Investment strategy | Norges Bank Investment Management (2024)

The fund is invested in international equities, bonds, real estate and renewable energy infrastructure. Investments are spread across most markets, countries and currencies to achieve broad exposure to global growth and value creation. The fund has a long-term investment horizon and limited liquidity needs.

The investment strategy has evolved over time on the basis of expert reviews, practical experience and in-depth analysis. Major changes require parliamentary approval. The investment strategy aims to take advantage of the fund's long-term horizon and considerable size to generate strong returns and safeguard wealth for future generations.

Investment mandate

The investment strategy for the fund is expressed in a management mandate issued by the Ministry of Finance. The mandate specifies which markets the fund can be invested in, and how much can be invested in the different asset classes, equities, bonds, unlisted real estate and unlisted renewable energy infrastructure. The return on the fund is measured against a benchmark index defined in the mandate. The mandate also sets out how much and what types of risk Norges Bank can take in its management of the fund, and various other requirements for how the fund is to be managed. Norges Bank Investment Management manages the fund transparently and responsibly with the aim of achieving the highest possible return after costs within the constraints imposed by the mandate from the Ministry. The benchmark index plays a key role in the management of the fund. The index is constructed on the basis of indices from FTSE Russell Group (equities) and Bloomberg Barclays (bonds). The strategic benchmark index consists of equities and bonds with fixed weights of 70 and 30 percent respectively. Norges Bank then constructs a portfolio that differs somewhat from the benchmark in order to exploit the fund’s special characteristics and competitive advantages (for example by investing in real estate and renewable energy infrastructure), meet the mandate’s requirements in areas such as environment-related investments and countries’ fiscal strength, and ensure cost-effective management of the fund. This deviation from the benchmark index is limited by a ceiling for expected relative volatility, or tracking error, of 1.25 percent.

Equity prices and bond prices will normally move differently, causing the equity share in the benchmark index to vary from the fixed weight of 70 percent. The mandate sets a limit for this drift of 2 percentage points before rebalancing is required back to the 70 percent target.

Investment strategies

The Executive Board’s strategic plan sets out which strategies Norges Bank Investment Management is to employ in its management of the fund. We keep the fund close to the benchmark, but all of our investment strategies also have active components. We use a variety of strategies to manage the fund with acceptable risk and within the constraints imposed by the mandate. These strategies are complementary and tailored to the fund’s risk tolerance and our unique characteristics as a large, long-term investor with limited short-term liquidity needs and low management costs.

Our investment strategies are grouped into three main categories: market exposure, security selection, and fund allocation. We report risk and performance according to these three main strategies. These strategies are pursued across equity, fixed income, and real asset management.

Returns and cost is disclosed with a split by investment strategies in our annual report, including split between external and internal managers.

Equity investments

The fund is a large, global investor in equity markets. Our investment strategies rest on two pillars: efficient market exposure and fundamental research.

We do not classify our strategies as passive or active. We manage the bulk of our equity portfolio internally through strategies for efficient market exposure. None of our investment strategies are 100 percent passive. We invest broadly in the companies in the benchmark but seek to avoid mechanical benchmark replication with its high trading costs. Given our size and global reach, it is essential to manage our market exposure and trade efficiently.

We are one of the world’s largest shareholders. In-depth knowledge of our largest equity investments helps us achieve our goal of the highest possible return after costs. This improves risk management and enables us to fulfil our ownership role. We believe that our active management improves our ability to be a responsible investor.

Fixed-income investments

The fund is invested in a broad range of bonds from government and corporate issuers, and our investment strategies are tailored to these segments. The strategies aim to build cost-effective portfolios with exposure to key risk drivers, while also seizing opportunities at the security, issuer and sector level.

Real assets investments

We invest in real estate and infrastructure to improve diversification. These investments include both listed and unlisted real estate, and unlisted renewable energy infrastructure.The mandate lays down important strategic guidelines for investments in real assets, including how much of the fund can be invested in these asset classes. The mandate permits us to invest up to 7 percent of the fund in unlisted real estate and up to 2 percent in unlisted renewable energy infrastructure.

