, steam Elec Cooking 40% steam 0.37P + 4.5 kW 50% steam mode 0.133P + 0.6400
mode (P = pan mode kW
capacity)

Combination oven, steam Gas Cooking 20% steam (1 210P + 35 38% steam mode (200P + 6 511)/
mode mode 810)/3 412 3 412 kW
kW

Combination oven, Elec Cooking 65% 0.1P + 1.5 kW 70% convection mode 0.080P + 0.4989
convection mode convection kW
mode

Combination oven, Gas Cooking 35% (322P + 44% convection mode (150P + 5 425)/
convection mode convection 13 563)/3 412 3 412 kW
mode kW

Convection oven, full-size Elec Cooking 65% 2.0 kW 71% 1.6 kW

Convection oven, full-size Gas Cooking 30% 5.3 kW 46% 3.5 kW

Convection oven, half- Elec Cooking 65% 1.5 kW 71% 1.0 kW


size
831

Conveyor oven, > 63.5cm Gas Cooking 20% 20.5 kW 42% 16.7 kW
belt

Conveyor oven, < 63.5cm Gas Cooking 20% 13.2 kW 42% 8.5 kW
belt

Fryer Elec Cooking 75% 1.05 kW 80% 1.0 kW

Fryer Gas Cooking 35% 4.1 kW 50% 2.64 kW

Griddle (based on 90cm Elec Cooking 60% 4.3 kW/m2 70% 3.45 kW/m2
model)

tablE 1b (continuEd). Commercial Kitchen Appliance Prescriptive Measures and Baseline for Energy Cost Budget (SI units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Griddle (based on 90cm Gas Cooking 30% 11 kW/m2 33% 8.35 kW/m2
model)

Hot food holding cabinets Elec Cooking na 1.4 kW/m3 na (21.5*V)/0.0283


(excluding drawer kW/m3
warmers and heated
display) 0 < V < 0.368 m3
(V = volume)

Hot food holding cabinets Elec Cooking na 1.4 kW/m3 na (2.0*V +


(excluding drawer 254)/0.0283 kW/m3
warmers and heated
display) 0.368
V < 0.793 m3

Hot food holding cabinets Elec Cooking na 1.4 kW/m3 na (3.8*V +


(excluding drawer 203.5)/0.0283
warmers and heated kW/m3
display) 0.793 m3 V

Large vat fryer Elec Cooking 75% 1.35 kW 80% 1.1 kW

Large vat fryer Gas Cooking 35% 5.86 kW 50% 3.5 kW

Rack oven, double Gas Cooking 30% 19 kW 50% 10.25 kW

Rack oven, single Gas Cooking 30% 12.6 kW 50% 8.5 kW

Range Elec Cooking 70% na 80% na

Range Gas Cooking 35% na 40% and no standing na


pilots

Steam cooker, batch Elec Cooking 26% 200 W/pan 50% 135 W/pan
cooking

Steam cooker, batch Gas Cooking 15% 733 W/pan 38% 615 W/pan
cooking

Steam cooker, high Elec Cooking 26% 330 W/pan 50% 275 W/pan
production or cook to
order
832

Steam cooker, high Gas Cooking 15% 1.47 kW/pan 38% 1.26 kW/pan
production or cook to
order

Toaster Elec Cooking na 1.8 kW average na 1.2 kW average


operating operating energy
energy rate rate

Ice machine IMH Elec Ice 0.0015 na 13.52*H-0.298 kWh/100 na


(icemaking head, H = ice 5.3464E-07 kg ice
harvest) H 204 kg/day kWh/kg ice

Ice machine IMH (ice Elec Ice 0.2262 na 13.52*H-0.298 kWh/100 na


making head) icemaking 4.18E-04 kg ice
head, H < 204 kg/day kWh/kg ice

Ice machine, RCU (remote Elec Ice 0.1951 na 111.5835*H-0.258 + 2.205 na


condensing unit, w/o 1.85E-04 kWh/100 kg ice
remote compressor) H < kWh/kg ice
454
kg/day
833

tablE 1b (continuEd). Commercial Kitchen Appliance Prescriptive Measures and Baseline for Energy Cost Budget (SI units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Ice machine RCU (remote Elec Ice 0.1124 kWh/ na 111.5835*H-0.258 + 2.205 na
condensing unit) 726 > H kg ice kWh/100 kg ice
454 kg/day

Ice machine RCU (remote Elec Ice 0.1124 kWh/ na -0.00024H + 4.60 na
condensing unit) H 726 kg ice kWh/100 kg ice
kg/day

Ice machine SCU (self Elec Ice 0.3968 na 236.59*H-0.326 + 0.176 na


contained unit), H < 79 2.28E-03 kWh/100 kg ice
kg/day kWh/kg ice

Ice machine SCU Elec Ice 0.2161 kWh/ na 236.59*H-0.326 + 0.176 na


(selfcontained unit), H kg ice kWh/100 kg ice
79 kg/day

Ice machine, watercooled Elec Ice 0.0882 na 8.11 kWh/100 kg ice na


ice-making head, H 651 kWh/kg ice
kg/day (must be on a
chilled loop)

