INVESTMENT MANDATE - GOVERNMENT PENSION FUND GLOBAL
Fulltekst
RELATERTE DOKUMENTER
4 Other sectors with an element of credit risk, such as securitised and government-related bonds, currently account for 25 percent of the fund's benchmark index and 32 percent of
We further recommend an examination of the expected return and risk characteristics of various forms of insurance selling strategies, as well as contrarian
The objective of investment in the Government Pension Fund shall be to achieve the highest possible return within the limits of acceptable risk. Within this framework, the Fund
The objective of investment in the Government Pension Fund shall be to achieve the highest possible return within the limits of acceptable risk. Within this framework, the Fund
“Equity market” refers to the MSCI World index (mid- and large-cap companies in developed markets), “Oil & gas sector” refers to energy companies in the MSCI World index
The objective of investment in the Government Pension Fund shall be to achieve the highest possible return within the limits of acceptable risk. Within this framework, the Fund
HEARING BEFORE THE STANDING COMMITTEE ON FINANCE AND ECONOMIC AFFAIRS OF THE STORTING, 4 MAY 2015.. YNGVE SLYNGSTAD, CHIEF
External equity managers have contributed with a net excess return of NOK 60 billion.. As Øystein mentioned, the Ministry has proposed changes in the composition of the