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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ECB focuses on strategy review

23/01/2020

The ECB Governing Council formally launched a comprehensive monetary policy review that shall be completed by end of 2020.

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US Q4 2019 earnings season starts decently well.

21/01/2020

After 9% of the US results are out, both median yearly growth and surprises vs consensus look decent.

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Germany’s fading shine

15/01/2020

The protracted weakness of inflation during the past cyclical upswing caught central banks and investors by surprise.

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Low bond yields to sustain equity returns

02/01/2020

Global equity markets posted very strong total returns year-to-date (+28%), mainly through PE expansion, in part explained by low yields.

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Euro banks to benefit from eased capital requirements

20/12/2019

The Chair of the SSM, M. Enria has recently stated that CRD5 “will lead to more lenient requirements” and “will generate an average reduction in CET1 requirements of 90bps.

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Where has inflation gone?

19/12/2019

The protracted weakness of inflation during the past cyclical upswing caught central banks and investors by surprise.

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Quant signals for EU equity sectors and styles

18/12/2019

We introduce our proprietary equity valuation tool which provides indications of over- or undervaluation for different sectors and styles of European equities.

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Q&A ACOF

18/12/2019

As the tide of easy monetary policy slowly goes out, global markets face another challenging year. Yet 2019 will be very different from 2018, as the US economy is set to fall off its pedestal; the Fed will pause this summer, if not before. The great regional divergence of 2018 will thus end, and with it the impressive USD rally. This should bring selective relief to Emerging Markets, assuming the world economic landing continues to be soft.

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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

Generating income for today & tomorrow

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25 2020

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