Our platform of asset management firms

Your Partner for Progress

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Generali Investments* is a platform of asset management firms, delivering a portfolio of specialist capabilities across various countries. 

Assets under management

Asset management firms

Asset managers and specialists

Countries worldwide for distribution 1)

Largest European asset manager 3)

Main distribution hub

Generali Investments

Generali Investments Holding S.p.A. is the holding company that gathers specialist affiliates, acting as majority shareholder. Every firm on this platform is supported by Generali Group and is able to innovate and grow with autonomy. For investors, this means access to highly entrepreneurial firms, with the backing of Generali Group.

Our solutions, built from a variety of specialist capabilities, aim to help investors unlock opportunities and generate long-term performance, while being mindful of our impact on the world around us. In this way, we provide clients access to a multitude of investment possibilities and a partner that prioritises their long-term interests.

We are your Partner for Progress

Our affiliates

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Established:

1998

Offices:

Milan, Trieste, Rome, Frankfurt, Cologne, Paris, Madrid

Expertise:

European investment specialist with extensive listed and private markets expertise, including liquid fixed income, equity and multi-asset strategies, private credit and multi-strategy private assets

AUM:

€ 430.1 bn

Professionals:

476

Funds and tailor-made solutions in public and private markets

Generali Asset Management is a European investment specialist, offering a wide range of active funds and bespoke solutions across both public and private markets. Our investment experience is grounded in a solid heritage, with skills that have been developed and honed over time by managing Generali Group assets. We have a strong emphasis on fixed income, complemented by equity and multi-asset capabilities, and underpinned by sizeable in-house research teams. We also offer investors the opportunity to invest in private markets alongside Generali Group, one of the world’s largest asset owners. As responsible stewards of capital, we prioritize responsible investing and ESG integration while aiming to serve the unique needs our clients.

*The company full legal name is Generali Asset Management S.p.A. Società di gestione del risparmio.

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Established:

1912

Offices:

New York, Hartford, Hong Kong, London, Cologne

Expertise:

Customized investment solutions for insurance companies

AUM:

€ 108 bn

Professionals:

330+

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Established:

1989

Offices:

Milan, Rome, Paris, Madrid, Cologne, Wien, Prague

Expertise:

Equity and debt real estate strategies in Europe

AUM:

€ 36.2 bn

Professionals:

400+

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Established:

2018

Offices:

New York, London

Expertise:

Unconstrained credit and equity investment strategies

AUM:

€ 3.9 bn

Professionals:

50+

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Global Evolution

Emerging and Frontier Markets Investment Manager

Global Evolution* is a dedicated emerging and frontier markets investment manager with an established track record. Global Evolution is an active manager and has been integrating ESG into the investment process for many years.



*The company full legal name is Global Evolution Asset Management A/S, based in Kolding, Denmark with offices in New York, Singapore and London

Infranity

Infranity is an asset management company specialising in infrastructure investments. The Company founded by three Managing Partners, Philippe Benaroya, Alban de La Selle and Gilles Lengaigne, as part of a strategic partnership with the Generali Group, is part of Generali Investments platform of asset management firms and currently manages in excess of €7 billion of capital from institutional investors. Infranity's investment solutions leverage the resilience of the asset class and its long-term stable returns, as well as its ability to contribute to sustainable development. The investments address major societal challenges such as the energy transition, green mobility, digital transition and improvements to social infrastructure. This positioning, combined with a high degree of selectivity in the investment process, enables Infranity to generate sustainable value for its clients.

Infranity is part of Generali Investments.

Lumyna Investments

Liquid alternative UCITS provider

Lumyna* is one of the oldest, largest and most successful Alternative UCITS providers in Europe. The firm brings best-of-breed hedge fund managers to the European market via regulated, liquid and transparent UCITS vehicles.  Lumyna is consistently voted as best platform (by HFM in eight of the last nine years and by HFR for the last seven consecutive years**) and is recognised as a leader in the delivery of Alternative UCITS funds.

