FT商學院

Norway’s oil fund and its Israel-Palestine dilemma
巴以衝突令挪威石油基金陷入兩難

Oslo is insistent that its fund is not a foreign policy tool but pressure is rising to take a stance on Middle East conflict
奧斯陸堅稱其主權財富基金並非一項外交政策工具,但外界要求其在中東衝突問題上表明立場的壓力正在上升。

The protesters outside Norway’s central bank last month were blunt: the world’s largest sovereign wealth fund should sell out of Israel. Norway’s $1.7tn oil fund was holding a conference with some of the world’s most prominent asset managers on how to be a better investor. “Stop investing in companies that contribute to genocide and occupation,” suggested one protester.

上個月,挪威央行外的抗議者直言不諱地高呼:世界最大主權財富基金應該拋售以色列資產。挪威規模達1.7兆美元的石油基金正與全球一些最知名的資產管理人舉行會議,討論如何成爲一個更好的投資者。一名抗議者建議:「停止投資那些助推種族滅絕和佔領的公司。」

您已閱讀8%(494字),剩餘92%(5338字)包含更多重要資訊,訂閱以繼續探索完整內容,並享受更多專屬服務。
版權聲明:本文版權歸FT中文網所有,未經允許任何單位或個人不得轉載,複製或以任何其他方式使用本文全部或部分,侵權必究。
設置字型大小×
最小
較小
默認
較大
最大
分享×