Norges Bank Investment Management
Navin Soni has a diverse work experience spanning several companies. Navin started their career at Cognizant Technology Solutions in 2007 as an Associate and worked there until 2014. In 2008, they joined Norges Bank Investment Management as a Consultant and held this role until 2014. In the same year, they joined Santander Consumer Bank as a Risk Analyst but left after a few months. Finally, in 2014, they returned to Norges Bank Investment Management, this time as an Investment Risk Analyst. Navin was later promoted to Senior Investment Risk Analyst in January 2019 and continues to hold this position.
Navin Soni obtained a Bachelor of Engineering degree in Metallurgical Engineering from the National Institute of Technology Raipur, completing the program from 2003 to 2007. In addition to their formal education, they also obtained certifications in Snowflake Data Analyst from Snowflake in June 2021, and in Data Science and Data Engineering from Data Science Dojo in November 2016.
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Norges Bank Investment Management
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Norges Bank Investment Management manages the Norwegian Government Pension Fund Global, often referred to as the Norwegian Oil fund. The fund is invested worldwide in equities, fixed income and real estate, totaling around 8,200 billion kroner (1 trillion dollars). Their mission is to safeguard and build financial wealth for the future generations of Norway through responsible management of the fund.