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Company Profile

Generali Investments Europe S.p.A. Società di gestione del risparmio is the asset management company of Generali Group. With more than 431 billion Euro of assets under management*, including third-party and Generali Group assets, Generali Investments Europe is one of the leading asset managers in Europe.

The company developed proven competences in managing multi-asset portfolios with a research-based, risk-cautious approach aiming at preserving invested capital and generating low volatility, consistent returns over the long term.

Leveraging on strong local presence in key European markets, Generali Investments Europe offers investors valuable local services ranging from institutional mandates to locally domiciled mutual funds, from tailored solutions to advisory activities.
 

Our key strengths

  • More than 140 investment professionals cover the main financial markets

  • Specific expertise achieved over time in managing flexible, total return portfolios which represent the majority of assets under management

  • One of the top fixed income asset managers in Europe with 361 billion Euro invested in fixed income* and a specialist team dedicated to credit (about 136 billion Euro in this asset class*)

  • Specialist SRI analysts and proprietary SRI screening methodology

 


Steady growth in Assets under Management (€ bn)
   
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*Source: Generali Investments Europe. Data as of December 31st, 2015.

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