* The company full legal name is Lumyna Investments Limited

**Every year, the Hedge Funds Review European Performance Awards reward genuine performance, quality and skill within the European hedge fund industry.

Octagon

Leveraged loans, high yield bonds and structured credit

Octagon* is a below-investment grade corporate credit investment adviser focused on leveraged loan, high yield bond and structured credit investments. Through fundamental credit analysis and active portfolio management, Octagon's investment team identifies attractive relative value opportunities across below-investment grade asset classes, sectors and issuers.

*Octagon Credit Investors LLC, a New York-based firm

Pearlmark

High-quality real estate investment through a variety of strategies and deal structures

Founded in 1996, Pearlmark* manages middle-market commercial real estate investments in both equity and debt. Pearlmark focuses on value-add real estate strategies across the U.S., providing investors the opportunity to invest through both equity and debt structures. This holistic perspective enhances Pearlmark’s approach to sourcing, underwriting, and managing its investments, which drives value for its investors.

*Pearlmark Real Estate Investments LLC, a Chicago-based firm

 

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Plenisfer Investments

Global multi-asset strategies with total return

Plenisfer* are goal-orientated investors offering unconstrained total return multi-asset strategies. Their "New Active" investment philosophy focuses on strategies rather than asset classes. They focus on identifying idiosyncratic opportunities across a global opportunity set and do not differentiate between traditional and alternative asset classes. This holistic approach enables the team to build performance-orientated portfolios. The company offers UCITS funds, customised mandates and investment advice.

*The full registered company name is Plenisfer Investments SGR.

Source: PRI Association, 2024, https://www.unpri.org/. Signing the internationally-recognised Principles for Responsible Investment allows organisations to publicly demonstrate its commitment to incorporating environmental, social and governance (ESG) factors into its investment decision making and ownership practices.

Sosteneo Infrastructure Partners

Investing in the new essential infrastructure that accelerates the transition to net zero

Sosteneo Infrastructure Partners is an investment manager that specialises in greenfield infrastructure equity related to the energy transition, with a focus on clean energy production and enablement. They are trusted by clients to manage capital in a way that contributes to the decarbonisation of the energy system whilst providing an attractive long-term commercial return, with a strong emphasis on delivering value enhancements through the asset lifecycle. Based in Milan and Sydney, the team brings together a wealth of infrastructure equity investment expertise complemented by an industrial background in the energy sector.

*The company full legal name is Sosteneo Infrastructure Partners, Società di gestione del risparmio

Sycomore Asset Management

High conviction ESG and SRI investors

Sycomore* offers industry-leading sustainable investments. They are pioneering ESG investors and have actively shaped its development in Europe. The firm focuses on human capital as the main lever to generate high conviction investment ideas, and their responsible investment approach is grounded in unique proprietary ESG research methodology. Sycomore’s fund range offers 16 Article 9 funds under SFDR regulation, and five Article 8 funds.

*The company full legal name is Sycomore Asset Management

Arbitro per le controversie finanziarie (ACF)

The benefits of partnering with us

Investors

● Gain access to specialists investment skills

● Rely on experts selected by Generali Group based on knowledge and talent

● Benefit from long-term attractive opportunities through distinctive investment strategies

Generali

● Broadens and diversifies investment solution offer

● Invests in results-centred companies with a strong entrepreneurial drive

● Selects quality partners to maximise returns on investment

Affiliates

● Keep their investment autonomy

● Leverage Generali Group’s strength, capital, customer focus, global reach and brand

● Engage in a platform ensuring consistency in the areas of risk control, audit and compliance

Generali Group: Our parent company***

GROSS WRITTEN PREMIUMS

MILLION CUSTOMERS WORLDWIDE

AMONG THE TOP 100 LARGEST COMPANIES IN THE WORLD ****

LARGEST INSURANCE COMPANY IN THE WORLD*****

*** Source: Generali Group, Annual Integrated Report and Consolidated Financial Statements 2023 – published on 12 March 2024, data as at 31 December 2023 (link).