Ice machine, watercooled Elec Ice 0.1230 na 11.31 0.065H na


ice-making head, 227 H 5.35E-05 kWh/100 kg ice
< 651 kg/day (must be on kWh/kg ice
a chilled loop)

Ice machine, watercooled Elec Ice 0.1720 na 15.48 0.0238H na


ice-making head, H < 227 2.67E-04 kWh/100 kg ice
kg/day (must be on a kWh/kg ice
chilled loop)

Ice machine, watercooled Elec Ice Banned Banned Banned Banned


once-through (open loop)

Ice machine watercooled Elec Ice 0.2513 na 23.37 0.086H na


SCU (selfcontained unit) H 29.23E-04 kWh/100 kg ice
< 91 kg/day (must be on a kWh/kg ice
chilled loop)

Ice machine, watercooled Elec Ice 0.1676 kWh/ na 15.57 kWh/100 kg ice na
SCU (selfcontained unit) H kg ice
91 kg/day (must be on a
chilled loop)

Chest freezer, solid or Elec Refrig 15.90V + na 9.541V + 0.130 kWh/day na


glass door 0.943 kWh/
day

Chest refrigerator, solid or Elec Refrig 3.53V + na 4.417V + 0.475 kWh/ na


glass door 2.04 kWh/ day
day

Glass-door reach-in Elec Refrig 26.50V + 4.1 na 21.449V + 0.893 kWh/ na


freezer, 0 < V < 0.42 m3 kWh/day day
834

Glass-door reach-in Elec Refrig 26.50V + 4.1 na 25.901V 1.00 kWh/ na


freezer, 0.42 V < kWh/day day
0.85 m3

Glass-door reach-in Elec Refrig 26.50V + 4.1 na 8.834V + 13.50 kWh/ na


freezer, 0.85 V < kWh/day day
1.42 m3

Glass-door reach-in Elec Refrig 26.50V + 4.1 na 15.90V + 3.50 kWh/ day na
freezer, 1.42 V m3 kWh/day
835

tablE 1b (continuEd). Commercial Kitchen Appliance Prescriptive Measures and Baseline for Energy Cost Budget (SI units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Glass-door reach-in Elec Refrig 4.24V + 3.34 na 4.169V + 1.382 kWh/ na


refrigerator, 0 < V < kWh/ day day
0.42 m3

Glass-door reach-in Elec Refrig 4.24V + 3.34 na 4.947V + 1.050 kWh/ na


refrigerator, 0.42 V < kWh/ day day
0.85 m3

Glass-door reach-in Elec Refrig 4.24V + 3.34 na 3.109V + 2.625 kWh/ na


refrigerator, 0.85 V < kWh/ day day
1.42 m3

Glass-door reach-in Elec Refrig 4.24V + 3.34 na 3.887V + 1.500 kWh/ na


refrigerator, 1.42 V m3 kWh/ day day

Solid-door reach-in Elec Refrig 14.13V + na 8.834V + 1.25 kWh/ day na


freezer, 0 < V < 0.42 m3 1.38
kWh/day

Solid-door reach-in Elec Refrig 14.13V + na 4.819V 1.000 kWh/ na


freezer, 0.42 < V < 1.38 day
0.85 m3 kWh/day

Solid-door reach-in Elec Refrig 14.13V + na 5.760V + 6.125 kWh/ na


freezer, 0.85 V < 1.38 day
1.42 m3 kWh/day

Solid-door reach-in Elec Refrig 14.13V + na 5.583V + 6.333 kWh/ na


freezer, 1.42 V m3 1.38 day
kWh/day
Solid-door reach-in Elec Refrig 3.53V + na 3.145V + 1.411 na
refrigerator, 0 < V < 2.04 kWh/ kWh/day
0.42 m3 day

Solid-door reach-in Elec Refrig 3.53V + na 1.307V + 2.200 kWh/ na


refrigerator, 0.42 V < 2.04 kWh/ day
0.85 m3 day

Solid-door reach-in Elec Refrig 3.53V + na 1.979V + 1.635 kWh/ na


refrigerator, 0.85 V < 2.04 kWh/ day
1.42 m3 day

Solid-door reach-in Elec Refrig 3.53V + na 2.120V + 1.416 kWh/ na


refrigerator, 1.42 V m3 2.04 kWh/ day
day

Clothes washer Gas Sanitation 1.72 MEF 2.00 MEF

Door-type dish machine, Elec Sanitation na 1.0 kW na 0.70 kW


high temp

Door-type dish machine, Elec Sanitation na 0.6 kW na 0.6 kW


low temp

Multitank rack conveyor Elec Sanitation na 2.6 kW na 2.25 kW


dish machine, high temp
836

Multitank rack conveyor Elec Sanitation na 2.0 kW na 2.0 kW


dish machine, low temp

Single-tank rack conveyor Elec Sanitation na 2.0 kW na 1.5 kW


dish machine, high temp
837

tablE 1b (continuEd). Commercial Kitchen Appliance Prescriptive Measures and Baseline for Energy Cost Budget (SI units)

