Management of the Government Pension Fund Global
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Last year's report announced three changes to the investment strategy; rebalancing rules, a new regional distribution with a lower allocation to Europe and increased investment in
Hearing before the Standing Committee on Finance and Economic Affairs of the Storting.. 30
A supplementary report providing information and key figures for the fund's unlisted real estate investments was published yesterday.. Chart: Real estate
2014 Portfolio carbon footprint analysis 2015 Research and analysis projects 2016 New coal and climate criteria. Climate change activities
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
As the GPFG has grown so has Norges Bank's experience in investment management.. The investment universe
The Fund’s equity portfolio returned -8.8 percent, primarily reflecting very weak equity markets in Europe and Asia.. The Fund’s fixed-income investments had a positive
Hearing before the Standing Committee on Finance and Economic Affairs of the Storting 17 April 2012 Chief Executive Officer, Yngve Slyngstad... Inflows into