Head of Research
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Head of Fixed Income, Lead fund manager
24 years of experience
Mauro has been working for the Generali Group since 1994 as a manager of third-party government bond portfolios and has garnered over 24 years of investing experience. He has worked as Head of Fixed Investments at Generali Investments Partners S.p.A. Società di gestione del risparmio since October 2018. Previously he worked at Banca Commerciale Italia (now Intesa Sanpaolo) in Milan, and JP Morgan Asset Management in London. He holds a degree in business administration from Clemson University (South Carolina, USA), and a degree in economics from the University of Trieste (Trieste, Italy).
Mauro is rated “A” by Citywire for management of GIS Euro Short Term Bonds and GIS Euro Bonds (1/3 year).**
Fixed Income Portfolio manager, Deputy fund manager
19 years of experience
Fabrizio has been working for Generali Investments since June 2002 and has over 19 years of investing experience. He manages corporate bond portfolios for third party clients and mark-to-market products. Previously he worked for IBM Global Services (finance department) in Milan. Viola earned an MBA from the MIB School of Management in Trieste (Trieste, Italy) and holds a degree in economics from the University of Udine (Udine, Italy).
Phone: +39 02 43 53 11 02
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Before joining Generali, Pierre Bouchoms was Director for Global Fund Services at PwC Luxembourg, co-General Manager of Eurizon Capital S.A., COO of Penghua Fund Management and General Manager at Sanpaolo Services Luxembourg. He has covered various role in the Fund industry among which facing the distribution challenge in various locations from South America to Asia.
Languages: English, French, Italian
Guillaume Grange is Conducting Officer of Generali Investments Luxembourg S.A. since May 2016, in charge of Legal, Compliance and Business Support areas. Guillaume works in the Luxembourg Fund industry since 1999. Before joining Generali Group in 2014, Guillaume worked as Deputy Head of Fund Structuring Department of CACEIS Bank Luxembourg for 9 years. He also worked as Senior Legal Advisor for Sanpaolo-IMI Group’s companies in Luxembourg for 5 years.
Guillaume holds a Master’s degree in Business Law from the University of Nancy (France).
Languages: English, French, Italian
Davide Pavese is Conducting Officer of Generali Investments Luxembourg S.A. since May 2016, in charge of Risk Management, Valuation, Investment Compliance and Outsourcing Oversight areas. Davide works in the Fund industry since 1996. Before joining Generali Group in 2014, Davide worked as Head of Risk Management and as Portfolio Manager at Eurizon Capital S.A. for 9 years. He also worked as Portfolio Manager for Reale Mutua Assiurazioni Group in Italy for 4 years and previously for Intesa-Sanpaolo Group’s companies in Luxembourg and in Italy for 5 years.
Davide holds a Bachelor in Business Administration from the School of Management in Turin (Italy).
Chairman of the Board
Santo Borsellino is the Chairman of the Board of Generali Insurance Asset Management S.p.A. Società di gestione del risparmio. Before that, he was CEO of Generali Insurance Asset Management S.p.A. Società di gestione del risparmio;(the new name of the former Generali Investments Europe S.p.A. Società di gestione del risparmio) since June 2013. Prior to joining the company as Head of Equities in 2008, he gained extensive experience as an asset manager and equity analyst working for leading investment banks and asset management companies in London and Milan.
Santo graduated magna cum laude in Economics from the University of Bologna, and earned an MBA from the Tuck School of Business, Dartmouth University, United States.
Chief Executive Officer
Francesco Martorana is the CEO of Generali Insurance Asset Management S.p.A. Società di gestione del risparmio since April 2019; he was Head of Investments since October 2017 until July 2019 , after having joined Generali Group in November 2013, serving as the Head of Group Asset Liability Management & Strategic Asset Allocation. In this capacity, he was also instrumental in outlining the new asset management strategy for the Group, which was announced in May 2017.
Prior to that, Francesco spent eight years at Allianz Group, holding several management positions in the investment department, and previously worked for Deutsche Bank and JPMorgan Chase.