baseline energy usage for energy modeling path levels for prescriptive path

baseline baseline Prescriptive Efficiency Prescriptive idle


appliance type Fuel Function Efficiency idle rate rate

Single-tank rack conveyor Elec Sanitation na 1.6 kW na 1.5 kW


dish machine, low temp

Undercounter dish Elec Sanitation na 0.9 kW na 0.5 kW


machine, high temp

Undercounter dish Elec Sanitation na 0.5 kW na 0.5 kW


machine, low temp

The energy efficiency, idle energy rates, and water use requirements, where applicable, are based on the following test methods:
ASTM F1275 Standard Test Method for Performance of Griddles
ASTM F1361 Standard Test Method for Performance of Open Deep Fat Fryers
ASTM F1484 Standard Test Methods for Performance of Steam Cookers
ASTM F1496 Standard Test Method for Performance of Convection Ovens
ASTM F1521 Standard Test Methods for Performance of Range Tops
ASTM F1605 Standard Test Method for Performance of Double-Sided Griddles
ASTM F1639 Standard Test Method for Performance of Combination Ovens
ASTM F1695 Standard Test Method for Performance of Underfired Broilers
ASTM F1696 Standard Test Method for Energy Performance of Single-Rack Hot Water Sanitizing, ASTM Door-Type Commercial Dishwashing Machines
ASTM F1704 Standard Test Method for Capture and Containment Performance of Commercial Kitchen Exhaust Ventilation Systems
ASTM F1817 Standard Test Method for Performance of Conveyor Ovens
ASTM F1920 Standard Test Method for Energy Performance of Rack Conveyor, Hot Water Sanitizing, Commercial Dishwashing Machines
ASTM F2093 Standard Test Method for Performance of Rack Ovens
ASTM F2140 Standard Test Method for Performance of Hot Food Holding Cabinets
ASTM F2144 Standard Test Method for Performance of Large Open Vat Fryers
ASTM F2324 Standard Test Method for Prerinse Spray Valves
ASTM F2380 Standard Test Method for Performance of Conveyor Toasters
ARI 810-2007: Performance Rating of Automatic Commercial Ice Makers
ANSI/ASHRAE Standard 722005: Method of Testing Commercial Refrigerators and Freezers with temperature setpoints at 3C for mediumtemp
refrigerators, -18C for low-temp freezers, and -26C for ice cream freezers.

tablE 2. Supermarket refrigeration prescriptive measures and baseline for energy cost budget

Prescriptive Measure baseline for


item attribute Energy Modeling Path

Commercial Refrigerator and Energy Use Limits ASHRAE 90.1-2010 ASHRAE 90.1-2010 Addendum g. Table
Freezers Addendum g. Table 6.8.1L 6.8.1L

Commercial Refrigeration Energy Use Limits ASHRAE 90.1-2010 ASHRAE 90.1-2010 Addendum g. Table
Equipment Addendum g. Table 6.8.1M 6.8.1M

tablE 3. Walk-in coolers and freezers prescriptive measures and baseline for energy cost budget
baseline for
item attribute Prescriptive Measure Energy Modeling Path

Envelope Freezer insulation R-46 R-36

Cooler insulation R-36 R-20

Automatic closer doors Yes No


838

High-efficiency low- or 40W/ft (130W/m) of door frame 40W/ft (130W/m) of door frame (low
no-heat reach-in doors (low temperature), 17W/ ft temperature), 17W/ft (55W/m) of door frame
(55W/m) of door frame (medium (medium temperature)
temperature)

Evaporator Evaporator fan motor Shaded pole and split phase Constant-speed fan
and control motors prohibited; use PSC or
EMC motors

Hot gas defrost No electric defrosting Electric defrosting

Condenser Air-cooled condenser Shaded pole and split phase Cycling one-speed fan
fan motor and control motors prohibited; use PSC or
EMC motors; add condenser fan
controllers

Air-cooled condenser Floating head pressure controls 10F (-12C) to 15F


design approach or ambient subcooling (-9C) dependent on suction temperature

Lighting Lighting power density 0.6 W/sq.ft. 0.6 W/sq.ft.


(W/sq.ft.) (6.5 W/sq. meter) (6.5 W/sq. meter)

Commercial Refrigerator and Energy Use Limits na Use an Exceptional Calculation Method if
Freezers attempting to take savings

Commercial Refrigerator and Energy Use Limits na Use an Exceptional Calculation Method if
Freezers attempting to take savings

tablE 4. Commercial kitchen ventilation prescriptive measures and baseline for energy cost budget

strategies Prescriptive Measure baseline


839

Kitchen hood control ASHRAE 90.1-2010 Section 6.5.7.1, except that ASHRAE 90.1-2010 Section 6.5.7.1 and Section G3.1.1
Section 6.5.7.1.3 and Section 6.5.7.1.4 shall apply if Exception (d) where applicable
the total kitchen exhaust airflow rate exceeds 2,000
cfm (960 L/s) (as opposed to 5,000 cfm (2,400 L/s)
noted in the ASHRAE 90.1-2010 requirements)

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