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Titlebook: Norway’s Sovereign Wealth Fund; Sustainable Investme Ole Bjørn Røste Book 2021 The Editor(s) (if applicable) and The Author(s), under exclu

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Investment in Practice,s, allocation on asset classes, and selections within them. This clarifies key elements of an index-like management style. The investment horizon has implications for asset allocation. In aggressive approaches, one accepts risk to aim at high expected returns. One measure of the risk appetite is the
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Risks and Uncertainty,od of the latter. Then there are complicating unknown unknowns. The investments return known only . sums it up as for a roulette ball that has reached standstill. Economic slumps represent risk. Everyone may have been too optimistic regarding the future. Asset prices could fall sharply, particularly
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Book 2021cceptable risks. The book offers new insights into the history and management of the fund, examines its successes,and discusses future challenges. Given its scope, it appeals to scholars of economics, finance and political science, and to anyone interested in the sustainable investment of natural resource-based revenues..
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