AWARDS & Recognition

We’re proud to share with you awards and recognition we’ve earned based on our track record of solid performance.

Our latest awards*

Person
Person
Person
Person

Lipper Fund Award 2018*** for GIS Euro Bond DX Acc in the category “Bond EMU Government” in Austria, France, Germany, the Netherlands, the UK and at European level for its performance over 5 years.

Discover our fund range

Lipper Fund Award 2018*** for GIS Euro Bond 1-3 Years DX Acc in the category “Bond EMU Government Short Term”  in France for its performance over 3 and 5 years.

Discover our fund range

Lipper Fund Award 2018*** for GIS Euro Bond DX  3-5 Acc in the category “Bond EMU Government Medium Term” in France for its performance over 3 years.

Discover our fund range

EUROPEAN FUNDS TROPHY 2018 – BEST NATIONAL ASSET MANAGEMENT COMPANIES (ITALY)**

Generali Investments was rewarded as the best Italian asset manager for the quality of its European range of funds. 

Discover our fund range

* Please remember that past performance is not a guide for future performances and it may be misleading. Investing in fund and sub-funds involves risks including the possible loss of capital.

** Source: FUNDCLASS  The Quantitative Rating Agency for European Funds, March 2018. Please refer to the following website to find out more about the awards and the methodology: https://www.european-funds-trophy.eu

*** Lipper Fund Awards 2018 notified for the following subfunds: GIS Euro Bond, GIS Euro Bond 1-3 years and GIS Euro Bond 3-5 years over 3 and 5 years in France, the UK, Germany, Austria and at European level over different periods. Detailed information on the Lipper Fund Awards and the methodology can be found here: http://lipperfundawards.com/Default.aspx

Source: Generali Investments Europe S.p.A. Società di gestione del risparmio, data as at 28.02.2018. Please be aware that the Risk and Reward Profiles of the sub-funds are:

  •  “category 3" as indicated in the KIID  for the GIS Euro Bond due to its exposure to interest rate risk.
  •  “category 3" as indicated in the KIID  for the GIS Euro Bond 3-5 Years due to its exposure to interest rate risk.
  •  “category 2" as indicated in the KIID  for the GIS Euro Bond 1-3 Years due to its exposure to interest rate risk.
  •  “category 2" as indicated in the KIID  for the GIS Euro Short Term Bond due to its exposure to short term debt instruments.
  • For more information about the risks of the subfunds, please refer to the risk section of the prospectus.  The risk category associated with the subfunds is not guaranteed and may change over time.

GIS Euro Bond, GIS Euro Bond 1-3 Years, GIS Euro Bond 3-5 Years and GIS Euro Short Term Bond are subfunds of Generali Investments SICAV (an investment company qualifying as a “société d’investissement à capital variable” with multiple subfunds under the laws of the Grand Duchy of Luxembourg) managed by Generali Investments Europe S.p.A. Società di gestione del risparmio. The information contained in this document is only for general information on products and services provided by Generali Investments Europe S.p.A. Società di gestione del risparmio. It shall under no circumstance constitute an offer, recommendation or solicitation to subscribe units/shares of undertakings for collective investment in transferable securities or application for an offer of investments services. It is not linked to or it is not intended to be the foundation of any contract or commitment. It shall not be considered as an explicit or implicit recommendation of investment strategy or as investment advice. Before subscribing an offer of investment services, each potential client shall be given every document provided by the regulations in force from time to time, documents to be carefully read by the client before making any investment choice. Generali Investments Europe S.p.A. Società di gestione del risparmio, periodically updating the contents of this document, relieves itself from any responsibility concerning mistakes or omissions and shall not be considered responsible in case of possible damages or losses related to the improper use of the information herein provided. Past performance is not a guarantee of future performance and the subfunds present a risk of loss of capital. No assurance is released with regard to the approximate correspondence of the future performances with the ones above mentioned. It is recommended to look over the regulation, available on our website www.generali-investments.com. The client shall carefully read the KIID, which must be delivered before subscribing the investment, and the prospectus which are available on our website (www.generali-investments.com), on Generali Investments Luxembourg S.A. (Management Company of Generali Investments SICAV) website (www.generali-investments.lu), and by distributors.

Generali Investments is part of the Generali Group which was established in 1831 in Trieste as Assicurazioni Generali Austro-Italiche. Generali Investments is a commercial brand of Generali Investments Europe S.p.A. Società di gestione del risparmio.