Extended information on return and risk
21 March 2017
Today, Norges Bank Investment Management has published extended information on the return and risk of the Government Pension Fund Global.
The main purpose of this publication is to give an overview of the fund’s return and risk with a focus on equities and fixed income. The publication assembles figures that we have previously published, as well as a few new figures.
This is one of three publications in addition to the annual report. We have already published publications on responsible investment and the fund's unlisted real estate investments.
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