{
  "id": 6353899,
  "title": "How Spain is affected by the change in Norway's fund portfolio",
  "url": "https://urgent.news/2026/09/08/como-afecta-a-espana-el-vuelco-en-la-cartera-del-fondo-de-noruega",
  "topic": "business",
  "section": "Business",
  "published": "2026-09-08T18:37:29.000Z",
  "source": {
    "name": "Expansion ES",
    "slug": "expansion-es",
    "url": "https://www.expansion.com/mercados/2026/09/08/6aa018abe5fdea79098b45af.html"
  },
  "original_language": "es",
  "account": "Norges Bank Investment Management (NBIM), which manages Norway's sovereign wealth fund, is adjusting its investment strategy, reducing the share of government debt in its fixed-income portfolio from 70% to 50%. This will lead to the sale of around €100 billion in bonds, including around €62 billion in US Treasury bonds and €14 billion in eurozone government debt. In Spain, NBIM will likely sell over €1 billion in Treasury bonds, but plans to buy around €800 million in Spanish corporate bonds. The fund currently has €2 trillion in assets, including €16.6 billion in Spanish stocks.",
  "summary": "El gigantesco inversor escandinavo no solo va a vender deuda estadounidense. Leer",
  "key_points": [],
  "editors_take": null,
  "illustration": null,
  "coverage": {
    "outlets": 1,
    "also_reported_by": []
  },
  "ai_generated": true,
  "disclaimer": "Summaries, key points and the editor’s take are written by software from other outlets’ reporting and may contain errors — always check the linked original."
}