Also shows 1282 hits in documents
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Emerging equity markets and the Petroleum Fund's benchmark portfolio
Norges Bank submitted the following letter to the Ministry of Finance on 30 August 2000
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Consulation on draft ICGN Global Governance Principles
Letter to ICGN, 15 May 2014
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Communication
This policy outlines principles for external and internal communication to promote knowledge and awareness of the fund's objective and our management of the fund, and to ensure that communication is well coordinated and managed.
- Presentasjon pressekonferansen Return and Risk 26-03-2020 .pdf
- NBIM Governance Model document.pdf
- Japan METI consultation on key points and Q&A for corporate takeover guidelines.pdf
- Draft Code of Conduct for ESG Ratings and Data Product Providers_web.pdf
- Compensation principles.pdf
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The Government Pension Fund Global – analyses and assessments of the investment strategy for bonds
Letter sent to the Ministry of Finance, 1 September 2026. Translated to English from the original Norwegian submission for information only.
- 1998 Aksjeinvesteringer og valg av eksterne forvaltere.pdf
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European Commission consultation on MiFID II/MiFIR Regulatory Framework
Letter to the European Commission, 18 May 2020
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Emerging markets in a new strategic benchmark index for the Government Pension Fund Global’s bond investments
Norge's Banks letter to the Minestry of Finance 1 February 2012.
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Report from Columbia University on financial implications of water and environmental risks in the mining sector
In 2015, Norges Bank Investment Management initiated a 3-year research project with the Columbia Water Centre at the University of Columbia to assess mining-related water and environmental risks and their financial implications.
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1Q 2009 Quarterly report
The first quarter of 2009 featured low inflows into the Government Pension Fund – Global and continued volatility in global markets.
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Annual report 2010
The Government Pension Fund Global returned 9.6 percent, or 264 billion kroner, in 2010, driven by widespread gains in global stock and bond markets.