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Also shows 1267 hits in documents
Also shows 1267 hits in documents
- Arsrapport_2012 (2).pdf
- Arsrapport2012.pdf
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Modelling the implied tail risk of foreign exchange
From a risk management perspective, tail risks and return distribution asymmetries of investments are important to analyse. In this note, we describe a modelling approach that addresses some of the weaknesses of standard risk models.
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Norges Bank consulation response, NOU 2020:7 Values and Responsibility
Letter sent to the Ministry of Finance, 16 October 2020.
- 1999 holdings.pdf
- Letter 06 July delopment of investment strategyenglish final.pdf
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Government Pension Fund Global – Experience of the climate criterion
Letter sent to the Ministry of Finance, 20 December 2021.
- GPFG_Review of active management_Enclosure.pdf
- GPFG_Review of Norges Bank's management of the Government Pension Fund Global_Enclosure.pdf
- SPU Halvårsrapport 2025.pdf
- SPU Årsrapport 2021.pdf
- SPU Halvårsrapport 2023.pdf
- 2004 årsrapport nor.pdf
- historical-performance-and-risk-review-2014.pdf
- Statens pensjonsfond utland - 3kv 2017 rapport.pdf