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Generali Investments
Generali Investments is the asset management platform of the Generali Group, one of the world’s leading insurance and financial services organisations. It operates through a distinctive multi‑affiliate model, bringing together 13 specialised asset management firms. The platform fosters innovation and growth across its affiliates while preserving their investment autonomy and ensuring disciplined, sustainable development.
With €736.1 billion in assets under management and more than 2,300 investment professionals*, Generali Investments offers a wide range of strategies spanning both traditional and alternative asset classes, including fixed income, equities, multi‑asset, quantitative strategies, real estate, infrastructure, private debt and other private market solutions. In addition, it provides bespoke mandates and tailored solutions for institutional investors, alongside fund‑of‑funds and manager selection capabilities.
The investment approach is centred on active, conviction‑based management, combining in‑depth fundamental research, quantitative insights and a disciplined risk management framework with a long‑term investment horizon. Drawing on Generali’s heritage as a large institutional investor, the platform ensures strong alignment with client interests, with a focus on capital preservation and liquidity management.
Sustainability and ESG considerations are fully embedded across the investment process, supported by dedicated research capabilities and integrated into portfolio construction and stewardship activities, reflecting both regulatory commitments and long‑term value creation objectives.
*Source: Generali Investments Holding. Data as of year‑end 2025. Figures shown gross of double counting.
For more information, please visit www.generali-investments.com
