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Our Philosophy

Generali Investments Europe's philosophy is strongly influenced by the Group's insurance backbone. Our company follows a risk-cautious, fundamentally-based approach in order to achieve the following key investments objectives:

Generate low volatility, consistent returns over the long term &
Protect invested capital avoiding extreme speculative/risky positions

To reach these objectives, Generali Investments Europe

  • follows a disciplined investment process in order to ensure repeatable performance and enhance risk-awareness
  • leverages on its inhouse research which supports sustainable results based on in-depth knowledge of markets, sectors and companies.>
  • employs risk-cautious investment approaches to generate low-volatility returns and protect invested capital.
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