Expertise
Fixed Income

€48.5 bn AUM
15 Fixed income portfolio managers

Paris, Trieste, Milan
Our offering
We manage a diverse range of actively managed core European bond funds and bespoke mandates, covering global government, investment-grade, high-yield, convertible, hybrid and green bonds.
Our approach
Our approach aims to outperform benchmarks while managing risk. We build balanced portfolios with high-conviction, actively managed positions, ensuring the adequate exposure to interest rate and credit risks. Our managers, supported by in-house analysts, have a strong track record of delivering results.
Institutional fixed income solutions
With deep experience managing institutional portfolios, team blends total return and benchmark-driven strategies to optimize risk-adjusted performance. For investors that require bespoke, dedicated ESG outcomes, we offer an integrated ESG* investment framework, including proprietary ethical screening and client-specific metrics.
Unbiased, data-driven insights
We collaborate closely with in-house economists and credit analysts who operate entirely independently of portfolio management, ensuring objective insights and continual risk mitigation.

Mauro Valle
Head of Fixed Income
Industry experience: 25 years
*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)
Source: Generali Asset Management S.p.A. Società di gestione del risparmio (“Generali AM”) as of end 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. The figures thus refer to the sum of the AuM of the two entities at the reference date.