It’s Our DNA.
As part of a global insurance group, fixed-income investing is our DNA (+405bn in AuM*). We are adept at managing downside risk, combining active management and strong conviction with a risk-controlled approach tailored directly to investor goals.
Even in today’s challenging environment, where roughly a quarter of debt securities worldwide are experiencing negative yields, our boutiques offer distinctive, highly specialized strategies geared to providing investors with sustainable returns over time while significantly reducing risk exposure. Our extensive reach and local expertise, augmented by our multi-boutique approach, furnish a broad investment landscape and allow us to identify the best solution for fixed-income investment needs.
THE STRATEGIES WE OFFER
• All Maturities government bonds
• SRI credit
• Corporate short term / blend
• Green bonds
• High yield
• Long/short credit
• Emerging market debt
Related News & DocumEnts
EXPLOITING CREDIT OPPORTUNITIES THROUGH A LONG/SHORT APPROACH
Q&A with Simon Thorp, Fund Manager, Aperture Investors
GENERALI INVESTMENTS SICAV EURO GREEN & SUSTAINABLE BOND
Interview with the Fund Managers
SYCOMORE SÉLECTION CRÉDIT
Fund commentary – Q1 2020
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*Source: Generali Investments Partners S.p.A. Società di gestione del risparmio, data as at 31 December 2019.