play-button Fixed Income: The Case for Credit and High Yield

Discover how investors can best walk the line between risk and reward watching our lively roundtable exchange hosted by Citywire in Munich

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Investment Returns: A 5-year perspective

17/10/2019

2019 has seen huge inflows into Fixed Income (FI) funds and outflows from Equities. From a medium-term return perspective this makes no sense. The formidable demand for safe assets reflects cyclical and structural forces (e.g. ageing).

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The time for investments in EM hard currency sovereign debt has not come yet

10/10/2019

Despite a slight spread widening, EM hard currency sovereign bonds have yielded a strong return year-to-date – thanks to decreasing underlying yields.

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Underwhelming US jobs growth add to the case for an October rate cut

04/10/2019

In September the US economy created 136k new jobs, falling being expectation of a 145k increase.

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UK Crash Brexit revisited

01/10/2019

The Brexit saga is still very fluid. On July 25th, Boris Johnson entered Downing Street 10, after Theresa May’s negotiated deal with the EU repeatedly failed to get approvalfrom the House of Commons.

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Recession risks are limited, but policy responses too

30/09/2019

Signals coming from financial markets, like the further compression in sovereign bonds’ term spreads and the inversion of the US yield curve, have raised worries of an imminent recession in developed economy

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Upside down

24/09/2019

The negative yield disease is spreading in a way that radically alters portfolio considerations. We argue that the economic pain threshold justifying a switch away from risky assets is higher than it used to be. Investors have been punished for rushing away from equities into bonds.

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China: Fiscal policy to buffer trade war losses

23/09/2019

Considering the headwinds from the US-China trade war, slowing global growth, the repercussions of past regulatory tightening of the shadow banking sector as well as idiosyncratic risks, China growth looks set to soften further.

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Generali Investments strengthens its Sales team with new appointments

19/09/2019

Milan – Generali Investments Partners S.p.A. Società di gestione del risparmio (GIP) announces the appointment of Mario Petrachi as the new Head of Sales France & Luxembourg and of Gabriele Alberici as the new Head of Sales Italy.

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PRESS REVIEWS

Press review

Investments & Pensions Europe

26/6/2017

Interview – Mauro Valle, GI’s Portfolio Manager

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Press review

PWM

18/7/2016

External assets central to Generali’s expansion drive. Interview GI’s CEO Santo Borsellino  

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Press review

Citywireselector

24/2/2016

Generali HY manager explains rationale for total return switch
Interview with Stefano Perin, Fund Manager 

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Press review

A new era for diversified investments

Watch our portfolio manager Cédric Baron in a video series by PWM magazine

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Video Generali Investments SICAV Global Multi-Asset Income

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