**** Source: insurance business, based on the 2022 Forbes Global 2000 rankings (link).

***** Source:own internal calculation based on the IPE ranking published on June 2023.

Source: Generali Investments Holding S.p.A., data as at end of Q2 2024, gross of double counting. *Generali Investments is part of the Generali Group, which was established in 1831 in Trieste as Assicurazioni Austro-Italiche. Generali Asset Management S.p.A. Società di gestione del risparmio, Generali Real Estate S.p.A. Società di gestione del risparmio, Infranity SAS, Sosteneo S.p.A. Società di gestione del risparmio, Sycomore Asset Management, Aperture Investors LLC (including Aperture Investors UK Ltd), Lumyna Investments Limited, Plenisfer Investments S.p.A. Società di gestione del risparmio, Conning2) and among its subsidiaries (Global Evolution Global Evolution Asset Management A/S - including Global Evolution USA, LLC and Global Evolution Fund Management Singapore Pte. Ltd - Octagon Credit Investors, LLC, Pearlmark Real Estate, LLC). are part of Generali Investments, as well as Generali Investments CEE. Kindly note Generali Investments Luxembourg S.A. is the Management Company of the majority of the funds whose AUM is represented on the page.

1) Please note that the countries refer to the countries where the different funds of the asset management companies part of Generali Investments are registered for distribution. Please note that not all funds are registered in all the countries and not all the asset management companies are licensed to operate in such countries. 2) Includes Conning, Inc., Conning Asset Management Limited, Conning Asia Pacific Limited, Conning Investment Products, Inc., Goodwin Capital Advisers, Inc. (collectively, “Conning”).Sosteneo Infrastructure Partners is the commercial name referring to Sosteneo SGR S.p.A. 3) Source: own internal calculation based on the IPE ranking published on June 2023.

With about €671.3 billion in assets under management (as at June 30, 2024, gross of double countings) and over 1,500 investment professionals, Generali Investments is the holding company that gathers the main asset management firms, delivering a portfolio of specialist capabilities across various countries. Affiliates include: Generali Investments Holding S.p.A. is the holding company that gathers the following specialist affiliates: Generali Asset Management S.p.A. Società di gestione del risparmio, Generali Real Estate S.p.A. Società di gestione del risparmio, Infranity SAS, Sosteneo S.p.A. Società di gestione del risparmio, Sycomore Asset Management, Aperture Investors LLC (including Aperture Investors UK Ltd), Lumyna Investments Limited, Plenisfer Investments S.p.A. Società di gestione del risparmio, Conning and its subsidiaries (Global Evolution Asset Management A/S, Octagon Credit Investors, LLC, Pearlmark Real Estate, LLC and PREP Investment Advisers LLC), as well as Generali Investments CEE. Generali Investments Luxembourg S.A. is the Management Company of the majority of the funds whose AUM is represented on the page.

Generali Investments logo in grey

© Generali Investments, all rights reserved. This website is provided by Generali Investments Holding S.p.A. as the holding company of the main asset management companies of the Generali Group having, directly or indirectly, the majority shareholding in the companies listed below (hereinafter jointly, “Generali Investments”). This website may contain information related to the activity of the following companies: Generali Asset Management S.p.A. Società di gestione del risparmio, Infranity, Sycomore Asset Management, Aperture Investors LLC (including Aperture Investors UK Ltd), Plenisfer Investments S.p.A. Società di gestione del risparmio, Lumyna Investments Limited, Sosteneo S.p.A. Società di gestione del risparmio, Generali Real Estate S.p.A. Società di gestione del risparmio, Conning* and among its subsidiaries Global Evolution Asset Management A/S - including Global Evolution USA, LLC and Global Evolution Fund Management Singapore Pte. Ltd - Octagon Credit Investors, LLC, Pearlmark Real Estate, LLC as well as Generali Investments CEE. *Includes Conning, Inc., Conning Asset Management Limited, Conning Asia Pacific Limited, Conning Investment Products, Inc., Goodwin Capital Advisers, Inc. (collectively, “Conning”).