Norway Sovereign Wealth Fund Government Pension Fund Global Reports $1.5 Trillion AUM & Portfolio Return of +16.1% in 2023, Equities +21.3%, Fixed Income +6.1%, Unlisted Real Estate -12.4% & Unlisted Renewable Energy Infrastructure +3.7%, Portfolio Allocation of 70.9% in Equities, 27.1% Fixed Income, 1.9% Unlisted Real Estate & 0.1% in Unlisted Renewable Energy Infrastructure
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Norway Sovereign Wealth Fund Government Pension Fund Global Reports $1.5 Trillion AUM & Portfolio Return of +16.1% in 2023, Equities +21.3%, Fixed Income +6.1%, Unlisted Real Estate -12.4% & Unlisted Renewable Energy Infrastructure +3.7%, Portfolio Allocation of 70.9% in Equities, 27.1% Fixed Income, 1.9% Unlisted Real Estate & 0.1% in Unlisted Renewable Energy Infrastructure
1st February 2024 | Hong Kong
Norway sovereign wealth fund Government Pension Fund Global has reported$1.5 trillion AUM (Assets under Management) and portfolio return of +16.1%in 2023.Portfolio returns in 2023: Equities +21.3%, Fixed Income +6.1%, Unlisted Real Estate -12.4% & Unlisted Renewable Energy Infrastructure +3.7%.Portfolio Allocation: 70.9% in Equities, 27.1% Fixed Income, 1.9% Unlisted Real Estate & 0.1% in Unlisted Renewable Energy Infrastructure.CEO Nicolai Tangen of Norges Bank Investment Management: “Despite high inflation and geopolitical turmoil, the equity market in 2023 was very strong, compared to a weak year in 2022. Technology stocks in particular performed very well.” More info below:
“ Norway Sovereign Wealth Fund Government Pension Fund Global Reports $1.5 Trillion AUM & Portfolio Return of +16.1% in 2023, Equities +21.3%, Fixed Income +6.1%, Unlisted Real Estate -12.4% & Unlisted Renewable Energy Infrastructure +3.7%, Portfolio Allocation of 70.9% in Equities, 27.1% Fixed Income, 1.9% Unlisted Real Estate & 0.1% in Unlisted Renewable Energy Infrastructure “
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Norway Sovereign Wealth Fund Government Pension Fund Global Reports $1.5 Trillion AUM & Portfolio Return of +16.1% in 2023
30th January 2024 – The return on the fund’s equity investments was 21.3 percent, the return on the fixed income investments was 6.1 percent, whereas investments in unlisted real estate returned -12.4 percent. The return on unlisted renewable energy infrastructure was 3.7 percent.The fund’s return was 18 basis points lower than the return on the benchmark index.The krone depreciated against several of the main currencies during the year. The currency movements contributed to an increase in the fund’s value of 409 billion kroner. Inflow into the fund amounted to 711 billion kroner.The fund had a value of 15,765 billion kroner as of 31 December 2023. 70.9 percent of the fund was invested in equities, 27.1 percent in fixed income, 1.9 percent in unlisted real estate, and 0.1 percent in unlisted renewable energy infrastructure.
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