We aim to build up a real estate portfolio of up to 5 percent of the fund, managed under a combined strategy for listed and unlisted investments. We will also gradually build up the renewable energy portfolio, investing mainly in wind and solar power. The focus will be on projects with reduced power price risk, stable cash flows and limited risk to the principal investment.

Last saved:04/01/2023

Investment strategy | Norges Bank Investment Management (2024)

FAQs

Investment strategy | Norges Bank Investment Management? ›

The fund is a large global investor in equity markets. Our investment strategies rest on two pillars: efficient market exposure and fundamental research. We manage the largest part of our equity portfolio internally through efficient market exposure strategies.

What is an investment management strategy? ›

The term investment strategy refers to an investors plan to guide their investment decisions. According to Investopedia "Investment strategies can differ greatly from a rapid growth strategy where an investor focuses on capital appreciation to a safety strategy where the focus is on wealth protection.

What is investment banking strategy? ›

What Is an Investment Strategy? The term investment strategy refers to a set of principles designed to help an individual investor achieve their financial and investment goals. This plan is what guides an investor's decisions based on goals, risk tolerance, and future needs for capital.

What investment strategy does Dave Ramsey recommend? ›

A diversified portfolio typically includes a mix of stocks, bonds, and mutual funds, balancing growth and stability. Ramsey often recommends allocating investments into four types of mutual funds: growth, growth and income, aggressive growth, and international funds.

What is investment management in investment banking? ›

Investment management is the process of making decisions about investments. It involves researching, selecting, and monitoring a portfolio of assets that match an investor's goals, risk profile, and timeframes.

What are the 4 main areas of investment banking? ›

The four main areas of investment banking activity are Capital Markets, Advisory, Trading and Brokerage, and Asset Management. However, please be aware that not every bank engages in all of these activities.

What is the simplest investment strategy? ›

Strategy 1: Passive Index Investing

Unlike actively managed funds, where an individual or team makes decisions on the underlying assets in an attempt to beat the market, passive mutual funds and ETFs track an index like the S&P 500; they don't work to beat the market so much as match it.

What are the four verticals in investment banking? ›

An Overview of Investment Banking Verticals

Each vertical is dedicated to providing specific services to clients. The primary investment banking verticals include corporate finance, mergers and acquisitions (M&A), debt capital markets, equity capital markets, sales and trading, and investment research.

What investment strategy does Warren Buffett use? ›

Warren Buffett's investment strategy has remained relatively consistent over the decades, centered around the principle of value investing. This approach involves finding undervalued companies with strong potential for growth and investing in them for the long term.

What is the 80 20 rule Dave Ramsey? ›

There's an 80-20 rule for money Dave Ramsey teaches which says managing your finances is 80 percent behavior and 20 percent knowledge. This 80-20 rule also applies to constructing a healthy life. Personal wellness is 80 percent behavior and 20 percent knowledge.

What is Dave Ramsey's TSP investment strategy? ›

Dave Ramsey's advice is to save 5% into the TSP to get the full match, then max out a Roth IRA, and then put more into the TSP if you are able to save more after that.

What is Morgan Stanley investment management? ›

We are active managers of capital, working to outperform the market and deliver results for our clients. Our long-tenured professionals apply their experience and expertise across public and private markets worldwide, in single-sector, multi-asset and custom solutions. Individual Investor. Active management.

What is investment management style? ›

An investment management style is a broad approach that portfolio managers use to make decisions about which securities to buy or sell. There are many different styles from value investing, growth investing, and momentum investing to index investing, dividend investing, and active and passive investing.

What is the main goal of investment management? ›

The primary objective of investment management is to maximise the return-generation potential of your portfolio while simultaneously minimising risks. Return maximisation is often achieved by investing in financial assets suited to the investor's specific financial goals.

What is investment management in simple terms? ›

Investment management is the maintenance of an investment portfolio, or a collection of financial assets. It can include purchasing and selling assets, creating short- or long-term investment strategies, overseeing a portfolio's asset allocation and developing a tax strategy.

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