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Norges Bank Investment Management | Company Profile - Revenue, Headcount, Tech Stack, Contacts

3/3/2026

Contact Information

๐Ÿ‘ค
Norges Bank Investment Management
๐Ÿข
Norges Bank Investment Management
๐Ÿ“
Bankplassen 2, Oslo, NO-0107, NO

Industry & Market

Primary Industry
financial services
All Industries
financial servicesinvestment management
Location
Oslo, Norway

Company Metrics

๐Ÿ‘ฅTotal Employees
205
โš™๏ธEngineering
80
๐Ÿ’ผSales Team
N/A
๐Ÿ“ˆMarketing
N/A
๐Ÿ“…Founded
1998
๐Ÿ’ฐRevenue
653M
Alexa Ranking#303036

Funding Information

Annual Revenue
$653,000,000
Publicly traded company

Headcount Distribution

Total Employees
205
Departments
19

By Department

Department Breakdown

Engineering
Data Science
Legal
Business Development
Human Resources
Finance
Others

Technology Stack

Video & Media

Zencoder

Email & Communication

Outlook
Total: 13 technologies

Keywords & Focus Areas

investment managementfund managmentreal estate investment managmentsustainable asset managementclimate risk stress testinginvestment oversightresponsible investmentsovereign wealth fundinvestment monitoringfixed incomelong-term investmentinvestment returnsstakeholder engagementsecurities and commodity contracts intermediation and brokeragerenewable energy infrastructure investmentssustainable financereal estate investmentsreal estatesustainable growth strategiessustainable growth+10 more
30 total keywords

Norges Bank Investment Management

Overview

Norges Bank Investment Management (NBIM) serves as the operational management arm of Norges Bank and is responsible for administering the Government Pension Fund Global, one of the largest sovereign wealth funds globally. Tasked with preserving Norway's oil and gas revenues, NBIM is focused on delivering solid returns at moderate risk for both present and future generations. The fund's assets have experienced significant growth, exceeding 15,000 billion kroner in 2023 and expected to surpass 20,000 billion in 2024.

The organization pursues long-term, diversified investments across global equities, fixed income, unlisted real estate, and renewable energy infrastructure. NBIM currently holds stakes in more than 8,500 publicly listed companies around the world, making it the single largest investor internationally. Operations are spread across offices in Oslo, London, New York, and Singapore, and the organization is regulated by oversight from the Norwegian Parliament and Ministry of Finance.

Basic Information

Industryfinancial services
Founded1998
Revenue653M
Headquarters2 Bankplassen, Oslo, 0151, Norway
Alexa Ranking303036

Contact Details

Key Focus Areas & Initiatives

  • Investment management
  • Fund management
  • Real estate investment management
  • Sustainable asset management
  • Climate risk stress testing
  • Investment oversight
  • Responsible investment
  • Sovereign wealth fund
  • Investment monitoring
  • Fixed income
  • Long-term investment
  • Investment returns
  • Stakeholder engagement
  • Securities and commodity contracts intermediation and brokerage
  • Renewable energy infrastructure investments
  • Sustainable finance
  • Real estate investments
  • Sustainable growth strategies
  • Responsible investment frameworks
  • Risk analysis
  • Climate change mitigation
  • Long-term wealth preservation
  • ESG screening processes
  • Active ownership
  • Ethical investment policies
  • Risk mitigation
  • Climate risk and return analysis
  • Public transparency initiatives
  • Investment in global markets
  • Solar energy
  • Green energy investments
  • Climate risk management
  • Long-term value creation
  • Investment strategy
  • Financial reporting
  • Investment compliance
  • Market exposure
  • Risk management
  • Renewable energy
  • Socially responsible investing
  • Climate-related disclosures
  • Asset management
  • Investment analysis
  • Ethical investment exclusions
  • Global diversification
  • ESG reporting standards
  • Asset allocation
  • Climate change impact analysis
  • Investment risk controls
  • Market risk assessment
  • Investment optimization
  • Active ownership strategies
  • Wind energy
  • Climate action plans
  • Portfolio management
  • Investment governance
  • ESG investing
  • Investment performance
  • Investment strategy development
  • Investment diversification
  • Climate risk mitigation
  • Transparency
  • Investment decision-making
  • ESG integration
  • Bond investments
  • Global market investments
  • Risk-adjusted returns
  • Sustainable investment benchmarks
  • Climate risk assessment models
  • Market risk analysis
  • Financial risk management
  • Investment reporting
  • Sustainable infrastructure investments
  • Climate risk mitigation strategies
  • Public reporting
  • Global asset allocation
  • Investment policies
  • Stakeholder engagement in ESG
  • Government Pension Fund Global
  • Oil revenue management
  • Financial wealth preservation
  • Equity investments
  • Fixed income investments
  • Real estate holdings
  • Ethical investment
  • Responsible investing
  • Risk management strategies
  • Capital inflow
  • Financial reserves
  • Inflation hedging
  • Benchmark index
  • Diversification strategy
  • Liquidity risk
  • Stress testing
  • Environmental impact
  • Social governance
  • Financial transparency
  • International investments
  • Market fluctuations
  • Economic stabilization
  • Investment horizon
  • Investment conference
  • Returns on investment
  • Real estate assets
  • Social responsibility
  • Governance structure
  • Interest rate fluctuations
  • Volatility management
  • Performance metrics
  • Ethical guidelines
  • Corporate governance
  • Clean energy & technology
  • Environmental services
  • Renewables & environment
  • Health care
  • Health, wellness & fitness

Technologies Used

  • AI
  • Amazon Web Services (AWS)
  • CloudFlare Hosting
  • Gettyimages
  • Hotjar
  • Microsoft Office 365
  • Mobile Friendly
  • Outlook
  • Remote
  • Route 53
  • SQL
  • Shutterstock
  • Zencoder

Affiliated Organizations & Regional Branches

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