Expertise
In-House Research
32 professionals

Paris, Cologne, Milan, Rome, Trieste
Insight-driven investing
Our proprietary research powers our investment process, translating macroeconomic, credit, quant and ESG analysis into actionable strategies.
Macro & Market Research – Our Macro & Market Research team conducts in-depth quantitative and qualitative analysis to inform tactical asset allocation and generate concrete investment ideas. We also provide professional clients with a broad range of market insights to support decision-making.
Credit Research– Our Credit Research team covers over 700 issuers across investment grade and high yield markets in Europe, the US, and select emerging markets. Analysts operate independently of portfolio management, ensuring objective credit ratings and risk analysis while integrating ESG factors.
Cross-Asset Quant and Development– Our Cross Asset Quant & Development team optimizes investment themes, incorporating ESG research to assess critical risks like climate impact. By linking macro, credit, and ESG insights, we create a unified, data-driven approach to portfolio management.

Vincent Chaigneau
Head of Research
Industry Experience: 30 years
Source: Generali Asset Management S.p.A. Società di gestione del risparmio (“Generali AM”) as at Q4 2024. Kindly note that on 1 January 2024, Generali Investments Partners S.p.A. Società di gestione del risparmio has been merged by incorporation into Generali Insurance Asset Management S.p.A. Società di gestione del risparmio, changing its name to Generali AM.