The strategy
- Active approach to investments in high quality, Euro denominated, IG corporate bonds with max. 3 years maturity
- Benefits from the expertise of our renowned credit team
- Limited exposure to credit market volatility and interest rate risk
- Value added through securities selection and intra-sectors bets
- Supported by proprietary bottom-up research
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Fabrizio Viola
Fund Manager, CFA
at Generali Investments
Industry Experience: 18years