How does Generali Asset Management select and manage private debt funds? Marco Busca, Head of Indirect Private Debt at Generali Asset Management (part of Generali Investments) explains the concept of indirect private debt, highlighting its benefits, the current opportunities, and the growing interest in private credit secondaries. Watch the full video 👇 𝘍𝘰𝘳 𝘪𝘯𝘴𝘵𝘪𝘵𝘶𝘵𝘪𝘰𝘯𝘢𝘭 𝘪𝘯𝘷𝘦𝘴𝘵𝘰𝘳𝘴 𝘪𝘯 𝘐𝘛, 𝘍𝘙, 𝘌𝘚, 𝘗𝘛, 𝘋𝘌, 𝘈𝘛 𝘢𝘯𝘥 𝘓𝘜
Chi siamo
Con circa €679,7 miliardi di attivi gestiti (al 31 marzo 2024, al lordo delle doppie contabilità) e oltre 1.500 professionisti dell'investimento, Generali Investments è la holding che raccoglie diverse società di gestione del risparmio, offrendo un portafoglio di competenze specialistiche in vari paesi. Le nostre affiliates includono: Generali Asset Management, Generali Real Estate, Infranity, Sosteneo, Sycomore Asset Management, Aperture Investors, Lumyna Investments, Plenisfer Investments, Conning e le sue filiali (Global Evolution Asset Management, Octagon Credit Investors, Pearlmark Real Estate), oltre a Generali Investments CEE. Generali Investments Luxembourg S.A. è la società di gestione della maggior parte dei fondi il cui AUM è menzionato sopra. Generali Investments fa parte del Gruppo Generali, fondato nel 1831 a Trieste come Assicurazioni Generali Austro-Italiche.
- Sito Web
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https://www.generali-investments.com
Link esterno per Generali Investments
- Settore
- Servizi finanziari
- Dimensioni dell’azienda
- 501 - 1000 dipendenti
- Sede principale
- Trieste
- Tipo
- Società privata non quotata
- Settori di competenza
- Asset Management, Portfolio Management, Asset-Liability Management (ALM), Fund Management, Liability Driven Investments, Socially Responsible Investments, Active Asset Management, Fixed Income, Active equity, Liquid Alternative e Real Assets
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Dipendenti presso Generali Investments
Aggiornamenti
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𝗪𝗵𝗮𝘁 𝘁𝗼 𝗲𝘅𝗽𝗲𝗰𝘁 𝗶𝗻 𝘁𝗵𝗲 𝗳𝗶𝗻𝗮𝗻𝗰𝗶𝗮𝗹 𝗺𝗮𝗿𝗸𝗲𝘁𝘀 𝗶𝗻 𝟮𝟬𝟮𝟱? The return of President #Trump implies a higher level of policy uncertainty. Global #growth is set to stabilise at cruise speed in 2025 (just above 3%), with marked regional differences. #Policy surprises, selected ambitious valuations and concentration all point to a rise in financial volatility next year. Yet the Generali Investments Research Team sees room for rates #volatility to normalise further, even if residual inflation uncertainty keeps it above the pre-Covid lows. 👉 Read the full 2025 Market Outlook: https://lnkd.in/gRx6DNkZ
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How will Donald Trump’s return to the White House affect economic prospects in the US, Europe and beyond? How can investors position themselves for an increasingly divergent global growth outlook? Will inflation return in 2025? And to what extent will the adoption of AI continue? To answer these questions and more, Generali Investments’ specialist, affiliated asset management companies present their views on the risks and opportunities for 2025. 👉 Read the full document (link in the first comment)
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Private debt is becoming more and more popular, thanks to its performance and the possibility to provide diversification, low volatility, and long-term predictable revenues. Sandrine Richard, Head of Direct Private Debt at Generali Asset Management (part of Generali Investments), delves into the main advantages of this asset class and its future perspectives. 🎬 Watch the full video 📽 𝘍𝘰𝘳 𝘪𝘯𝘴𝘵𝘪𝘵𝘶𝘵𝘪𝘰𝘯𝘢𝘭 𝘪𝘯𝘷𝘦𝘴𝘵𝘰𝘳𝘴 𝘪𝘯 𝘐𝘛, 𝘍𝘙, 𝘌𝘚, 𝘗𝘛, 𝘋𝘌, 𝘈𝘛 𝘢𝘯𝘥 𝘓𝘜
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The ECB cut rates for a third time in a row today. Are markets pricing in increased dovishness? Where do the new fixed income opportunities lie? Gianluca Bergamaschi, CFA, Head of Fixed Income Mandates and PM at Generali Asset Management answers this and more in our latest Espresso View video. Our 𝗘𝘀𝗽𝗿𝗲𝘀𝘀𝗼 𝗩𝗶𝗲𝘄𝘀 𝘃𝗶𝗱𝗲𝗼𝘀 𝗼𝗻 𝗙𝗶𝘅𝗲𝗱 𝗜𝗻𝗰𝗼𝗺𝗲 are a series of quick fund manager responses to key market events. Stay tuned for more! https://lnkd.in/dy_4xE_C
