With more than €670 billion in assets under management and over 2,200 investment professionals, Generali Investments is the asset management arm of the Generali Group, one of the world's largest insurance and asset management players. The company offers investors a broad range of distinctive investment strategies and solutions across public and private markets, and expert insights to help investors achieve long-term performance. The investment offerings are managed by our specialist affiliated firms. As the holding company, Generali Investments supports each company to innovate and grow with investment autonomy, ensuring they’re set up to develop sustainable and innovative strategies.
*Source: Generali Investments Holding, data as at Q2 2024
The Generali Investments ecosystem is structured around a number of strategic capabilities that aim to suit investors’ needs. Our key investment capabilities include: Fixed Income, Equities, Emerging Markets, Multi Asset, Multi Strategies, Liquid Alternative Investments, Private Assets (direct and FoF), Real Estate and Infrastructure investments.