Private Markets and Real Assets

A proud heritage in private markets and real assets

At a glance*

Assets under Management

Asset Managers and Specialists

countries we operate in

SFDR art. 8/9 classified funds

In a world of rising volatility and macro uncertainty, we believe that having the right mix of private markets and real assets exposure is crucial for defensive, diversified, and stable portfolios.

As one of the world’s largest institutional investors, Generali Group has long invested into private markets and real assets for its own insurance portfolios to enhance portfolio diversification, and pursue attractive risk-adjusted returns while hedging against inflation. In addition, investing into these markets provides an opportunity to directly support the real economy and make a tangible impact, whether through sustainable infrastructure, or financing European SMEs.

Today, Generali Investments offer long-term investors this same access to our leading capabilities across real estate, infrastructure, private debt and private equity.

Our Difference

At Generali Investments, we offer a wide range of private markets and real assets strategies through our diverse ecosystem of asset management firms.

From real estate and infrastructure to private debt and private equity, we are confident that we have the breadth of solutions to address the needs of our clients.

Our asset management firms benefit from full investment autonomy combined with the stable backing of Generali Group, who is the cornerstone investor for these strategies.

This allows our managers to focus on their aims – generating sustainable, risk-adjusted, diversified returns for clients while helping them achieve their ESG goals – while offering investors the opportunity to investment in private markets and real assets alongside one of the world’s largest institutional investors.

Our Capabilities


Investments across a diversified portfolio of greenfield energy transition-related infrastructure assets, with a focus on clean energy production and enablement.

Sustainable infrastructure investments with a focus on debt and equity.

Proprietary ESG methodology integrated in the investment process.


Manages the overall real estate chain, i.e cash flow generation, investment allocation and maintenance/value enhancement of assets.


Globally diversified private equity funds (primary, co-investments & secondary, fund-of-funds).

Access to top performing oversubscribed funds.


FoF targeting best-in class AMs and diversified strategies with unique alignment with Generali Group Portfolio.

Direct Corporate Lending activity to support the expansion of European SME committed to ESG objective.

*Source: Generali Investments Holding S.p.A., data as of 30 June 2023 referring to both capital invested and committed, unless otherwise specified. Please note the data include Generali Asset Management S.p.A. Società di gestione del risparmio, Generali Real Estate S.p.A. Società di gestione del risparmio, Infranity and Sosteneo which are part of Generali Investments Platform.


© Generali Investments, all rights reserved. This website is provided by Generali Investments Luxembourg S.A. (Generali Investments) and is considered as a marketing communication and financial promotion related its products and services. Moreover, the website may contain marketing communication and financial promotion of products and services of companies part of the multi-boutique platform coordinated by Generali Asset Management S.p.A. Società di gestione del risparmio, and in particular of Infranity, Sycomore Asset Management, Aperture Investors LLC., Plenisfer Investments SGR, Lumyna Investments, Sosteneo Infrastructure Partners SGR and Generali Real Estate S.p.A. Società di Gestione del Risparmio.