Assessment of viability, stability, and profitability of a business, sub-business or project.
Leveraging on our platform of asset management firms, we select investments through robust environmental, social and governance (ESG) screening methodologies, mixed with traditional financial analysis.
Find out more about our ESG flagships:




TOTAL AUM MANAGED IN ESG AND SRI PORTFOLIOS *
ART. 8/9 SFDR FUNDS**
Source: Generali Investments Holding S.p.A as of end of Q4 2024.
* Total AUM includes funds (€ 64.5 bn) and discretional mandates (€ 93.2 bn).
** Funds where Generali Investments asset management firms are acting as management companies or investment managers.
Kindly note that on 1 January 2024, Generali Investments Partners S.p.A. Società di gestione del risparmio has been merged by incorporation into Generali Insurance Asset Management S.p.A. Società di gestione del risparmio, changing its name to Generali Asset Management S.p.A. Società di gestione del risparmio.
Our goal is to maximize investor return and minimize any potential loss by applying these principles in a disciplined and pragmatic process. We rely on facts, not speculation to purchase high return, predictable companies at significant discounts to intrinsic values.
The benefits of using managed funds include the ability to gain exposure to different asset classes and market sectors.
Through some of our funds we invest in key areas for the future of our economy and society.
Assessment of viability, stability, and profitability of a business, sub-business or project.
Our Investment Management Services help you pursue your financial needs as they grow and change.
This service offers a variety of benefits to boost your sales and suit your company’s fixed income.
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