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Emerging markets debt: which are the challenges and opportunities? Yulia Kosiw, Client Portfolio Manager at Global Evolution, dives deep into the EM corporate debt universe with Alia Yousuf, Head of EM Corporate Debt Strategy, and Edward Soekamto, Senior Portfolio Manager, analyzing one of the core capabilities of Global Evolution, part of Generali Investments. 👉 Read the full article:
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Generali Investments ha diffuso questo post
The political die has been cast: the Republican sweep in the US means the nation’s political direction will change decisively in 2025. Our Senior Macro and Allocation Strategist Witold Bahrke gives our thoughts on what will happen when Donald Trump’s returns to the White House. If you would like to read it, please use the below link: https://lnkd.in/drZPyZrj You can also visit our website for more research (https://lnkd.in/dGM7Cz4J) or sign up for future research in the section ‘Stay up to date’. #US #Election #USElection #Research #investmentresearch #assetmanagement #fixedincome #Researchnote
US Election: EMD & Trump 2.0
globalevolution.com
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Generali Investments ha diffuso questo post
Come si relazionano i capi investimento nei loro meeting? Come si concretizzano le decisioni in un portafoglio di investimento? Da oggi al via “PleniVoice | La voce degli Esperti”, il nuovo podcast di Plenisfer Investments, che racconta il dietro le quinte di un comitato di investimento di una società di gestione. In questa prima puntata Giordano Lombardo, Founder CEO e Co-CIO della società, insieme a Mauro Ratto, Founder e Co-CIO, analizzano il complesso scenario macro economico attuale, approfondiscono le specifiche dinamiche e prospettive di USA, Europa e Cina, e spiegano come la loro view si riflette all’interno di un portafoglio di investimento. Ascolta le puntate sul canale Spotify, Apple Podcast e Audible, oppure sul sito di ADVISOR - Open Financial Communication o sul nostro sito: https://lnkd.in/d_HD-uCa 🎙️Spotify:https://lnkd.in/dWP-wU-M 🎤Apple Podcast:https://lnkd.in/dXfmzThc 📡Audiblehttps://lnkd.in/dhM6pQv6 #Plenisfer #podcast #plenivoice #macroeconomia #USA #Cina #Europa #portafogli *Per investitori professionali in Italia*
Podcast PleniVoice | La voce degli Esperti: scenario attuale, dinamiche e prospettive all’interno di un portafoglio di investimento - Plenisfer Investments Sgr – Delivering your goals
plenisfer.com
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Is tech too expensive and is AI a bubble? No, says David R., Portfolio Manager at Sycomore Asset Management, part of Generali Investments, who cautions against being led by the common market narratives. In fact, tech and AI offer substantial growth potential outside the high-profile ‘Magnificent Seven’ stocks. With the overall GDP share of digital goods and services projected to rise from 15% in 2022 to 30% in 2030, tech is certainly not a sector to underweight. Read the full article: https://lnkd.in/dS4b78QZ
AI and Technology - Generali Investments | Your Partner for Progress
generali-investments.com
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Generali Investments presente al #CitywireFlorence2024, il flagship retreat di Citywire Italia. Durante la nostra conferenza "Innovazione e progresso tecnologico: i vincitori sono in Europa" Anis Lahlou, CIO and Portfolio Manager di Aperture Investors (parte di Generali Investments) ha approfondito il tema dell'innovazione tecnologica in Europa, evidenziandone le opportunità d'investimento tramite l'approccio unico nel suo genere di Aperture. Grazie a tutti coloro che hanno partecipato ai nostri workshop!