Expertise
Active Management
Generali Asset Management* actively manages a diverse range of fixed income, high-conviction thematic equity, and asset allocation strategies, entrusted to expert investment teams in Milan, Trieste, and Paris. The managed strategies are backed by extensive in-house research, covering macroeconomics, credit, market trends, quantitative analysis, and ESG factors to inform every investment decision**. With a strong ESG foundation, many of the managed funds are classified as Article 8 or 9 under SFDR, reflecting our commitment to sustainable and responsible investing. For professional investors that require bespoke, dedicated ESG outcomes, we offer an integrated ESG investment framework, including proprietary ethical screening and client-specific metrics.**
Fixed Income: A diverse range of core European bond funds and bespoke mandates, covering global government, investment-grade, high-yield, convertible, hybrid and green bonds
Equity: Active European equity funds – including active, thematic, and quantitative strategies – along with dedicated institutional mandates
Asset Allocation: Multi-asset funds and bespoke asset allocation mandates designed for today’s evolving market conditions

Salvatore Bruno
Head of Active Management
Industry experience: 31 years
*Full name: Generali Asset Management S.p.A. Società di gestione del risparmio. Please note that the company was previously, until 31 December 2023, called Generali Insurance Asset Management S.p.A. Società di gestione del risparmio.
** ESG factors are applied exclusively where a fund or a portfolio is classified as Article 8 or 9 under Regulation (EU) 2019/2088 on sustainability‐related disclosures in the financial services sector (SFDR)