Investment strategy for the Government Pension Fund Global
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In terms of volume, the report finds, based on a combination of SIPRI figures and three different international indices for respectively authoritarianism, instability
”Utvikling av investeringsstrategien til Statens pensjonsfond utland” [Development of the investment strategy for the Government Pension Fund Global], Norges Bank’s letter to the
Upstream companies are defined in the white paper as all companies classified by the index provider FTSE Russell as belonging to the Exploration &..
Alternative benchmarks with lower market coverage are estimated by re-normalising weights in the MSCI ACWI All Cap index on MSCI rebalancing dates, for each MSCI market, and
On the contrary to the results of the correlation between the MSCI world index and the S&P GSCI indices in NOK, there are statistically significant correlation trends
Thornton also wants to make clear that the art world is much more than the art market, the market itself refers to the people who buy and sells works, but in the art
In analyses we carried out in 2021, 76 percent of the market value of the fund’s equity portfolio was in the group of companies that MSCI classifies as having neutral exposure
108 Letter from the Ministry of Finance of 29 November 2011: Advice on emerging markets in the new strategic benchmark index for bonds in the Government Pension Fund Global. 109