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Socially responsible investment (SRI) funds: assets portfolio in Norway 2013

The statistic shows the distribution of assets within the sustainable and responsible investments (SRI) portfolio in Norway in 2013. Out of the total Norwegian SRI portfolio, 55 percent of assets were located in equity and further 42 percent in corporate bonds in 2013.

Portfolio of sustainable and responsible investments (SRI) in Norway in 2013, by asset class

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Release date

November 2018



Survey time period


Special properties

SRI funds

Supplementary notes

The source adds further comments: "Due to European diversity, the wide definition of responsible investment any type of investment process that combines investors’ financial objectives with their concerns about Environmental, Social and Governance (ESG) issues."

Fieldwork for the survey was conducted throughout 2013 and the study covers 13 distinct markets in detail: Austria, Belgium, Finland, France, Germany, Italy, Netherlands, Norway, Poland, Spain, Sweden, Switzerland and the United Kingdom (UK).

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Statistics on "Socially responsible ethical investments (SRI) in Europe"

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