Extended information on return and risk
Today, Norges Bank Investment Management has published extended information on the return and risk of the Government Pension Fund Global.
6 March 2018
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 a publication on responsible investment. More information on the fund's unlisted real estate investments will be published 13 March.
Thomas Sevang, Head of Communications and External Relations
Tel: +47 926 01 756 / +47 24 07 32 76
Aleksander Lee Olsen, Advisor Communications
Tel: + 47 415 79 725 / +47 24 07 33 55