Strategy for 2020-2022
Norges Bank Investment Management's strategy for 2020–2022 sets the strategic direction for the next three years and continues in the direction set by the strategy for 2017–2019.
8 October 2019
Norges Bank Investment Management's strategy for 2020–2022 sets the strategic direction for the next three years and continues in the direction set by the strategy for 2017–2019.
In September 2017, the fund’s value passed 1 trillion US dollars. Trends and disruptions in the global economy such as increased trade barriers, low global interest rates, changing technology paradigms and climate change will affect the fund. We should be prepared for large fluctuations in the value of the fund.
Our management objective is to achieve the highest possible return after costs, and our direction for the next three years is to: