Norges Bank Investment Management
Norges Bank Investment Management
Norges Bank Investment Management manages the Norwegian Government Pension Fund Global.
We manage assets worth more than 22,000 billion kroner, or about 2,200 billion dollar.
The fund is invested in international equity and fixed-income markets and in real estate and renewable energy infrastructure.
The fund is the largest single owner in the world’s stock markets, owning almost 1.5 percent of all shares in the world’s listed companies. This means that we have holdings in about 7,100 companies worldwide.
Benchmark index
The current strategic benchmark weights are 70 percent equity and 30 percent fixed income, effective from 1 May 2019.
The equity part of the benchmark is based on the FTSE Global All Cap Index, market capitalisation weighted with country factors applied.
The fixed-income part consists of 70 percent developed market government debt and 30 percent developed market corporate debt across major currencies.
All the Inevestments
Half-year report 2026
Published: 12 August 2026

